(SBGI) shares have been seen trading -9.99% off its 52 week- peak value and changed 45.13% from its 52 week-bottom price value. (MARA) belonging to the Industrials sector has declined -3.52% and closed its last trading session at $3.84. Approximately 32.3% of the shares of the company are sold short.
Analyst research firms are expressing bullish stance on Marathon Patent Group, Inc.
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Currently, the stock carries a price to earnings ratio of 0, a price to book ratio of 0, and a price to sales ratio of 0.51.
The stock is now showing YTD performance of -6.34 Percent. The day began at US$0 but the price moved to US$0.2 at one point during the trading and finally capitulating to a session high of US$0.2. RSI is a technical oscillator that shows price strength by comparing upward and downward movements. The difference between the expected and actual EPS was $0.16/share, which represents an Earnings surprise of 28.6%. (AMC) analysts on average have given a price target of $4 on AMC stock. The company has Beta Value of 1.78 and ATR value of 0.63.
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Currently Marathon Patent Grou (NASDAQ:MARA)'s shares owned by insiders are 19.17%, whereas shares owned by institutional owners are 4.8%.
Having a look in a broader way analysts from brokerage firms on the street with an extensive view have high price target of Marathon Patent Grou (NASDAQ:MARA) at $4 and with a conformist view have low price target of $4 while the stock's latest closing price was $3.84. Marathon Patent Grou (NASDAQ:MARA)'s price to free cash flow for trailing twelve months is 0. The Average True Range, a measure of volatility is at 0.63, however its weekly and monthly volatility is 11.11%, 13.16% respectively.
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Analyst Recommendation is an outlook of a stock-market analyst on a stock. In terms of relative volume, these shares are trading at 3.74x their normal volume. If a stock does not have good liquidity then it may take some time before a broker is able to negotiate a deal to buy or sell a stock and the broker may not be able to get the sell or buy price that the trader is looking for. Its quick ratio for most recent quarter is 0.2 along with current ratio for most recent quarter of 0.2. A high P/E suggests that investors are expecting higher earnings growth in the future compared to companies with a lower P/E. Sorrento Therpt Cmn (NASDAQ:SRNE)'s distance from 20 day simple moving average is0.3241 along with distance from 50 day simple moving average of 3.19 whereas its distance from 200 day simple moving average is 2.35. A statistical measure of the dispersion of returns (volatility) for MARA producing salvation in Investors mouth, it has week volatility of 10.68% and for the month booked as 14.56%. While it's Return on Investment (ROI) value is -265.7%.