Apartment Investment and Management Company (NYSE: AIV) open the trading on September 15, 2020, with a bit cautious approach as it glided -2.43% to $36.57. During the day, the stock rose to $37.98 and sunk to $36.54 before settling in for the price of $37.48 at the close. Taking a more long-term approach, AIV posted a 52-week range of $24.53-$55.68.
The Real Estate Sector giants’ yearly sales growth during the last 5-year period was -1.50%. Meanwhile, its Annual Earning per share during the time was 8.20%. Nevertheless, stock’s Earnings Per Share (EPS) this year is -27.40%. This publicly-traded company’s shares outstanding now amounts to $148.54 million, simultaneously with a float of $147.62 million. The organization now has a market capitalization sitting at $5.54 billion. At the time of writing, stock’s 50-day Moving Average stood at $36.68, while the 200-day Moving Average is $42.05.
Let’s gauge the efficiency of the firm, which has a total of 950 employees. It has generated 962,415 per worker during the last fiscal year. Meanwhile, its income per employee was 498,399. The stock had 15.51 Receivables turnover and 0.14 Total Asset turnover. For the Profitability, stocks gross margin was +24.38, operating margin was -1.32 and Pretax Margin of +55.22.
Apartment Investment and Management Company (AIV) Ownership Facts and Figures
Sometimes it helps to make our mind if we keep our tabs on how bigger investors are working with the stock of the REIT – Residential industry. According to the most recent insider trade that took place on May 29, this organization’s Director bought 27 shares at the rate of 36.63, making the entire transaction reach 989 in total value, affecting insider ownership by 2,427. Preceding that transaction, on Mar 25, Company’s Director sold 3,000 for 30.00, making the whole transaction’s value amount to 90,000. This particular insider is now the holder of 45,129 in total.
Apartment Investment and Management Company (AIV) Earnings and Revenue Records
So, what does the last quarter earnings report of the company that was made public on 6/29/2020 suggests? It has posted $0.26 earnings per share (EPS) beating the forecaster’s viewpoint (set at $0.02) by $0.24. This company achieved a net margin of +51.79 while generating a return on equity of 27.21. Wall Street market experts anticipate that the next fiscal year will bring earnings of -0.02 per share during the current fiscal year.
Apartment Investment and Management Company’s EPS decrease for this current 12-month fiscal period is -27.40% and is forecasted to reach -0.11 in the upcoming year. Considering the longer run, market analysts have predicted that Company’s EPS will increase by 7.10% through the next 5 years, which can be compared against the 8.20% growth it accomplished over the previous five years trading on the market.
Apartment Investment and Management Company (NYSE: AIV) Trading Performance Indicators
Let’s observe the current performance indicators for Apartment Investment and Management Company (AIV). The Stock has managed to achieve an average true range (ATR) of 1.14. Alongside those numbers, its PE Ratio stands at $30.00, and its Beta score is 0.76. Another valuable indicator worth pondering is a publicly-traded company’s price to sales ratio for trailing twelve months, which is currently 6.13. Similarly, its price to free cash flow for trailing twelve months is now 41.78.
In the same vein, AIV’s Diluted EPS (Earnings per Share) trailing twelve months is recorded 1.22, a figure that is expected to reach 0.00 in the next quarter, and analysts are predicting that it will be -0.11 at the market close of one year from today.
Technical Analysis of Apartment Investment and Management Company (AIV)
[Apartment Investment and Management Company, AIV] recent stats showed that its last 5-days Average volume was superior the volume it posted in the year-ago period. During the previous 9 days, stock’s Stochastic %D was recorded 46.91% While, its Average True Range was 1.23.
Raw Stochastic average of Apartment Investment and Management Company (AIV) in the period of the previous 100 days is set at 40.28%, which indicates a major fall in contrast to 53.80% during the last 2-weeks. If we go through the volatility metrics of the stock, In the past 14-days, Company’s historic volatility was 38.62% that was lower than 39.52% volatility it exhibited in the past 100-days period.