Gulf Navigation Holding PJSC Shows Bullish Sentiment as Stock Rallies
By KlickAnalytics Data Insights | January 10, 2025 07:47AM ET
Pricing
Today we focus on Gulf Navigation Holding PJSC, whose current price stands at 5.49 with a 1-day change of 0.08, resulting in a 1-day return of 1.48%. The stock has a trading volume of 6,253,194 shares, reflecting a 1-week return of 3.58% and a 1-month return of -3.51%. Over the past 3 months, the stock has seen a decline of -8.35%, while the 1-year return is at -23.54%.
Analysts have noted a price rally as the stock has been trending upwards for the last 2 days. When comparing the close price to the open, high, low, and previous day's open prices, there is a bullish sentiment overall. The 1-month high price was recorded at 5.84, while the low was at 5.33. As of now, the current price is -5.99% lower than the 1-month high and 3.00% higher than the 1-month low.
The 52-week high for Gulf Navigation Holding PJSC was 7.98, while the low was 4.98. The current price is -31.20% lower than the 52-week high and 10.24% higher than the 52-week low. Historical returns for various periods show mixed results, with positive returns for the year-to-date period.
When looking at the historical relative volume, the stock has seen increased trading activity compared to previous periods. The current volume is in line with the 1-month high volume but significantly higher than the 1-month low volume.
Fundamentals - TTM
In terms of fundamentals, Gulf Navigation Holding PJSC has a market cap of 4,365,526,203 and a net income per share of -0.04. The price/earning ratio stands at -128.82, with a working capital of -207,329,000. The company's total assets are valued at 995,503,000, while total liabilities are at 571,348,000. Total revenue is reported at 85,660,000, with EBIT at -19,145,000. The Altman Z-Score is calculated at 4.38.
Technical Indicators
From a technical analysis standpoint, Gulf Navigation Holding PJSC currently does not meet the criteria for various moving average trends. However, the short-term and medium-term signals are indicating a buy, while the long-term signals suggest a sell. Close price comparisons to the respective moving averages show varying degrees of deviation.