Index -
P/E -
EPS (ttm) -2.34
Insider Own -
Shs Outstand 172.53M
Perf Week 4.10%
Market Cap 1.55B
Forward P/E 14.24
EPS next Y 0.63
Insider Trans -
Shs Float 172.20M
Perf Month -17.39%
Income -933.13M
PEG -
EPS next Q -0.48
Inst Own 3.10%
Short Float 0.70%
Perf Quarter 18.17%
Sales 14.12B
P/S 0.11
EPS this Y 45.31%
Inst Trans -7.95%
Short Ratio 1.23
Perf Half Y 27.18%
Book/sh 2.06
P/B 4.37
EPS next Y 150.50%
ROA -5.25%
Short Interest 1.21M
Perf Year 20.38%
Cash/sh 22.84
P/C 0.39
EPS next 5Y 9.70%
ROE -84.50%
52W Range 6.30 - 12.67
Perf YTD 2.09%
Dividend Est. 0.04 (0.41%)
P/FCF -
EPS past 5Y -
ROI -7.54%
52W High -28.93%
Beta 1.98
Dividend TTM -
Quick Ratio 1.02
Sales past 5Y 2.54%
Gross Margin 4.27%
52W Low 42.93%
ATR (14) 0.33
Dividend Ex-Date Dec 10, 2021
Current Ratio 1.53
EPS Y/Y TTM -1100.00%
Oper. Margin -2.62%
RSI (14) 46.87
Volatility 3.18% 3.13%
Employees 8569
Debt/Eq 15.01
Sales Y/Y TTM -24.62%
Profit Margin -6.61%
Recom 2.11
Target Price 11.80
Option/Short No / Yes
LT Debt/Eq 14.07
EPS Q/Q 2.45%
Payout -
Rel Volume 0.66
Prev Close 8.72
Sales Surprise -1.76%
EPS Surprise -125.84%
Sales Q/Q -6.78%
Earnings Mar 18 BMO
Avg Volume 980.80K
Price 9.00
SMA20 -4.72%
SMA50 -0.06%
SMA200 5.91%
Trades
Volume 381,451
Change 3.26%
Date
Action
Analyst
Rating Change
Price Target Change
Aug-29-23 Downgrade
UBS
Neutral → Sell
Jul-05-23 Downgrade
JP Morgan
Overweight → Neutral
$11.50 → $11
Jun-14-23 Upgrade
HSBC Securities
Hold → Buy
May-18-23 Downgrade
UBS
Buy → Neutral
May-08-23 Upgrade
Scotiabank
Sector Perform → Sector Outperform
$16.75
Dec-15-22 Downgrade
UBS
Buy → Neutral
Oct-26-22 Upgrade
Scotiabank
Sector Underperform → Sector Perform
Oct-24-22 Downgrade
BofA Securities
Buy → Neutral
Aug-15-22 Downgrade
Scotiabank
Sector Perform → Sector Underperform
Aug-15-22 Downgrade
Scotia Howard Weil
Sector Perform → Sector Underperform
Jan-26-22 Upgrade
HSBC Securities
Hold → Buy
$22
Sep-21-21 Resumed
BofA Securities
Buy
$32
Apr-22-21 Downgrade
HSBC Securities
Buy → Hold
$20
Feb-24-21 Upgrade
JP Morgan
Neutral → Overweight
$14
Jun-12-20 Downgrade
UBS
Buy → Neutral
May-18-20 Upgrade
JP Morgan
Underweight → Neutral
May-13-20 Upgrade
UBS
Sell → Buy
Mar-04-20 Resumed
Citigroup
Neutral
Jan-24-20 Downgrade
JP Morgan
Neutral → Underweight
Show Previous Ratings
Apr-22-24 12:34PM
Mar-20-24 11:15AM
Mar-19-24 08:53PM
03:11PM
09:04AM
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Sep-18-23 11:42AM
Sep-15-23 05:39PM
Sep-12-23 09:00AM
Sep-11-23 04:12PM
(American City Business Journals)
08:00AM
Aug-17-23 11:00PM
04:00AM
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Braskem SA engages in the manufacture of petrochemicals and other related products. It operates through the following segments: Brazil, USA, and Europe and Mexico. The Brazil segment includes production and sale of chemicals, supply of electricity, and production and sale of PE. The USA and Europe segment involves production, operation, and sale of polypropylene in the United States and Germany. The Mexico segment comprises production, operation, and sale of ethylene, high-density polyethylene and low-density polyethylene in Mexico. The company was founded in August 2002 and is headquartered in Butanta, Brazil.
