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Sector: SYNL |
Avg Price 8.23 | -0.12 | (-1.44%) |
Volume: 18,560 | Relative Volume: 1.1 |
Gap%: -0.72% | %Ch-Open: -0.72% | Avg Vol(30d): 28.2 |
Dol Vol: $152,749 |
1W Perf: -5.97% | 1M Perf: -15.74% | AVol % Float: 0.337% |
Avg $V(30d): $253,674 |
3M Perf: -32.03% | 6M Perf: -42.29% | 1Y Perf: -45.39% | YTD Perf: -52.58% |
%Ch-52WL: +11.97% | %Ch-52WH: -56.32% | %Ch-50DL: +11.97% | %Ch-50DH: -22.06% |
RSI: 35.12 | %Ch-SMA20: -8.51% | %Ch-SMA50: -11.02% | %Ch-SMA200: -34.88% |
ATR: $0.6 |
Beta: 0.75 |
Volatility(W): 8.47% |
Volatility(M): 6.40% |
EVS: | 2.9 | EVS-FV: | $16.87 |
Tot EVS Dif: | -2.9 | EVS-FV Dif: | +104.98% |
Tot Mkt Cap: USA |
Avg Mkt Cap: 72.73 |
Avg SO: 8.71 |
Avg Float: 8.37 |
P/E: 6.84 |
For P/E: 17.4 |
PEG: 0.55 |
PEG(Trailing): 0.06 |
EPS (TTM): 1.22 | EG (Cur Yr): +245.20% | EG (Next Yr): -9.43% | EG (Yr Ago Q): -57.60% |
EG (Past 5Y): +117.20% | EG (Next 5Y): +12.40% | P/FCF: 6.55 |
MBR: 1 |
P/S: 0.37 |
PSG(Trailing): 0.49 | RG (Y Ago Q): -4.70% | RG (Past 5Y): +14.00% |
Gross Marg: 16.70% |
Oper Marg: 7.90% |
Profit Marg: 4.70% |
P/Cash: 363.64 |
Ret on Asset: 5.20% |
Ret on Equity: 8.40% |
Ret on Invest: 10.00% |
P/Book: 0.63 |
Cur Ratio: 4 |
Quick Ratio: 1.3 |
LT Debt/Eq: 0.25 |
Tot Debt/Eq: 0.29 |
Insider Own: 1.60% | Ins Trans: +19.15% | Inst Own: 55.60% | Inst Trans: -4.33% |
Div Yield: 3.59% |
Div PO Ratio: 27.80% |
Shrt % Float: 0.26% |
Short Ratio: 0.76 |
Industries in SYNL Sector View Stocks in Sector |