AT&T Inc. (NYSE:T)
On Friday, AT&T Inc. (NYSE:T)’s shares inclined 0.09% to $33.65.
T has the market capitalization of $207.08 billion. The stock has P/B ratio of 1.64 while EPS was $0.86. Institutional ownership of the company was 55.00% while 6.15 billion shares were outstanding. Net profit margin of the Company was 6.20% while its gross profit margin was 52.60%. Share of the company moved above its SMA 50 with 2.30%. ROE ratio was 8.90% while ROI was 4.80%.
Analysts mean recommendation for the stock is 2.40. This number is based on a 1 to 5 scale where 1 indicates a Strong Buy recommendation while 5 represents a Strong Sell.
AT&T Inc. is a holding company. The Company provides telecommunications services. Its services and products include wireless communications, data/broadband and Internet services, video services, local exchange services, long-distance services, telecommunications equipment, managed networking and wholesale services.
Navient Corp (NASDAQ:NAVI)
Navient Corp (NASDAQ:NAVI)’s shares gained 1.28% to $11.85.
NAVI has market capitalization of $4.29 billion. Its shares were below its 50 days simple moving average with -4.72%. The company offered earning per share of $2.45 while its 362.00 million shares were outstanding. YTD performance of the company was -45.16%. Stock volatility for the week was 2.90% while for the month it was shown at 3.74%.
The mean estimate for the short term price target for Navient Corp (NASDAQ:NAVI) stands at $18.44 according to 9 Analysts. The higher price target estimate for the stock has been calculated at $22.50. while the lower price target estimate is at $14.50.
Analysts mean recommendation for the stock is 2.00. This number is based on a 1 to 5 scale where 1 indicates a Strong Buy recommendation while 5 represents a Strong Sell.
Navient Corporation is a loan management, servicing and asset recovery company. The Company holds the portfolio of education loans insured or guaranteed under the Federal Family Education Loan Program (FFELP), as well as the portfolio of Private Education Loans.
Pan American Silver Corp. (USA) (NASDAQ:PAAS)
At the end of Friday’s trade, Pan American Silver Corp. (USA) (NASDAQ:PAAS)‘s shares dipped -3.90% to $6.66.
PAAS Its past 5-day performance at -3.48%. So far in 2015, the company has a year-to-date performance of -27.61%. The stock, as of last close, traded 14.69% up from its 52 week low and was -42.94% below its 52 week high. Its latest closing price was -18.68% below the SMA200 while the distance from SMA 50 and SMA 20 was -7.07% and -8.19% respectively.
The mean estimate for the short term price target for Pan American Silver Corp. (USA) (NASDAQ:PAAS) stands at $7.74 according to 11 Analysts. The higher price target estimate for the stock has been calculated at $12.00 while the lower price target estimate is at $5.50.
Analysts mean recommendation for the stock is 3.00. This number is based on a 1 to 5 scale where 1 indicates a Strong Buy recommendation while 5 represents a Strong Sell.
Pan American Silver Corp. (Pan American) is engaged in the operation and development of and exploration for silver producing properties and assets. The Company’s principal product is silver. The Company also produces and sells gold, zinc, lead, and copper.
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