Index -
P/E -
EPS (ttm) -0.42
Insider Own 6.83%
Shs Outstand 44.24M
Perf Week 7.58%
Market Cap 130.05M
Forward P/E 16.25
EPS next Y 0.18
Insider Trans 0.00%
Shs Float 40.66M
Perf Month -39.06%
Income -18.06M
PEG -
EPS next Q -0.08
Inst Own 50.67%
Short Float 4.25%
Perf Quarter 15.73%
Sales 75.80M
P/S 1.72
EPS this Y 21.32%
Inst Trans 3.47%
Short Ratio 0.67
Perf Half Y 39.25%
Book/sh 4.53
P/B 0.66
EPS next Y 168.54%
ROA -4.91%
Short Interest 1.73M
Perf Year -7.17%
Cash/sh 1.20
P/C 2.49
EPS next 5Y 15.00%
ROE -8.40%
52W Range 1.89 - 5.64
Perf YTD 24.17%
Dividend Est. -
P/FCF -
EPS past 5Y -
ROI -8.75%
52W High -47.16%
Beta 2.29
Dividend TTM -
Quick Ratio 1.03
Sales past 5Y -0.73%
Gross Margin 17.57%
52W Low 57.67%
ATR (14) 0.32
Dividend Ex-Date -
Current Ratio 2.09
EPS Y/Y TTM -213.94%
Oper. Margin -28.46%
RSI (14) 39.56
Volatility 4.65% 9.07%
Employees 1456
Debt/Eq 0.27
Sales Y/Y TTM -46.29%
Profit Margin -23.82%
Recom 1.00
Target Price 5.50
Option/Short Yes / Yes
LT Debt/Eq 0.01
EPS Q/Q -381.58%
Payout -
Rel Volume 0.17
Prev Close 2.90
Sales Surprise 16.27%
EPS Surprise 46.81%
Sales Q/Q -23.76%
Earnings May 02 AMC
Avg Volume 2.57M
Price 2.98
SMA20 -15.05%
SMA50 -23.99%
SMA200 5.99%
Trades
Volume 254,448
Change 2.76%
Date
Action
Analyst
Rating Change
Price Target Change
Feb-23-24 Upgrade
Craig Hallum
Hold → Buy
$2.25 → $3.75
Feb-23-24 Upgrade
B. Riley Securities
Neutral → Buy
$2.40 → $3.80
Feb-17-23 Downgrade
Craig Hallum
Buy → Hold
$7 → $5.50
Jun-27-22 Initiated
Needham
Buy
$8
Nov-04-21 Initiated
Wedbush
Outperform
$11
Oct-06-20 Downgrade
B. Riley Securities
Buy → Neutral
$6.60
Oct-03-19 Downgrade
Dougherty & Company
Buy → Neutral
Oct-26-17 Reiterated
Needham
Buy
$10 → $11
Jul-27-17 Reiterated
BWS Financial
Buy
$10 → $12
Apr-27-17 Reiterated
Needham
Buy
$8.50 → $9
Apr-11-17 Initiated
BWS Financial
Buy
$10
Feb-23-17 Reiterated
Needham
Buy
$6.50 → $8.50
Feb-13-17 Initiated
Dougherty & Company
Buy
$8
Oct-27-16 Reiterated
Needham
Buy
$5.50 → $6.50
Jul-28-16 Upgrade
Needham
Hold → Buy
$5.50
May-03-16 Upgrade
Craig Hallum
Hold → Buy
Oct-31-14 Upgrade
Northland Capital
Market Perform → Outperform
Nov-02-12 Downgrade
Needham
Buy → Hold
Apr-26-12 Downgrade
Northland Securities
Outperform → Market Perform
$7.50 → $6.50
Mar-16-12 Upgrade
Northland Securities
Market Perform → Outperform
$7.50 → $8
Show Previous Ratings
Apr-24-24 09:30AM
Apr-22-24 06:00PM
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Apr-19-24 09:00PM
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06:00PM
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(Thomson Reuters StreetEvents)
Feb-22-24 09:01PM
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(Associated Press Finance)
04:05PM
Jan-23-24 04:05PM
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(Thomson Reuters StreetEvents)
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(Associated Press Finance)
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(Associated Press Finance)
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Mar-26-22 02:37PM
AXT, Inc. engages in the design, development, manufacture and distribution of compound and single element semiconductor substrates. It also sells specialty material substrates and raw materials used to make substrates and other related products. The company was founded by Morris S. Young and Davis Zhang in 1986 and is headquartered in Fremont, CA.
