On Thursday, Teva Pharmaceutical Industries Ltd (ADR) (NYSE:TEVA)’s shares inclined 0.68% to $63.55.
TEVA has 56.70% institutional ownership while its EPS ratio was 2.06. The company has 961.22 million shares outstanding while market capitalization of the company was $61.61 billion. Price to book ratio was 2.38. Net profit margin of the company was 8.90% while gross profit margin was 57.20%. Stock volatility for the month was booked as 3.01% while for the week was recorded as 2.73%. The mean estimate for the short term price target for Teva Pharmaceutical Industries Ltd (ADR) (NYSE:TEVA) stands at $76.43 according to 21 Analysts. The higher price target estimate for the stock has been calculated at $100.00 while the lower price target estimate is at $62.00. Teva Pharmaceutical Industries Ltd (ADR) (NYSE:TEVA) is a global pharmaceutical and drug company. The Company’s generic products cover almost every major therapeutic area. The Company operates its business in two segments: Generic medicines, which manufactures and sells generic pharmaceutical products in several dosage forms
Morgan Stanley (NYSE:MS)’s shares dropped -1.23% to $34.46.
MS has the market capitalization of $67.57 billion. The stock has P/B ratio of 0.97 while EPS was $1.61. Institutional ownership of the company was 58.70% while 1.94 billion shares were outstanding. Net profit margin of the Company was 8.30% while its gross profit margin was 86.90%. Share of the company moved above its SMA 50 with 4.03%. ROE ratio was 4.70% while ROI was 0.80%. The mean estimate for the short term price target for Morgan Stanley (NYSE:MS) stands at $38.33 according to 23 Analysts. The higher price target estimate for the stock has been calculated at $46.00 while the lower price target estimate is at $31.00. Morgan Stanley (NYSE:MS) is a financial holding company. Through its subsidiaries and affiliates, the Company provides a variety of products and financial services to a group of clients and customers, including corporations, governments, financial institutions and individuals.
At the end of Thursday’s trade, Apollo Global Management LLC (NYSE:APO)‘s shares dipped -2.37% to $15.67.
So far in 2015, the company has a year-to-date performance of -33.55%. The stock, as of last close, traded 4.28% up from its 52 week low and was -33.34% below its 52 week high. Its latest closing price was -20.48% below the SMA200 while the distance from SMA 50 and SMA 20 was -10.63% and -8.08% respectively. The mean estimate for the short term price target for Apollo Global Management LLC (NYSE:APO) stands at $24.03 according to 15 Analysts. The higher price target estimate for the stock has been calculated at $41.00 while the lower price target estimate is at $16.50. Apollo Global Management LLC (NYSE:APO) is an investment manager in private equity, credit and real estate. The Company raises, invests and manages funds on behalf of pension, endowment and sovereign wealth funds, as well as other institutional and individual investors.
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