The department store operator reported $0.57 earnings per share (EPS) for the quarter, topping the Thomson Reuters' consensus estimate of $0.47 by $0.10.
EPS growth for the next 5 years is 0 percent.
J C Penney Company Inc (NYSE:JCP) has been assigned an average rating of "Hold" from the twenty-three ratings firms that are now covering the firm, MarketBeat.com reports. Moving 0.00% in the last session, the -7.91% year to date movement is indicitive of additional moves to come this year.
The stock exchanged hands with 9063713 numbers of shares contrast to its average daily volume of 6.84M shares. The lower end of the projection is $-0.08 per share, while the higher end is $0.12 per share.
Currently, the 14-day Relative Strength Index (RSI) reading is at 42.36. An RSI approaching 70 is typically deemed to be nearing overbought status and could be ripe for a pullback. It is a positive indicator for investor portfolio value - when the price of a stock Investor owns goes up in value. (NYSE:JCP). The New York-based Gamco Invsts Et Al has invested 0.03% in J. C. Penney Company, Inc. Schwab Charles Investment Management Inc. lifted its position in J. C. Penney by 15.4% in the 4th quarter. The share price has moved away from its 20 days moving average at the rate of -4.62% and its 50 days moving average returned -9.78%.
Now let's examine some potential support and resistance levels for this particular stock.
The recent session disclosed a 19.57% up lead over its 52-week stock price low and showed downward move of -50.06% over its 52-week high stock price. The moving average is used to observe price changes. The Williams %R oscillates in a range from 0 to -100. The Williams %R was developed by Larry Williams. (JCP) has made its way to a 12-month decline of -32.95%. Other technical indicators are worth considering in assessing the prospects for EQT. The stochastic is a momentum indicator comparing the closing price of a security to the range of its prices over a fix period of time. The RSI provides signals that tell investors to buy when the currency oversold and to sell when it is overbought. Earnings, with 16 analysts believing the company would generate an Average Estimate of $-0.2. (NYSE:JCP) for 20,001 shs.
ATR remains at 1.43 while Beta component of the stock stands at 1.14. Longer moving averages are used to isolate long-term trends. Traders often add the Plus Directional Indicator (+DI) and Minus Directional Indicator (-DI) to identify the direction of a trend. It just means that you need to consider other ways of looking at the stock before you can judge if this is a good investment or not. During the same period in the previous year, the firm earned $0.64 EPS. analysts forecast that J. C. Penney will post 0.14 earnings per share for the current fiscal year. (NYSE:JCP) is presently 3. (NYSE:JCP) with "Hold" rating. (NASDAQ:TRIP) rating on Monday, February 5. The scale runs from 1 to 5 with 1 recommending Strong Buy and 5 recommending a Strong Sell. Four analysts have rated the stock with a sell rating and seventeen have given a hold rating to the company's stock.
Quarterly Revenue Growth on year-over-year basis stands at 1.8 percent. The company now has an average rating of "Hold" and an average target price of $4.31.
Do investors think to respond accordingly to new analyst's rating and change a position based on the analyst's rating opinion without any further research? The stock price plunged -19.02% in three months and jumped 2.18% for the last six months trading period. A thorough research report will generally give detailed reasoning for a certain target projection. This gauge is crucial in determining whether investors are moved toward the direction of buying more of the stock, or else doing the contradictory side and selling more of the stock.
Performance Review of DISH Network Corporation, (NASDAQ: DISH): The stock has shown a weekly performance of -3.96 percent and monthly performance stands at -18.18 percent.
The S&P 500 was up 0.3 per cent, with materials, up 0.9 per cent, consumer cyclicals, up 0.6 per cent, and consumer staples, up 0.5 per cent, the index's best sectors.
If we look at the Volatility of the company, Week Volatility is 5.86%, whereas Month Volatility is at 4.99%.