Index RUT
P/E 26.64
EPS (ttm) 0.76
Insider Own 48.24%
Shs Outstand 200.48M
Perf Week 0.74%
Market Cap 4.08B
Forward P/E 9.34
EPS next Y 2.18
Insider Trans 0.00%
Shs Float 103.77M
Perf Month -8.17%
Income 155.00M
PEG 0.80
EPS next Q 0.31
Inst Own 44.90%
Short Float 1.23%
Perf Quarter -23.64%
Sales 4.31B
P/S 0.95
EPS this Y -17.90%
Inst Trans -3.37%
Short Ratio 1.00
Perf Half Y -27.79%
Book/sh 7.20
P/B 2.83
EPS next Y 31.31%
ROA 1.49%
Short Interest 1.28M
Perf Year -24.85%
Cash/sh 3.69
P/C 5.52
EPS next 5Y 33.45%
ROE 10.86%
52W Range 19.54 - 33.99
Perf YTD -25.76%
Dividend Est. 0.80 (3.93%)
P/FCF 6.40
EPS past 5Y -
ROI 2.12%
52W High -40.13%
Beta 1.95
Dividend TTM 0.80 (3.93%)
Quick Ratio 1.05
Sales past 5Y -0.55%
Gross Margin 48.87%
52W Low 4.15%
ATR (14) 0.59
Dividend Ex-Date Mar 25, 2024
Current Ratio 1.24
EPS Y/Y TTM -42.94%
Oper. Margin 24.09%
RSI (14) 39.97
Volatility 1.80% 2.64%
Employees 11016
Debt/Eq 4.11
Sales Y/Y TTM 1.99%
Profit Margin 3.60%
Recom 2.11
Target Price 28.52
Option/Short Yes / Yes
LT Debt/Eq 4.07
EPS Q/Q 87.54%
Payout 104.10%
Rel Volume 0.67
Prev Close 20.26
Sales Surprise 2.03%
EPS Surprise 8.25%
Sales Q/Q 3.39%
Earnings May 14 BMO
Avg Volume 1.28M
Price 20.35
SMA20 -2.44%
SMA50 -10.62%
SMA200 -26.09%
Trades
Volume 506,323
Change 0.44%
Date
Action
Analyst
Rating Change
Price Target Change
Apr-05-24 Resumed
B. Riley Securities
Buy
$30
Mar-04-24 Downgrade
Stifel
Buy → Hold
$31 → $30
Mar-01-24 Downgrade
Truist
Buy → Hold
$32 → $30
Jan-04-24 Downgrade
Jefferies
Buy → Hold
$36 → $29
May-11-23 Upgrade
Susquehanna
Neutral → Positive
$31
Apr-20-23 Initiated
B. Riley Securities
Buy
$43
May-12-22 Upgrade
Jefferies
Hold → Buy
$30 → $26
Dec-17-21 Initiated
Stifel
Buy
$43
Nov-17-21 Downgrade
Jefferies
Buy → Hold
$38 → $33
Oct-19-21 Initiated
Berenberg
Buy
$35
May-13-21 Resumed
Credit Suisse
Outperform
$32
Jan-19-21 Upgrade
Jefferies
Hold → Buy
$24
Jan-12-21 Upgrade
Argus
Hold → Buy
$21
Nov-19-20 Upgrade
Credit Suisse
Underperform → Neutral
$5 → $14
Aug-07-20 Downgrade
Susquehanna
Positive → Neutral
May-21-20 Resumed
Credit Suisse
Underperform
$19 → $5
May-21-20 Downgrade
Societe Generale
Buy → Hold
$8.20
May-06-20 Downgrade
SunTrust
Buy → Hold
Mar-05-20 Downgrade
Argus
Buy → Hold
Jan-06-20 Downgrade
Jefferies
Buy → Hold
$20 → $17
Show Previous Ratings
Apr-18-24 08:31AM
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(Associated Press Finance)
06:58AM
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Nov-03-23 02:38PM
(Investor's Business Daily)
Nov-01-23 04:31PM
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01:30PM
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06:49AM
(Associated Press Finance)
06:40AM
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08:05AM
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09:08AM
