Chesapeake Energy Corporation (NYSE:CHK)
On Friday, Chesapeake Energy Corporation (NYSE:CHK)’s shares declined -3.80% to $6.08.
CHK is currently valued at $4.06 billion. The company has 665.07 million shares outstanding and 95.60% shares of the company were owned by institutional investors. The company has 0.30 value in price to sale ratio while price to book ratio was recorded as 3.32. The company exchanged hands with 28.54 million shares as compared to its average daily volume of 19.38 million shares. It beta stands at 1.39.
The mean estimate for the 8.57 according to 27 Analysts. The higher price target estimate for the stock has been calculated at $13.00 while the lower price target estimate is at $5.00.
Analysts mean recommendation for the stock is -3.20. This number is based on a 1 to 5 scale where 1 indicates a Strong Buy recommendation while 5 represents a Strong Sell.
Chesapeake Energy Corporation (NYSE:CHK) is a producer of natural gas, oil and natural gas liquids (NGL) in the United States. The Company operates in two segments: Exploration and Production, and Marketing, Gathering and Compression.
Perrigo Company (NYSE:PRGO)
Perrigo Company plc (NYSE:PRGO)’s shares dropped -6.16% to $146.90.
The company has the market capitalization of $21.51 billion. Return on assets ratio of the company was 1.30% while its return on equity ratio was 2.40%. ATR value of company was 6.30 while stock volatility for week was 4.19% while for month was 3.74%. Debt to equity ratio of the company was -0.50 and its current ratio was 1.70.
The mean estimate for the short term price target for Perrigo Company plc Ordinary Shares (NYSE:PRGO) stands at $199.78 according to 9 Analysts. The higher price target estimate for the stock has been calculated at $230.00 while the lower price target estimate is at $156.00.
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.
Perrigo Company, (NYSE:PRGO), through its subsidiaries, develops, manufactures, and markets over-the-counter (OTC) consumer goods and pharmaceutical products worldwide. The company operates through Consumer Healthcare (CHC), Branded Consumer Healthcare (BCH), Prescription Pharmaceuticals (Rx Pharmaceuticals), Specialty Sciences, and Other segments.
Avon Products, Inc. (NYSE:AVP)
At the end of Friday’s trade, Avon Products, Inc. (NYSE:AVP)‘s shares dipped -6.20% to $2.49.
AVP offered -21.30% EPS for prior five years. The company has $1.09 billion market capitalizations. Volatility of the stock was 10.77% for the week while for the month booked as 8.56%.
The mean estimate for the short term price target for Avon Products, Inc. (NYSE:AVP) stands at $4.52 according to 10 Analysts. The higher price target estimate for the stock has been calculated at $10.00 while the lower price target estimate is at $2.50.
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.
Avon Products, Inc. (NYSE:AVP) is a manufacturer and marketer of beauty and related products. The Company’s offers its products under two product categories: Beauty and Fashion & Home.
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