The top gainers for today include Ferrari N.V. RACE from the sector Consumer Goods with a gain of -1.02%. The price is $ 70.59, at present and the target price is $ 63.93.
The weekly performance for Ferrari N.V. is -1.86%, which is not surprising given the gain it made today.
The earnings per share (EPS) growth forecasted for 2016 is currently 3.35%. The earnings per share quarter to quarter growth is 104.50%
The simple 20 day moving average is up by -1.93% and the 52-week low is 82.36%.
The monthly and quarterly performance for Ferrari N.V. is not as bright as it currently stands at 3.16% and 18.00%. However it is poised to change given the current performance trend.
Ferrari N.V. has a total market capitalization of 13335.86 with a return on assets (ROA – calculated by dividing the total annual earnings by the company’s total assets – illustrates how profitable a company really is in relation to its total assets) of 9.70%. It has a dividend yield of 0.95% while the payout ratio is 30.10%.
Ferrari N.V. has a gross margin of 49.10% and an operating margin of 19.20%. The net profit margin stands at 12.80%.
The weekly volatility is 1.39% and the monthly volatility is 1.21%. Volatility is basically a statistical measure of the dispersion of returns for a given security or market index. It can be either be measured by implementing the standard deviation or by simply calculating the variance between returns from that market index.