On Wednesday, Macy’s, Inc. (NYSE:M)’s shares declined 14.06% to $40.41.
M has the market capitalization of $15.56 billion. The stock has P/B ratio of 0.48 while EPS was $4.06. Institutional ownership of the company was 91.30% while 330.98 million shares were outstanding. Net profit margin of the Company was 5.10% while its gross profit margin was 39.90%. Share of the company moved below its SMA 50 with -22.82%. ROE ratio was 27.30% while ROI was 15.10%.
The mean estimate for the short term price target for Macy’s, Inc. (NYSE:M) stands at $58.90 according to 20 Analysts. The higher price target estimate for the stock has been calculated at $76.00 while the lower price target estimate is at $43.00.
Analysts mean recommendation for the stock is 2.70. This number is based on a 1 to 5 scale where 1 indicates a Strong Buy recommendation while 5 represents a Strong Sell.
Macy’s, Inc. is an omnichannel retail company operating stores, Websites (macys.com, bloomingdales.com and bluemercury.com) and mobile. As of January 31, 2015, the operations of the Company included 823 stores with an area of approximately 147,400,000 square feet in 45 states of the United States.
SandRidge Energy Inc. (NYSE:SD)’s shares dropped -2.30% to $0.361.
SD Its past 5-day performance at -2.38%. So far in 2015, the company has a year-to-date performance of -80.14%. The stock, as of last close, traded 44.60% up from its 52 week low and was -91.39% below its 52 week high. Its latest closing price was -66.74% below the SMA200 while the distance from SMA 50 and SMA 20 was -10.03% and -5.49% respectively.
The mean estimate for the short term price target for SandRidge Energy Inc. (NYSE:SD) stands at $0.61 according to 14 Analysts. The higher price target estimate for the stock has been calculated at $1.40.
Analysts mean recommendation for the stock is -3.40. This number is based on a 1 to 5 scale where 1 indicates a Strong Buy recommendation while 5 represents a Strong Sell.
SandRidge Energy, Inc. is an oil and natural gas company. The Company operates in three business segments: exploration and production, drilling and oil field services, and midstream services.
At the end of Wednesday’s trade, Owens & Minor, Inc. (NYSE:OMI)‘s shares surged 1.30% to $37.50.
OMI has market capitalization of $2.33 billion. Its current ratio was 1.80 while its shares were above its 50 days simple moving average with 9.06%. The company offered earning per share of $1.36 while its 62.89 million shares were outstanding. YTD performance of the company was 6.81%. Stock volatility for the week was 1.35% while for the month it was shown at 1.66%.
The mean estimate for the short term price target for Owens & Minor, Inc. (NYSE:OMI) stands at $34.22 according to 9 Analysts. The higher price target estimate for the stock has been calculated at $37.00 while the lower price target estimate is at $29.00.
Analysts mean recommendation for the stock is -3.40. This number is based on a 1 to 5 scale where 1 indicates a Strong Buy recommendation while 5 represents a Strong Sell.
Owens & Minor, Inc. is a healthcare logistics company. The Company provides supply chain assistance to the providers of healthcare services and the manufacturers of healthcare products, supplies and devices.
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