Gold Fields Ltd. (NYSE:GFI) closed its last session at $4.12. The stock traded within a range of $3.77 and $4.15. The company operates in the Basic Materials sector with a market capitalization of 3.51 Million. Trading volume for Gold Fields Ltd. was 6.54 Million in its previous trading session. Currently, Gold Fields Ltd. (NYSE:GFI) has an average volume of 4.2 Million.
Gold Fields Limited is one of the world’s largest unhedged gold producers with operating mines in South Africa, Ghana, and Australia.
Gold Fields Ltd. (NYSE:GFI) received a Buy rating from 1 analysts. 0 analysts gave its stock an Outperform rating. 0 analysts say it’s a Hold while 0 analysts provided their expert opinion as Sell.
Gold Fields Ltd. (NYSE:GFI) touched its 1-Year High price of $4.70 on 09/07/17 and its 1-Year Low price of $2.86 on 03/10/17.
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. Gold Fields Ltd. (NYSE:GFI) has a 20-Day average volume of 4.65 Million. According to today’s trading volume Gold Fields Ltd. 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 BEARISH territory while an analysis of the last 40-Day trend shows a BULLISH signal. The 100-Day trend also shows a BULLISH trend as well.
The company currently has an insider ownership of 64.17 Percent and Institutional ownership of 35.7 Percent. The return on assets stands at 1.6%, Return on Equity currently is 3.4% and the Return on Investment value is 8.5%.
Gold Fields Ltd. (NYSE:GFI) gross margin percentage stands at 48.9% while its operating margin for the past trailing twelve month is 20.5 percent and its overall profit margin (ttm) is 3.6 Percent. The stock is currently moving below its 20-Day Simple Moving Average of -1.18% with a 50-Day Simple Moving Average of 0.1 percent. As of today, the company has a SMA200 (200-day simple moving average) of 3.58 Percent. The Stock has YTD (year to date) performance of -4.19 percent.
The TTM operating margin for the company stands at 20.5%. The return on invested capital is at 8.5%, which is good, compared to its peers. The Free Cash Flow or FCF margin is 64.02.
The company’s stock is currently moving with a +ve distance from the 200 day SMA of approximately 3.58%, and has a solid year to date (YTD) performance of -4.19% which means that the stock is constantly adding to its value from the previous fiscal year end price.