Data News > Savola Group (2050.SR) - Trader Stats

Savola Group (2050.SR) - Trader Stats

By KlickAnalytics Data Insights  |   May 16, 2024 07:36AM ET

Pricing
  • Savola Group (2050.SR) close price is trading at 47.35 with volume of 670,171 and a one day change of -1.35 (-2.77%).
  • Price Rally: The stock is trading downward for the last 3 days.
  • Close price to open price was -2.37%, showing a bearish sentiment
  • Close price to high price was -2.97%, showing a bearish sentiment
  • Close price to low price was 0.11%, showing a bullish sentiment
  • Close price to previous day open was -4.05%, showing a bearish sentiment
  • 1 Month high price was 53.5 which occured on 2024-04-15 (31 days ago)
  • 1 Month low price was 48.5 which occured on 2024-05-13 (3 days ago)
  • Current price vs 1 month high price is -11.50%.
  • Current price vs 1 month low price is -2.37%.
  • 52-week high price was 58.2 which occured on 2024-02-21 (85 days ago)
  • 52-week low price was 32.7 which occured on 2023-05-16 (366 days ago)
  • Current price vs 52-week high price is -18.64%.
  • Current price vs 52-week low price is 44.80%.
  • Historical Returns (%): 1-Day -2.77%, 1-Week -5.68%, 1-Month -8.94%, 3-Months -3.37%, 6-Months 29.73%, Year-to-date 24.28%, 1-Year 42.19%
  • Historical Relative Volume: 1-Week 0.96x, 1-Month 1.25x, 3-Months 0.68x, 6-Months 0.62x, Year-to-date 0.54x, 1-Year 0.71x
  • 1-Month high volume was 1,324,530 which occured on 2024-05-08 (8 days ago)
  • 1-Month low volume was 141,330 which occured on 2024-05-05 (11 days ago)
  • Current volume vs 1-Month high volume is -49.40%.
  • Current volume vs 1-Month low volume is 374.19%.
  • Fundamentals - TTM
  • MarketCap : 24,162,625,951
  • Net income per share : 1.61
  • Price/Earning Ratio : 28.08
  • Working Capital : -1,840,873,000
  • Total Assets : 30,128,551,000
  • Total Liabilities : 20,573,699,000
  • Total Revenue : 26,785,693,000%
  • EBIT : 1,967,163,000%
  • Altman Z-Score : 1.96
  • Technical Indicators
  • Spurt UP : SMA10 > SMA20 : No
  • Short term UP : SMA10 > SMA20 > SMA50 : No
  • Medium term UP : SMA10 > SMA20 > SMA50 > SMA100 : No
  • Long term UP : SMA10 > SMA20 > SMA50 > SMA100 > SMA200: No
  • UP coming : SMA10 > SMA50 > SMA20 : No
  • 5-days Simple Moving Average (49.46) signal is SELL
  • 10-days Simple Moving Average (49.73) signal is SELL
  • 20-days Simple Moving Average (50.49) signal is SELL
  • 50-days Simple Moving Average (52.78) signal is SELL
  • 100-days Simple Moving Average (49.04) signal is SELL
  • 200-days Simple Moving Average (43.02) signal is BUY
  • Close price vs SMA5 is -4.27%
  • Close price vs SMA10 is -4.79%
  • Close price vs SMA20 is -6.22%
  • Close price vs SMA50 is -10.28%
  • Close price vs SMA100 is -3.44%
  • Close price vs SMA200 is 10.07%
  • About
    Savola Group Company, together with its subsidiaries, produces, markets, and distributes food products. It offers edible oils, vegetable oils, sugar and sweeteners, pasta, bakery products, specialty fats, seafood, confectionery, fast foods, healthy snacks, and frozen food products, as well as snacks, nuts, herbs, spices, cooking ingredients, and pulses. The company also engages in the agro cultivation, services and maintenance, trading and distribution, restaurant, real estate development, e-commerce, and fund and investment management activities. In addition, it retails grocery products through a network of hypermarkets and supermarkets. Savola Group Company was founded in 1978 and is headquartered in Jeddah, the Kingdom of Saudi Arabia.
    Disclaimer: the above is a summary showing certain market information. KlickAnalytics is not responsible for any data errors, omissions or other information that may be displayed incorrectly as the data is derived from various resources and more. Communications displaying market prices, data and other information available in this post are meant for purely for informational purposes only and are not intended as an offer or solicitation for the purchase or sale of any security. Please do your own research when investing. All investments involve risk and the past performance of a security, or financial product does not guarantee future results or returns. Keep in mind that while diversification may help spread risk, it does not assure a profit, or protect against loss in a down market.