The9 Limited (NASDAQ:NCTY) closed its last session at $1.11. The stock traded within a range of $0.78 and $1.50. The company operates in the Technology sector with a market capitalization of 59580. Trading volume for The9 Limited was 12.52 Million in its previous trading session. Currently, The9 Limited (NASDAQ:NCTY) has an average volume of 430.38 Million.
The9 Limited is an online game operator and developer in China.
The9 Limited (NASDAQ:NCTY) touched its 1-Year High price of $1.50 on 01/11/18 and its 1-Year Low price of $0.55 on 01/02/18.
EPS & Financials
For the current quarter, 0 analysts are projecting a mean EPS of $0/share. According to their observations and findings, the stock could provide a high EPS of $0/share and a low EPS of $0/share.
By taking a look at the stock’s current statistics it can gauged that the stock candle is BULLISH with HIGH volatility. The9 Limited (NASDAQ:NCTY) has a 20-Day average volume of 1.1 Million. According to today’s trading volume The9 Limited is ABOVE its 20-Day Avg. volume with the stock showing ABOVE Abnormal volume in the past 150 days.
Moving average convergence divergence (MACD) shows that the stock is on a PRICE RELATIVITY trend. The trend for the past 10-days shows that the company was in BULLISH territory while an analysis of the last 40-Day trend shows a BEARISH signal. The 100-Day trend also shows a BEARISH trend as well.
The company currently has an insider ownership of 45.1 Percent and Institutional ownership of 0.6 Percent. The return on assets stands at -97.4%, Return on Equity currently is 139.1% and the Return on Investment value is 0%.
The9 Limited (NASDAQ:NCTY) gross margin percentage stands at 38.3% while its operating margin for the past trailing twelve month is 0 percent and its overall profit margin (ttm) is 0 Percent. The stock is currently moving above its 20-Day Simple Moving Average of 60.52% with a 50-Day Simple Moving Average of 52.7 percent. As of today, the company has a SMA200 (200-day simple moving average) of 16.23 Percent. The Stock has YTD (year to date) performance of 73.41 percent.
The TTM operating margin for the company stands at 0%. The return on invested capital is at 0%, which is good, compared to its peers. The Free Cash Flow or FCF margin is 0.
The company’s stock is currently moving with a +ve distance from the 200 day SMA of approximately 16.23%, and has a solid year to date (YTD) performance of 73.41% which means that the stock is constantly adding to its value from the previous fiscal year end price.