Friday Update: Ferrari N.V. (NYSE:RACE)
Ferrari N.V. (NYSE:RACE), has been doing very well since mid-year 2016.
Ferrari N.V. has a total market cap of 11,404.88-B and has posted a price of 59.83 today, highlighting a change of +1.00%.
The average volume stands at 454.26 for Ferrari N.V..
The performance week for Ferrari is at -0.13% while the performance month is at 4.26%. The Quarterly and half-yearly performance stats are 10.78% and 38.47% respectively.
The YTD performance stands at 1.96%.
The current operating margin for Ferrari is at 17.40%.
The return on assets for Ferrari stands at 8.30%
Note: ROA – calculated by dividing the total annual earnings by the company’s total assets – illustrates how profitable a company really is in relation to its total assets.
The dividend yield stands at 0.86% while the payout ratio is 0.00%.
At present the return on equity (ROE) stands at 342.90% and the debt to equity is at 0.
Ferrari’s 52-week high is currently at -1.26% and the 52-week low is at 91.51%. The 20-D SMA stands at 7.02% and the 200-Day SMA is at 24.35%.
Note: The definition of the simple moving average; The SMA (simple moving average) is calculated by adding the closing price of the stock for the given time periods, say for 20 days, and then dividing it by that time period- i.e 20. It usually helps to smooth out the ‘noise’ by filtering out random price movements. Since SMA is based on past data, it will tend to have a lag. The longer the time period the greater the lag. So a 20-Day SMA will have less lag than the 200-day SMA. Shorter SMAs are used for short-term trading and vice versa.
The EPS growth rate for this year stands at 10.10% and 10.58% for the coming year.
|NYSE:RACE||59.83||13 January 2017||0.55||60.1||60.26||59.52||376,700|
|HeffX-LTN Analysis for RACE:||Overall||Short||Intermediate||Long|
|Very Bullish (0.54)||Bullish (0.36)||Very Bullish (0.58)||Very Bullish (0.67)|
Have a terrific weekend.