Contents
Chartable: Yes
Unit: Number
Beta 1-Year measures risk by tracking how much a stock’s price moved relative to the market over the past year. A value of 1 means it moved with the market, a value of 2 means it moved up and down with the market but twice as much, and a value of .5 means it moved up and down half as much as the market did.
Negative values are uncommon but a value of -1 for example would mean that the stock moved equal but opposite to the market.
Beta 3-Year measures risk by tracking how much a stock’s price moved relative to the market over the past 3 years. A value of 1 means it moved with the market, a value of 2 means it moved up and down with the market but twice as much, and a value of .5 means it moved up and down half as much as the market did.
Chartable: No
Unit: Current Percent of Range
The daily high and low price compared to the current price. This metric is graphical.This metric is updated live when markets are ]open.
The number of calendar days since the 52 week high occurred.
The number of calendar days since the 52 week low occurred.
Unit: Dollars
The daily stock’s highest intraday price.This metric is updated live when markets are ]open.
The prior day’s closing price. This value is updated just before the market opens.
Unit: Calendar Date
The last time this equity was traded on its exchange.This metric is updated live when markets are ]open.
The daily stock’s lowest intraday priceThis metric is updated live when markets are ]open.
This risk measure shows the largest peak to trough price drop in the past year. Our calculations use closing prices adjusted for dividend payments.
Unit: Date
The date of the peak price before the largest drawdown in the past year.
The date of the trough price after the largest drawdown in the past year.
This risk measure shows the largest peak to trough price drop in the past 2 years. Our calculations use closing prices adjusted for dividend payments.
The date of the peak price before the largest drawdown in the past 2 years.
The date of the trough price after the largest drawdown in the past 2 years.
This risk measure shows the largest peak to trough price drop in the past 3 years. Our calculations use closing prices adjusted for dividend payments.
The date of the peak price before the largest drawdown in the past 3 years.
The date of the trough price after the largest drawdown in the past 3 years
This risk measure shows the largest peak to trough price drop in the past 5 years. Our calculations use closing prices adjusted for dividend payments.
The date of the peak price before the largest drawdown in the past 5 years.
The date of the trough price after the largest drawdown in the past 5 years
This risk measure shows the largest peak to trough price drop in the past 10 years. Our calculations use closing prices adjusted for dividend payments.
The date of the peak price before the largest drawdown in the past 10 years.
The date of the trough price after the largest drawdown in the past 10 years
The most recent opening trade price of the stock.
Unit: Percentage
The current price compared to the high price for the day as a percentage.This metric is updated live when markets are ]open.
The current price compared to the low price for the day as a percentage.This metric is updated live when markets are ]open.
The previous closing price, or next-to-last closing price of the stock.
The price change percent in the previous trading day
The last trade price of the stock in the currency of the stock’s exchange. Depending on the time of day this is either the intraday price or the last close price.This metric is updated live when markets are ]open.
The price change percent from the last close, synonymous with the 1-Day Return column.This metric is updated live when markets are ]open.
The price change in dollars from the last close, see Return (1 Day) for related % change.This metric is updated live when markets are ]open.
The last trade price of the stock in USD.This metric is updated live when markets are ]open.
The percentage change needed for the holding to hit its target price.This metric is updated live when markets are ]open.
The average split-adjusted price over the last 20 days.
The current price as a percent of the 5-year high price shows assets that have had a large drawdown from their prior highs. Some research shows that stocks with large drawdowns go on to outperform the market in future years.
The current price as a percent of the 5-year low price shows assets that have had a large deviation from their prior lows.
The current price as a percent of the last 52-week high price. When this is above 100 a new 52-week high is being reached.This metric is updated live when markets are ]open.
The current price as a percent of the last 52-week low price. When this is below 100 a new 52-week low is being reached.This metric is updated live when markets are ]open.
A user-defined price at which you think the stock is fully valued.
This risk measurement shows how dramatically daily prices changed over the past year. Volatile stocks have values greater than .4 and more chance of big gains and losses.
The Volatility 1-Year percentile rank over all symbols tracked in Stock Rover. A value of 0 indicates the least risky investment and 99 means the price change is extremely volatile.
This risk measurement shows how dramatically daily prices changed over the past three years. Volatile stocks have values greater than one and more chance of big gains and losses.
The Volatility 3-Year percentile rank over all symbols tracked in Stock Rover. A value of 0 indicates the least risky investment and 99 means the price change is extremely volatile.
The number of shares traded. Depending on the time of day, this will either show the intraday total or the prior day’s total.This metric is updated live when markets are ]open.
The stock’s highest split-adjusted intraday price in the last 52-week period.
The stock’s lowest split-adjusted intraday price in the last 52-week period.
The 52-week high and low price compared to the current price. This metric is graphical.This metric is updated live when markets are ]open.
The date on which the stock hit its 52-week high.
The date on which the stock hit its 52-week low.
The average split-adjusted price over the last 50 trading days.
The average split-adjusted price over the last 120 days.
The Average Adjusted Price of the stock evaluated over the last 120-day period.
The average split-adjusted price over the last 200 trading days.
The 5-year high and low price compared to the current price. This metric is graphical.This metric is updated live when markets are ]open.