Electro Scientific Industries (ESIO) plunged -0.95% with the final price of $ 22.88 inches Friday Trade session. The share price showed -17.46% negative in value of one year high price and revealed an increase of 104.83% compared to the lowest price in one year. In the past week Electro Scientific Industries stock price volatility quoted 2.72%, while for the last month volatility was seen at 4.16%. The Average True Range (ATR) shows a number of 0.86. Return on assets (ROA) results in 43.60%. While Return on Investment (ROI) was 41.50%.
The 4.56% positive image painted by the trends generated about 20 SMAs. The established market sentiment towards the shares has created a trading environment that can be appropriately described as optimistic.
A positive movement has been seen around the 50 SMAs. The share price shows a distance of 20.05% over 50 SMA. At first glance it seems the higher the 50-day moving average, the more bullish the market is (and the lower it goes, the more bearish). In practice, however, the opposite is true. The 50-day moving average is seen as the dividing line between a stock that is technically sound and one that is not. In addition, the percentage of shares above their 50-day moving average determines the overall health of the market. Many market traders also use moving averages to determine profitable entry and exit points in specific securities. Electro Scientific Industries (ESIO) has shown a positive trend based on recent traffic of 200 SMA with 13.89% during the recent market activity. This trend reveals the recent direction. The current direction of 200 SMA is upward. If the price of the past 200 days changes in an upward trend, pay attention to buying opportunities and if it shows a downward trend, the price is lower than the last 200 days, looking for sales opportunities.
The current value of the RSI is 63.09. The relative strength index (RSI) values emphasize overbought above 70 and oversold under 30. The stock also has a beta of 0.98. When the beta is less / more than 1, it can be interpreted that the shares are in theory less / more volatile than the market – something that traders will certainly keep an eye on.
In terms of profitability, the company has a profit margin of 35.60%, a gross margin of 46.20% and an operating value of 26.00%. The share price changed to -0.04% last week. Company shares have performed 13.55% over the last three months and have moved 97.75% over the past 12 months.
Involved analysts have a rating of 1.5. This recommendation scale on the basis of 1 to 5. Analysts offer the company with a rating of 3 a sign of a Hold rating. Analysts pass on shares, a rating of 1 or 2 means a purchase. A rating of 4 or 5 would give a tip to a sales suggestion.