GoPro, Inc. (NASDAQ:GPRO)
GoPro, Inc. engages in producing wearable HD camcorders, known as action cameras and related accessories. It also curates videos shot on its cameras and broadcasts those videos on its own channel on YouTube, Xbox Live and Virgin Atlantic flights. The company offers HERO line of cameras; premium accessories; and mounts comprising equipment-based mounts. It also offers other accessories that include spare batteries, charging accessories, cables to connect its GoPro cameras to televisions and monitors, video transmitters, external microphones, flotation devices, dive filters, and anti-fogging solutions, as well as accessories for the Wi-Fi remotes. GoPro, Inc. is headquartered in San Mateo, California.
GoPro, Inc. (NASDAQ:GPRO)’s Financial Overview
GoPro, Inc. (NASDAQ) surged 3.83% yesterday to close its trading session at $5.7. The company has 1 year Price Target of $6.42. GoPro, Inc. has 52-Week high of $7.6 and 52-Week Low of $4. The stock touched its 52-Week High on 7.60 and 52-Week Low on 4.00. The stock traded with the volume of 5.41 Million shares yesterday. The firm shows the market capitalization of $826.04 Million.
GoPro, Inc. (NASDAQ) reported its last quarterly earnings on 9/29/2018 where the firm reported its Actual EPS of $-0.04/share against the analyst consensus estimate of $-0.06/share. The difference between the actual and expected EPS is $0.02 a share with a surprise factor of 33.3%.
The firm is trading with SMA20 of 14.07 Percent, SMA50 of 18.22 Percent and SMA200 of -1.73 percent. GoPro, Inc. has P/S value of 0.75 while its P/B value stands at 4.63. Similarly, the company has Return on Assets of -22 percent, Return on Equity of -70.8 percent and Return on Investment of -22.2 Percent. The company shows Gross Margin and Operating Margin of 27.2 percent and -14.1 percent respectively.
The Stock currently has Analyst’ mean Recommendation of 2.8 where the scale is from 1 to 5, 1 means Strong Buy and 5 means Sell.
The 5 analysts offering 12-month price forecasts for GoPro Inc have a median target of 6.70, with a high estimate of 9.00 and a low estimate of 4.00. The median estimate represents a +17.54% increase from the last price of 5.70.
Our vendor, Zacks Investment Research, hasn’t provided us with the upcoming earnings report date.
Barclays PLC (NYSE:BCS)
Barclays PLC operates in commercial and investment banking, insurance, financial and other related services. Barclays subsidiary, Barclays Bank PLC maintains 2500 branches in the United Kingdom and 1000 branches in over 75 other countries.
Barclays PLC (NYSE:BCS)’s Financial Outlook
The 20 analysts offering 12-month price forecasts for Barclays PLC have a median target of 11.17, with a high estimate of 13.44 and a low estimate of 8.88. The median estimate represents a +37.41% increase from the last price of 8.13.
Barclays PLC is estimated to report earnings on 02/28/2019. The upcoming earnings date is derived from an algorithm based on a company’s historical reporting dates.Our vendor, Zacks Investment Research, might revise this date in the future, once the company announces the actual earnings date. According to Zacks Investment Research, based on 1 analysts’ forecasts, the consensus EPS forecast for the quarter is $0.17. The reported EPS for the same quarter last year was $0.12.
According to Zacks Investment Research, Barclays PLC has a Consensus Recommendation of 1.5. (The Scale is from 1-5 where 1 means Strong Buy and 5 means Strong Sell).
The Stock surged 0.99% and closed its last trading session at $8.13. The company has the market capitalization of $34.73 Billion. The stock has 52-week high of $12.55 and 52-Week low of $7.07. The firm touched its 52-Week high on 12.55 and 52-Week low on 7.07. The company has volume of 1.94 Million shares. The company has a total of 4.27 Billion shares outstanding.
The company has YTD performance of 7.82 percent. Beta for Barclays PLC stands at 0.81 while its ATR (average true range) is 0.16. The company has Weekly Volatility of 1.37%% and Monthly Volatility of 1.56%%.
Barclays PLC has distance from 20-day Simple Moving Average (SMA20) of -2.72%, Distance from 50-Day Simple Moving Average of 1.35 percent and Distance from 200-Day Simple Moving Average of -13.48%.
The Company currently has ROA (Return on Assets) of 0.1 percent, Return on Equity (ROE) of 1.9 Percent and Return on Investment (ROI) of 1.9% with Gross margin of 0 percent and Operating & Profit margin of 0% and 0% respectively.