Franklin Street Properties Corp (AMEX:FSP) does about 438.21K shares in volume on a normal day but saw 1327883 shares change hands in the recent trading day. The company now has a market cap of 186.42M USD. Its current market price is $1.80, marking a decrease of -3.74% compared to the previous close of $1.87. The 52 week high reached by this stock is $2.72 whilst the lowest price level in 52 weeks is $1.47.
Franklin Street Properties Corp (FSP) has a 20-day trading average at $1.8720 and the current price is -33.82% off the 52-week high compared with 22.45% distance from its 52-week low. The 50-day simple moving average of the closing price is $1.8014 and its 200-day simple moving average is $1.8344. If we look at the stock’s price movements over the week, volatility stands at 5.41%, which decreases to 4.95% over 1 month. It is also key to look at other market indicators of price movement for the stock, where we see that the relative strength index (RSI) is at 45.23 to suggest the stock is neutral.
The consensus objective for the share price is $2.00, suggesting that the stock has a potential upside of 10.0% over the period.
The company shares received a number of brokerage firm price updates over the past month, with the latest being on January 07, 2020 when Robert W. Baird downgraded the stock to “Neutral” and issued a price target of $10. BMO Capital Markets also downgraded the stock to “Underperform” from Market Perform on January 07, 2020 at a price target of $8.
The current price level is -3.85%, -0.08%, and -1.88% away from its SMA20, SMA50, and SMA200 respectively, with the FSP price moving above the 50-day SMA on current market day. Its price is -29.69% year-to-date and -27.71% over the past year.
The company’s next earnings report forecasts estimating quarterly EPS at 0 and 0 for whole year.
To reach the target analysts have set, the stock logically needs to grow 10.0 percent from here.
Outstanding shares total 103.57M with insiders holding 24.50% of the shares and institutional holders owning 66.81% of the company’s common stock. The company has a return on investment of -4.32% and return on equity of -5.90%. The beta has a value of 0.81. Price to book ratio is 0.28 and price to sales ratio is 1.46.