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Gold Fields Ltd. (NYSE: GFI) shares rose 1.92% during the most recent trading session to reach the closing price of $ 3.72. The stock traded 3.51 million shares against an average trading capacity of 3.42 million shares, giving a market capitalization of $ 2.94 billion. Wall Street badysts covering the stock expect the stock to reach $ 4.33 over the next 52 weeks. The average forecasts of the targets are based on 3 opinions
Taking a broader look at the badysts of the street brokerage companies with a view of expectation have Goldfields Ltd (NYSE: GFI) high goal of 4, $ 81 and with conservative vision have a low price target of $ 3.69
Bank of America "upgrades" Gold Fields Ltd. (NYSE: GFI) in a research note issued to investors on 4/13/18 to buy.
Also on 4/09/18 JP Morgan "Retention of" Gold Fields Ltd "(NYSE: GFI) on overweight target of $ 6.3 and 3/03/17 JP Morgan" outperform "Overweighted share." Also, on December 12, 2016, RBC Capital "downgraded" the stock of Sector Perform.
On the other hand, the relative strength index ( RSI 14) of 55.3 and the actual average range (ATR 14) are 0.09, with weekly and monthly volatility of Gold Fields Ltd (NYSE: GFI) of 2.41% and 2.38% respectively. Beta value of the company is at -1.02.
In terms of Buy, Sell or Hold recommendations, Gold Fields Ltd (NYSE: GFI) has an average badyst recommendation of 2.3 This is on a simplified scale from 1 to 5 where 1 represents a strong purchase and 5 a strong sale.
Currently, shares of Gold Fields Ltd. (NYSE: GFI) held by insiders are 64.9%, while those owned by institutional 37.4% However, the six-month change in insider ownership was recorded at 0%, as was the three-month change in institutional ownership of -0.49%
Gold Fields Ltd. (NYSE: GFI) $ 2.76 billion, while its price-to-sales ratio for the same period is 1.06. Its book value per share for the most recent quarter is $ 3.99, while its price-to-book ratio is 0.93 for the same period, while the cash flow per share for the last quarter is 0.61. $. the same period is 6.13. The stock has a five-year PEG ratio of 0 while its twelve-month price / earnings ratio is 0.
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