Dubai Financial Market PJSC: Stock Analysis and Performance Review
By KlickAnalytics Data Insights | October 2, 2024 07:50AM ET
Pricing
An analysis of Dubai Financial Market PJSC reveals that the current price stands at 1.33 with a 1-day change of 0.02. The stock has shown a 1-day return of 1.53% with a trading volume of 15,906,143 shares. In terms of returns, the stock has displayed a 1-week return of 4.72%, a 1-month return of 2.31%, and a 3-month return of 4.72%. However, the 1-year return sits at -18.90%.
Price Rally: The stock has been trading upward for the last 1 day, showcasing a bullish sentiment. The close price to open price was 2.31%, indicating further bullish behavior. On the other hand, the close price to high price was -1.48%, suggesting some bearish sentiment. The close price to low price was 2.31%, once again reflecting a bullish sentiment. Additionally, the close price to the previous day's open was 0.76%, continuing the bullish trend.
The stock hit a 1 month high price of 1.36 five days ago and a 1 month low price of 1.26 six days ago. The current price is -2.21% from the 1 month high and 5.56% from the 1 month low. The 52-week high price occurred 363 days ago at 1.67, while the 52-week low price took place 57 days ago at 1.21. The current price stands -20.36% from the 52-week high and 9.92% from the 52-week low.
Historical Returns (%): 1-Day 1.53%, 1-Week 4.72%, 1-Month 2.31%, 3-Months 4.72%, 6-Months -9.52%, Year-to-date -4.32%, 1-Year -18.90%. Historical Relative Volume: 1-Week 0.98x, 1-Month 3.01x, 3-Months 3.29x, 6-Months 4.04x, Year-to-date 4.06x, 1-Year 4.07x.
The stock had a 1-month high volume of 34,911,080 five days ago and a 1-month low volume of 835,493 fourteen days ago. The current volume is -54.44% from the 1-month high and 1803.80% from the 1-month low.
Fundamentals - TTM
MarketCap: 10,154,619,010. Net income per share: 0.05. Price/Earning Ratio: 25.47. Dividend Yield: 0.03%. Working Capital: 1,672,620,000. Total Assets: 10,256,674,000. Total Liabilities: 2,160,942,000. Total Revenue: 624,896,000%. EBIT: 428,897,000%. Altman Z-Score: 3.37.
Technical Indicators
Key technical indicators show that the stock is performing well. The SMA10 is greater than SMA20, indicating a positive trend. The short term upswing is noticeable as SMA10 is greater than SMA20 and SMA50. However, in the medium and long term, there are fluctuations with SMA10 not surpassing SMA100 and SMA200. Various Simple Moving Average signals suggest a buy sentiment with close price comparisons displaying positive percentages against SMA5, SMA10, SMA20, SMA50, SMA100, and SMA200.
Close price vs SMA5 is 1.37%. Close price vs SMA10 is 2.57%. Close price vs SMA20 is 3.38%. Close price vs SMA50 is 3.95%. Close price vs SMA100 is 3.42%. Close price vs SMA200 is 0.06%.