In capital markets, volume, or trading volume, is the amount of a security that was traded during a given period of time. In the context of a single stock trading on a stock exchange, the volume is commonly reported as the number of shares that changed hands during a given day.
On 13-03-2019 (Wednesday), Shares of Exelon Corporation, (NYSE: EXC), moved 0.34 percent (Gain , ↑) and closed at $49.63 in the last trading session. The stock exchanged hands with 4643315 numbers of shares contrast to its average daily volume of 5.47M shares.
Also, we should mention that EXC has a PEG ratio of 7.55. This metric is used similarly to the famous P/E ratio, but the PEG ratio also takes into account the stock’s expected earnings growth rate. The company’s net profit margin is 5.6%. It measures how much out of every dollar of sales a company actually keeps in earnings. Gross Margin is observed at 53.7% and Operating Margin is seen at 10.8%. Return on Assets (ROA) an indicator of how profitable a company is relative to its total assets, is 1.7%. Return on Equity (ROE) is 6.6% and Return on Investment (ROI) is 5.6%.
Some Important Factors:
Last week volatility change was observed by 0.9% and the stock help 1.06% change in the last month. EXC has a beta of 0.35. EXC institutional ownership is held at 81.9% while insider ownership was 0.2%. Institutional ownership refers to the ownership stake in a company that is held by large financial organizations, pension funds or endowments.
Experts experienced mean rating at 2.3 following consensus analysis. (Rating Scale: 1.0 Strong Buy, 2.0 Buy, 3.0 Hold, 4.0 Sell, 5.0 Strong Sell).
The total market cap for the stock is $47.90B while it has a PE ratio of 23.94. Exelon Corporation performed of 10.04% in year to date period and weekly performance of 2.48%. The stock has been moved at 11.23% over the last six months. The stock has performed 3.83% around last thirty days, and changed 5.6% over the last three months.
Eps Details In Focus:
Measuring its EPS growth this year at -48%. As a result, the company has an EPS growth of -0.32% for the approaching year. Company’s EPS for the past five years is valued at 0.7%, leading it to an EPS value of 3.17% for the next five years.