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International Game Technology PLC engages in the designing, manufacturing, and marketing of electronic gaming equipment, software, and network systems. It operates through the Global Lottery, Global Gaming, and PlayDigital segments. The Global Lottery segment has responsibility for the worldwide traditional lottery and iLottery business, including sales, operations, product development, technology, and support. The Global Gaming segment includes iGaming, sports betting, sales, product management, studios, global manufacturing, operations, and technology. The PlayDigital segment has full responsibility for the worldwide iGaming and sports betting activities. The company was founded in 1990 and is headquartered in London, the United Kingdom.
Index -
P/E 161.74
EPS (ttm) 0.02
Insider Own 4.54%
Shs Outstand 19.98M
Perf Week -7.46%
Market Cap 74.33M
Forward P/E -
EPS next Y -
Insider Trans 0.00%
Shs Float 19.07M
Perf Month -7.23%
Income 0.65M
PEG -
EPS next Q -
Inst Own 40.45%
Short Float 7.27%
Perf Quarter -19.13%
Sales 1.11M
P/S 66.96
EPS this Y -
Inst Trans 7.46%
Short Ratio 19.62
Perf Half Y 1.92%
Book/sh -0.81
P/B -
EPS next Y -
ROA 4.09%
Short Interest 1.39M
Perf Year 28.28%
Cash/sh 0.09
P/C 40.62
EPS next 5Y -
ROE -
52W Range 2.84 - 5.07
Perf YTD -20.00%
Dividend Est. -
P/FCF -
EPS past 5Y -7.07%
ROI 2.89%
52W High -26.63%
Beta 0.27
Dividend TTM -
Quick Ratio 0.11
Sales past 5Y -
Gross Margin -523.07%
52W Low 30.99%
ATR (14) 0.21
Dividend Ex-Date -
Current Ratio 0.11
EPS Y/Y TTM 102.77%
Oper. Margin -1244.07%
RSI (14) 42.99
Volatility 6.37% 5.25%
Employees -
Debt/Eq -
Sales Y/Y TTM -2.72%
Profit Margin 58.75%
Recom 1.00
Target Price 7.50
Option/Short Yes / Yes
LT Debt/Eq -
EPS Q/Q 3.04%
Payout -
Rel Volume 0.54
Prev Close 3.64
Sales Surprise -
EPS Surprise -
Sales Q/Q -55.78%
Earnings -
Avg Volume 70.63K
Price 3.72
SMA20 -2.99%
SMA50 -10.26%
SMA200 -5.75%
Trades
Volume 22,369
Change 2.20%
Date
Action
Analyst
Rating Change
Price Target Change
Apr-13-16 Downgrade
Craig Hallum
Buy → Hold
Apr-19-24 04:30PM
Dec-04-23 06:04PM
Nov-29-23 12:34PM
(The Wall Street Journal)
Nov-28-23 06:05PM
Jun-13-23 08:30AM
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Odyssey Marine Exploration, Inc. is a deep-ocean exploration pioneer that provides access to critical mineral resources. The company uses innovative methods and cutting-edge technology to discover, validate and develop subsea mineral deposits in an environmentally and socially responsible manner. Its growing project portfolio includes different mineral sets in various jurisdictions around the world. The firm focuses on the ExO Phosphate and Lihir Gold projects. The company was founded by Gregory P. Stemm and John C. Morris in 1994 and is headquartered in Tampa, FL.
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