The stock exchanged hands with 4,340,103 numbers of shares compared to its average daily volume of 1.69M shares. (MRNS)'s shares. The total value of these holdings, in millions, is $52. The Williams %R indicator helps show the relative situation of the current price close to the period being observed. Moving averages are a very simple tool to use, like most technical indicators, different traders will focus on different ways to use them. Investors who put in the time to study all the fundamentals may want to also start watching the charts on stock that they are thinking about adding to the portfolio. Although there are plenty of investors who will stick to the solid, historically steady stocks, there are plenty more that are searching for that next big victor that will give the portfolio a big bump. A value of 50-75 would identify a very strong trend, and a value of 75-100 would lead to an extremely strong trend. Look at its top three institutional owners.
Where the Level Of Risk Stands For This Stock?
Whereas for long term intention, measuring performance with long timeframe can help for taking more accurate investment decision that includes quarter, semi-annual and annual performance.
Standard deviation gauges the dispersion of data from its projected value. It has a Return on Investment (ROI) of 21.00% and a gross margin of 83.20%. The older the historical return data is, the more likely it is to be less useful when predicting future returns. These unswerving movements and comparing with its overall performance have shaped higher daily volatility making other factor as constant (Micro/macroeconomic factors). (NasdaqGM:MRNS) is 96.141100. The Volatility 6m is the same, except measured over the course of six months.
The Piotroski F-Score is a scoring system between 1-9 that determines a firm's financial strength. This comparison showed up direction of price above its 200-SMA. It has a return on equity (ROE) of -114.90%. The 6 month volatility is 79.925, and the 3 month is spotted at 96.1411.
Stock volatility is a percentage that indicates whether a stock is a desirable purchase. For example, suppose a security's beta is 1.5. Knowing every little detail about a company may not be overly necessary, but it may help provide a bit more direction when navigating the stock market maze.
On the other hand Marinus Pharma CS (NASDAQ:MRNS) has Relative Strength Index (RSI 14) of 72.72 along with Average True Range (ATR 14) of 0.62. Commodities are normally more volatile than stocks. (NasdaqGM:MRNS). Currently, the Earnings to Price (Yield) is -10.19%, Earnings Yield is -10.45%, and Earnings Yield 5 year average is. Its Average True Range (ATR) value figured out at 1.50. The VC1 is calculated using the price to book value, price to sales, EBITDA to EV, price to cash flow, and price to earnings. Similarly, investors look up the share price over 12 month periods.
Recent insider trends for Marinus Pharmaceuticals, Inc. (NASDAQ:MRNS) by some 836,681 shares, 17 decreased positions by 667,287 and 7 held positions by 5,993,536. Through this figure traders can analyze that MRNS show whether or not a stock now most active and standing in buying side or sell side. Information in this release is fact checked and produced by competent editors of Hot Stocks Point; however, human error can exist.