Previous close | 147.00 |
Open | 147.49 |
Bid | 148.00 x 0 |
Ask | 155.00 x 0 |
Day's range | 146.11 - 155.00 |
52-week range | 61.00 - 200.40 |
Volume | |
Avg. volume | 224,278 |
Market cap | 149.44M |
Beta (5Y monthly) | 1.20 |
PE ratio (TTM) | 25.42 |
EPS (TTM) | 0.06 |
Earnings date | 20 Jun 2023 |
Forward dividend & yield | N/A (N/A) |
Ex-dividend date | 09 Dec 2021 |
1y target est | 2.57 |
There are three reasons risk-averse investors can look away now, or at least skip to the bottom of this column. First, we are looking at a small, even “micro-cap” stock. Second, it is a turnaround play and the danger with such investments is that they may fail to turn around. Finally, it is a return visit to a share previously traded with some success (we said buy in 2017 and sell the following year at a 120pc profit), which may just be tempting providence.