Capstone Turbine Corporation (CPST) stock price moved 13.94% away from 20-Days Simple Moving Average, 3.63% from 50-Days Simple Moving Average and separated -36.50% from 200 Days Simple Moving Average. Capstone Turbine Corporation (CPST) reported loss -1.44% in recent buying and selling session with closing price of $ 0.74. The stock’s traded 0.19 million shares in session while it holds an average volume of 0.44 million shares. The CPST switched 35.05% away from its 52 week minimum and distanced -60.84% from its 52 week peak. The volatility change in the previous week has observed by 5.82% and experienced of 8.98% change in the last month.
The short ratio in the company’s stock is documented at 4.65 and the short float is around of 3.03%. Beta factor, which measures the riskiness of the security, was registered at 0.42. The Company kept a record of 67.05 million floated shares and 69.49 million shares outstanding. The average true range of the stock is observed at 0.05 and the relative strength index of the stock is recorded at 58.45.
Capstone Turbine Corporation (CPST) Stock Profitability Levels:
Net profit margin of the company is seen at -13.20%. Operating profit margin is positioned at -12.40%. Gross profit margin is 15.60%. The larger the gross profit margin, the better for the company. The company made Return on equity of -46.50% in last 12 months period. Return on assets ratio of the Company was -19.50%. Its return on investment ratio was -27.20% in the trailing 12 months period.
The Company’s sales have grown at an average annualized rate of about -8.30% during the past five years. For the past 5 years, The Company’s EPS growth has been nearly 33.40%. Looking out over a next 5-year period, analysts expect the company to see its earnings go up by 25.00%, annually. Analyst established EPS growth expected to grow of 75.20% for this year and EPS growth for next year is likely to attain at 91.30%.
Looking about the past performance history, the company plunged -1.42% for the last five trades and expanded 11.43% in one month period. The stock deteriorated -24.07% during the past three month period and discounted -52.91% in half year. During the yearly overview it downgraded -7.68% and shown 24.29% year to date performance.