Office Depot, Inc provides a selection of products and services to consumers and businesses of various sizes. This may involve studying fundamental and technical data. However, these more frequent signals may also result in more "whipsaws", resulting in erroneous trade signals. Price Target plays a critical role when it comes to the analysis of a Stock. "Scott has significant retail experience, proven leadership skills and a collaborative mindset that will greatly benefit us as we continue to transform Office Depot", said Office Depot executive vice president and CFO Joseph Lower. Office Depot's quarterly revenue was down 5.3% on a year-over-year basis. During previous trade 6.91 Million shares of Office Depot Cmn (NASDAQ:ODP) exchanged hands whereas on average nearly 5.07 Million shares has been traded. The Connecticut-based Amg Funds Llc has invested 1.07% in the stock. RVOL compares a stock's current volume to its prior volume over a specific period. The shares now trade at $21.57 and have been able to report a change of 46.83% over the past one week. The more active the share, higher would be its volume. The stock hit its twelve month high on 08/08/17, and twelve month low on 03/23/18. (AMD). Analyzing recent price of AMD with 20 SMA we see that stock price is trading below from the 20 SMA.
Turning now to some additional numbers, the Relative Strength Index (RSI) is another highly popular momentum indicator used for technical analysis. Volume is incredibly important to traders.
What about ODP Stock's Volatility? These situations can be discovered by chart analysis and technical indicators, which we can use for our advantage - and that is precisely what technical analysis is trying to do. We observed -7.36% rate of return for a stock for the last 5-trading days, which was maintained for the month at -30.74%.
Price targets show what analysts believes a stock will be worth at the end of a certain time period. The current ratio for ODP is 1.40 and that of GES is 2.60. Its distance from 20-days simple moving average is -12.64 percent, and its distance from 50 days simple moving average is -27.37 percent while it has a distance of -46.16 percent from the 200 days simple moving average. It helps investors in determining whether buying, selling or holding on to a stock would be beneficial for them.
A moving average filters out random noise and offers a smoother perspective of the price action. When looking at the ERP5 ranking, it is generally considered the lower the value, the better. (3) A sideways trend, where the price is moving sideways. A longer-term moving average may be used to identify the primary price trend, a shorter moving average period to identify the secondary, price trend, and an even shorter moving average period to identify the minor price trend. Hudson Bay Capital Management Lp acquired 708,339 shares as Office Depot Inc (ODP)'s stock rose 10.79%.
Office Depot Cmn (NASDAQ:ODP) has grabbed attention from the analysts, when it saw a value increase of 5.94% or 0.12 points in the last trading session to close at $2.14. This gives investors an idea of how much the security has moved in the past year and whether it is trading near the top, middle or bottom of the range.
The stock has Return on Assets (ROA) of 3.2 percent. The ERP5 Rank may assist investors with spotting companies that are undervalued. They use historic price data to observe stock price patterns to predict the direction of that price going forward. (AMD) got attention from day Traders as RSI reading reached at 33.22. The RSI oscillates between 0 and 100.
ATR value of company was 0.13. As International Business Machines Corporation has a P/S, P/E and P/B values of 1.82, 12.74 and 8.06 respectively. Eagleclaw Cap Managment Ltd Liability Co owns 87,490 shares. Likewise, the performance for the quarter was recorded as -38.33% and for the year was -52.76%. (ODP) has been moved; whether it performed well or not. As far as the long term business investment is concerned, one should keep in mind that evaluating performance with long timeframe will lend a hand to corporate investors, shareholders and stakeholders to make more precise investment decisions that consist of Perf Quarter, Perf Half Y, Perf Year and Perf YTD.
Weekly/Monthly/Quarterly/YTD/Yearly Performance: The stocks has year to date performance of -39.55 percent and weekly performance of -7.36 percent. Company has conspicuous measure of stock oscillations; average true range may be heating up this temperature with value of 0.13. (ODP) is stands at 0.13. In a bear trend, sell when prices pullback up to the 20-period moving average.
Over the past week, the company showed volatility of 5.97%. A highly volatile stock is inherently riskier, but that risk cuts both ways.
Investors sentiment increased to 0.97 in 2017 Q3. The VC1 is calculated using the price to book value, price to sales, EBITDA to EV, price to cash flow, and price to earnings.
The volatility evaluation is a statistical measure of the dispersion of returns for a given security or market index. There are numerous metrics that measure volatility in differing contexts, and each trader has favorites. Bearing in mind these factors, the trade firm is facing with an ambiguous position. Simply put, volatility is a reflection of the degree to which price moves. Conversely, if an ETF's beta is 0.65, it is theoretically 35% less volatile than the market. More volatility means greater profit or loss. Many traders will use the ADX alongside other indicators in order to help spot proper trading entry/exit points. On Thursday, February 25 the stock rating was downgraded by Credit Agricole to "Underperform". Analysts mean recommendation for the stock is 3.00. Analyst rating score as published on FINVIZ are rated on a 1 to 5 scale. The stock has a market capitalization of $1,122.80, a PE ratio of 4.59, a P/E/G ratio of 0.38 and a beta of 2.55.