Mylan N.V. (NASDAQ:MYL) has a 1 Year Target Estimate of $50.56. The stock traded with the volume of 5.52 Million in the last trading session. Mylan N.V. opened at $36.03 and closed by showing an increase of 1.53%. The Bid price in the last session was $35.75 x 41800 and the Ask price was $37.00 x 200. (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).
Mylan N.V. has the Market Capitalization of 19.59 Billion. The Stock has its 52-week High of $55.51 and 52-Week Low of $33.6 and it touched its 52-week high on Dec 29, 2015 and 52-Week Low on Nov 3, 2016.
Mylan N.V. reported its last Earnings on Nov 09 BMO where the company reported Actual EPS of $1.38/Share whereas, the Analyst Estimated EPS was $1.45/share. The difference between Actual EPS and Estimated EPS was $-0.07/share. This represented an Earnings Surprise of -4.8%. The company will report its next earnings on Feb 8 – Feb 13 (Est.).
18 number of analysts also provided their insight on Mylan N.V., where the Average Price Target for the stock is $50.56. They also projected Low Price Target as $43 while High Price Target is set at $57.
A number of analysts rated the stock as well: 7 analysts believe that the stock is a STRONG BUY while 8 reported it as Buy.7 analysts assigned a HOLD rating, 0 said it’s UNDERPERFORM and 0 say that this stock is a SELL.
Mylan N.V. annual Divided is 0 while it’s Dividend Yield is 0%. The stock has its Price to Earnings (P/E) ratio of 71.78 and Forward Price to Earnings ratio of 6.8. The company has its Price to Sales (P/S) ratio of 1.9 where Price to Book (P/B) ratio of 1.62, Price to Cash Per share (P/C) of 15.59 and Price to Free Cash Flow (P/FCF) has a value of 10.02.
The company has its Return on Assets (ROA) of 0.9 Percent. Return on Equity (ROE) stands at 2.4% and Return on Investment (ROI) displays a value of 8.2%.
The stock is currently trading at Distance from 20-Day simple moving Average of -1.08% whereas, Distance from 50-Day Simple moving average is -3.38 Percent and Distance from 200-Day Simple Moving Average of -15.19 percent.
A look at performance overview of Mylan N.V. depicts that Performance (Week) is 0.8 percent while Performance Month is 0.3%. Quarterly performance shows a value of -13.57% and Half Year Performance value stands at -18.57%. Yearly performance of the stock has the value of -31.03 percent. Mylan N.V. has its YTD performance of -32.29 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 8 Aug 2016 where Chief Executive Officer Bresch (Heather M) did a transaction type “Sell” in which 100200 shares were traded at a price of $50. Another insider trade includes Director Maroon (Joseph C) who also initiated a transaction in which 1670 shares were traded on 2 Jun 2016 as “Buy”. On 24 May 2016 Director Maroon (Joseph C) traded 2370 shares as “Buy” at $42.47. Director Higgins Melina E Buy 19900 shares on 11 May 2016 at the price of $38.68.
The latest Upgrades/Downgrades was done by Research firm Mizuho on 26-Oct-16 who Initiated the stock to Buy. Other firms have also Upgraded/Downgraded the stock. On 10-Oct-16, Raymond James took an action “Upgrade” from Mkt Perform to Strong Buy. On 19-Feb-16, the stock was Initiated to Market Perform by Wells Fargo.