Schlumberger Ltd. (SLB) observed an average volume of 15252.87.000 shares and a trading volume of 8849158 shares during the last trading day. The stock confirms an active focus on individual stocks during the current trading session. SLB reported a change of 2.53% in recent trading, with its listed shares valued at $47.47. The company is part of the U.S. Department of State and Energy. Its market cap is $65,443.09 million. Market capitalization is used to represent company size because it is an essential factor in developing various characteristics of investor interest, including risk.
Grade:
SLB’s weekly performance was 1.67% and its annual performance was 30.34%. The stock has gained 61.90% over the past six months and is holding at 11.43% for the month. The stock has a year-to-date performance of 58.50% and is up about 21.91% over the past three months. The share price is -2.51% from its 52-week high, and the share price is 83.32% at the 52-week low.
Technical interpretation:
The simple moving average is one of the most flexible and widely used technical analysis indicators. It is very popular among traders mainly because of its simplicity. It works best in a stylish setting. Simple moving average is calculated as the average of the last N periods (20 days, 50 days, 200 days). Shares have been positive since the 20-day moving average of 11.17% and are trading at 13.10% since the 50-day moving average. Shares are up 33.33% above their 200-day moving average. Any type of moving average can be used to generate buy or sell signals, the process is very simple. Charting software draws the moving average as a line directly on the price chart.
The stock’s current Relative Strength Index (RSI-14) value is 63.52, and the RSI value varies between 0 and 100. The speed and change of stock price movement is measured by the RSI Momentum Oscillator. J. Welles Wilder developed the Relative Strength Index (RSI), which is most commonly used as a momentum indicator. Typically, stocks are overloaded when the RSI is below 30, and overbought when the RSI is above 70. 30 to 70 is considered the normal value of the stock. General trends, deviation detection, and error fluctuations can be detected using RSI.
The stock’s current Relative Strength Index (RSI-14) value is 63.52, and the RSI value varies between 0 and 100. The speed and change of stock price movement is measured by the RSI Momentum Oscillator. J. Welles Wilder developed the Relative Strength Index (RSI), which is most commonly used as a momentum indicator. Typically, stocks are overloaded when the RSI is below 30, and overbought when the RSI is above 70. 30 to 70 is considered the normal value of the stock. General trends, deviation detection, and error fluctuations can be detected using RSI.
VOLATILITY ANALYSIS:
Volatility remained at 4.02% last week and 4.73% last month. Market risk arising from market transactions, measured using the beta coefficient. The beta indicator is 1.91. Risk is measured using beta coefficients. If beta is above 1, the risk is high, and if beta is below 1, the risk is low. Volatility is also measured by ATR, which is an exponential moving average (14-day) of true range. The ATR value is 1.98.
Profitable Naps:
The company’s net profit margin is 8.80%, which shows that the company earns every dollar of income. Gross margin was 16.40% and operating margin was 12.60%. The return on assets (ROA) shows that the company is profitable compared to 5.10% of total assets. The return on investment (ROI) was 7.90%. Return on Equity (ROE) was 14.80%.
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