Charter Communications, Inc. (NASDAQ:CHTR) has a 1 Year Target Estimate of $0.5. The stock traded with the volume of 2.66 Million in the last trading session. Charter Communications, Inc. opened at $272.14 and closed by showing an increase of 3.57%. The Bid price in the last session was $0.00 x and the Ask price was $0.00 x. (The ask price is what sellers are willing to take for it. If you are selling a stock, you are going to get the bid price, if you are buying a stock you are going to get the ask price. The difference (or spread) goes to the broker/specialist that handles the transaction).
Charter Communications, Inc. has the Market Capitalization of 75.92 Billion. The Stock has its 52-week High of $281.43 and 52-Week Low of $156.13 and it touched its 52-week high on Nov 10, 2016 and 52-Week Low on Feb 8, 2016.
Charter Communications, Inc. reported its last Earnings on Nov 03 BMO where the company reported Actual EPS of $-3.95/Share whereas, the Analyst Estimated EPS was $-0.71/share. The difference between Actual EPS and Estimated EPS was $-3.24/share. This represented an Earnings Surprise of -456.3%.
1 number of analysts also provided their insight on Charter Communications, Inc., where the Average Price Target for the stock is $0.5. They also projected Low Price Target as $0.5 while High Price Target is set at $0.5.
A number of analysts rated the stock as well: 8 analysts believe that the stock is a STRONG BUY while 10 reported it as Buy.5 analysts assigned a HOLD rating, 0 said it’s UNDERPERFORM and 0 say that this stock is a SELL.
Charter Communications, Inc. annual Divided is 0 while it’s Dividend Yield is 0%. The stock has its Price to Earnings (P/E) ratio of 21.9 and Forward Price to Earnings ratio of 54.77. The company has its Price to Sales (P/S) ratio of 3.57 where Price to Book (P/B) ratio of 1.89, Price to Cash Per share (P/C) of 65.17 and Price to Free Cash Flow (P/FCF) has a value of 52.69.
The company has its Return on Assets (ROA) of 3.1 Percent. Return on Equity (ROE) stands at 14.7% and Return on Investment (ROI) displays a value of 2.9%.
The stock is currently trading at Distance from 20-Day simple moving Average of 6.82% whereas, Distance from 50-Day Simple moving average is 6.59 Percent and Distance from 200-Day Simple Moving Average of 21 percent.
A look at performance overview of Charter Communications, Inc. depicts that Performance (Week) is 6.21 percent while Performance Month is 12.53%. Quarterly performance shows a value of 9.55% and Half Year Performance value stands at 23.29%. Yearly performance of the stock has the value of 49.71 percent. Charter Communications, Inc. has its YTD performance of 53.19 Percent. (YTD performance is the most important factor to consider; if YTD is negative, the stock is declining; if the YTD Performance value is Positive the stock is surging).
Many Insiders have done trades inside the company. The latest trade was made on 17 Aug 2016 where Director Ramos Mauricio did a transaction type “Buy” in which 1000 shares were traded at a price of $255. Another insider trade includes President Bickham (John R) who also initiated a transaction in which 36825 shares were traded on 15 Aug 2016 as “Sell”. On 11 Aug 2016 General Counsel Dykhouse Richard R traded 1594 shares as “Gift” at $0. Director Jacobson (Craig A) Sell 3000 shares on 10 Aug 2016 at the price of $258.15.
The latest Upgrades/Downgrades was done by Research firm MoffettNathanson on 10-Nov-16 who Upgrade the stock from Neutral to Buy. Other firms have also Upgraded/Downgraded the stock. On 11-Oct-16, MoffettNathanson took an action “Downgrade” from Buy to Neutral. On 2-Aug-16, the stock was Initiated to Buy by BofA/Merrill.