Exxon Mobil Corporation (NYSE:XOM)

Exxon Mobil Corporation’s  principal business is energy, involving exploration for, and production of, crude oil and natural gas, manufacturing of petroleum products and transportation and sale of crude oil, natural gas and petroleum products. Exxon Mobil is a major manufacturer and marketer of basic petrochemicals, including olefins, aromatics, polyethylene and polypropylene plastics and a wide variety of specialty products. Exxon Mobil is engaged in exploration for, and mining and sale of coal, copper and other minerals.

Exxon Mobil Corporation (NYSE:XOM)’s Financial Overview

Exxon Mobil Corporation (NYSE:XOM) declined -0.66% yesterday to close its trading session at $85.9. The company has 1 year Price Target of $88.52. Exxon Mobil Corporation has 52-Week high of $95.55 and 52-Week Low of $71.55. The stock touched its 52-Week High on Jul 15, 2016 and 52-Week Low on Jan 20, 2016. The stock traded with the volume of 9.18 Million shares yesterday. The firm shows the market capitalization of $356.2 Billion.

Exxon Mobil Corporation (NYSE:XOM) reported its last quarterly earnings on Sep 16 where the firm reported its Actual EPS of $0.63/share against the analyst consensus estimate of $0.58/share. The difference between the actual and expected EPS is $0.05 a share with a surprise factor of 8.6%.

The firm is trading with SMA20 of 0.76 Percent, SMA50 of 0.75 Percent and SMA200 of 0.13 percent. Exxon Mobil Corporation has P/S value of 1.63 while its P/B value stands at 2.1. Similarly, the company has Return on Assets of 2.6 percent, Return on Equity of 5.2 percent and Return on Investment of 3.6 Percent. The company shows Gross Margin and Operating Margin of 28 percent and 1.5 percent respectively.

Many brokerage firms are involved in issuing their ratings on Exxon Mobil Corporation (NYSE:XOM). On 31-Oct-16 Goldman Downgrade Exxon Mobil Corporation Stock  to Neutral. Another firm also rated the stock on 2-Jun-16 where BofA/Merrill Downgrade the stock to Neutral.

The Stock currently has Analyst’ mean Recommendation of 3 where the scale is from 1 to 5, 1 means Strong Buy and 5 means Sell.

The 23 analysts offering 12-month price forecasts for Exxon Mobil have a median target of 88.00, with a high estimate of 105.00 and a low estimate of 74.00. The median estimate represents a +2.44% increase from the last price of 85.90.

Our vendor, Zacks Investment Research, hasn’t provided us with the upcoming earnings report date.

SouFun Holdings Ltd. (NYSE:SFUN)

Fang Holdings Limited operates as a real estate Internet portal primarily in China. It provides marketing, e-commerce, listing and other value-added services for real estate and home furnishing and improvement sectors. Fang Holdings Limited, formerly known as SouFun Holdings Limited, is based in Beijing, China.

SouFun Holdings Ltd. (NYSE:SFUN)’s Financial Outlook

The 9 analysts offering 12-month price forecasts for Fang Holdings Ltd have a median target of 6.50, with a high estimate of 9.00 and a low estimate of 3.40. The median estimate represents a +124.14% increase from the last price of 2.90.

Our vendor, Zacks Investment Research, hasn’t provided us with the upcoming earnings report date.

According to Zacks Investment Research, SouFun Holdings Ltd. has a Consensus Recommendation of 2.42. (The Scale is from 1-5 where 1 means Strong Buy and 5 means Strong Sell).

The Stock gained 0.35% and closed its last trading session at $2.9. The company has the market capitalization of $1.36 Billion. The stock has 52-week high of $7.52 and 52-Week low of $2.8. The firm touched its 52-Week high on Dec 29, 2015 and 52-Week low on Nov 11, 2016. The company has volume of 9.12 Million shares. The company has a total of 469 Million shares outstanding.

SouFun Holdings Ltd. (NYSE:SFUN) in the last quarter reported its actual EPS of $-0.08/share where the analyst estimated EPS was $-0.12/share. The difference between the actual and Estimated EPS is $0.04. This shows a surprise factor of 33.3 percent.

The company has YTD performance of -60.76 percent. Beta for SouFun Holdings Ltd. stands at 1.62 while its ATR (average true range) is 0.21. The company has Weekly Volatility of 10.71%% and Monthly Volatility of 6.62%%.

SouFun Holdings Ltd. has distance from 20-day Simple Moving Average (SMA20) of -6.69%, Distance from 50-Day Simple Moving Average of -20.84 percent and Distance from 200-Day Simple Moving Average of -40.58%.

The Company currently has ROA (Return on Assets) of -9.2 percent, Return on Equity (ROE) of -28.4 Percent and Return on Investment (ROI) of -1.7% with Gross margin of 18.6 percent and Operating & Profit margin of -19.9% and -18.4% respectively.