Vodafone Group plc ADR (NASDAQ:VOD) currently has a daily average trading volume of 5.47M but it saw 9055644 shares traded in last market. With a market cap of 21.46B USD, the company’s current market price of $8.38 came falling about -0.36 while comparing to the previous closing price of $8.41. In past 52 weeks, the stock remained buoying in the range of price level as high as $10.39 and as low as $8.02. In the recent trading on the day, stock has struck highest price mark of $8.37 while lowest mark touched by it was $8.45.
Taking a look at 20-day trading activity of Vodafone Group plc ADR (VOD) gives us an average price of $8.79, while its current price level is -19.35% below from 52-week high level whereas it is 4.49% above from lowest level seen by the stock during that period. Simple moving average of 50 days or SMA-50 of the stock’s closing price is $9.12 while that of 200 days or SMA-200 reads an average of $9.18. A closer look into the stock’s movement over the week reveals that its volatility is standing at 1.36% during that period while stretching the period over a month that decreases to 1.29%. It is also necessary to take a look into other indicators of a stock too, to get a better idea about its price movement. And in doing so, we find stock’s 14-day relative strength index (RSI) standing at 33.23 which implies that the stock is in neutral territory.
Over the week, VOD’s stock price is moving -3.46% down while it is -6.05% when we observe its performance for the past one month. Year-to-date it is -3.68% down and over the past year, the stock is showing a downside performance of -2.22%.
The company is expected to be releasing its next quarterly report in January, for which analysts forecasted an EPS of 0 while estimate for next year EPS is 0.35.
Currently, Vodafone Group plc ADR’s total number of outstanding shares is 2.56B with 0.00% of that held by the insiders while 8.31% of its common stock has been owned by the institutions. Company’s return on investment (ROI) stands at 2.32% and return on equity (ROE) at 4.31%. It has a price to earnings ratio (P/E ratio) of 8.18 while having a 7.95 of forward P/E ratio. Stock’s beta reads 0.72. Stock has a price to book (P/B) ratio of 0.31 while price to sale or P/S ratio amounts to 0.60. Its return on asset (ROA) is 1.80% on average.