5 Year Capital Spending Growth of Recon Technology, Ltd. (NASDAQ:RCON) is reported at 0.91


Valuation Ratios of Recon Technology, Ltd. (NASDAQ:RCON) versus the Industry and Sector:

Let’s have a look at some of the important valuation ratios of the Recon Technology, Ltd. (NASDAQ:RCON). These ratios are important while doing valuation of the company or the shares of the company.

Recon Technology, Ltd. (NASDAQ:RCON) currently has P/E (Price to Earnings) ratio of 0 while the company’s industry has 21.41 P/E and the sector P/E is 31.44. Similarly, the company’s last 5 years high P/E ratio is 1148.09 and low P/E is 138.98, whereas, the industry’s and sector’s  high P/E for the past year is 37.62 and 29.79 respectively and low P/E ratio for the last 5 years is 13.08 for the industry and 8.17 for the Sector.

Beta is also an important valuation ratio for analyzing the stock of the company, 30 has Beta of 3.29 while its industry and Sector’s beta remains at 1.07 and 0.94 respectively.

Price to Sale ratio of 30 stands at 1.35 while Price to Book Ratio stands at 1.21. Its Price to Cash Flow ratio shows the value of 0, whereas, the industry and sector ratio of Price to Cash Flow ticked at 21.75 and 15.1 respectively.

5 Year Growth Rate Analysis:

Growth rates are very important while analyzing the long term growth and valuation of a certain company.

5 year sales growth rate is an important factor for valuation analysis, the 5 year sales growth of Recon Technology, Ltd. (NASDAQ:RCON) stands at -7.67 while the industry’s and the sector’s growth for next 5 years ticked at 6.5 and 1.07 respectively. The company’s 5 year Earnings per share growth and Capital Spending growth remains at 0 and 0.91.

Recon Technology, Ltd. (NASDAQ:RCON) Trading Statistics:

The company surged 6.45% and closed its last trading session at $1.24. The market capitalization of the company is at $8.14 Million. The stock touched 52-week High of $2.46 on Dec 10, 2015 and 52-week Low of $0.86 on May 26, 2016. The stock currently has Weekly Volatility of 15.85% and Monthly Volatility of 15.48%. The Beta for the company stands at 3.3 and its Average True Range (ATR) shows a value of 0.18.