IGG Inc (HKSE: 799) ANALYSIS OF PERFORMANCES IN FOCUS:
The company has realized revenue for HKD $ 722219008. Revenue is also referred to as sales or turnover. Some companies receive interest income, royalties or other fees. Revenue can refer to business income in general, or may refer to the amount, in a monetary unit, earned over a period of time. The company's net income is $ 177931008 HKD. Net income available to common stockholders equals net income minus the privileged dividends paid. The net profits available to the common shareholders are the remaining profits after the company pays all its suppliers, employees, service providers, creditors and preferred shareholders. In other words, it's all revenue minus all your favorite expenses and dividends. The number measures the credit of the common shareholders on the company's cash flows.
IGG Inc (HKSE: 799) achieved 9.580194% last month and reached 7.157895% in the last quarter. The stock showed a yield of 155.778894% over five years and recorded a weekly return of 5.821206%. The stock was seen at 29.681529% yield in the last twelve months.
Tracking the last 52 weeks, the high price of 52-week stocks was observed at HKD $ 12.98 and at the 52-week low seen at HK $ 7.35. The 50 SMA is HKD $ 9.318055 and 200 SMA is HKD $ 9.848888. Moving averages can be used as support or resistance when a trader looks for a possible entry or exit on the market. This can also be said in the following way. In the event that the price makes a contact with the moving average on the price table, the trader, examining this chart carefully, will enter a long position or a short position. In reality, this works the same way as horizontal support or resistance lines. Moving averages are known as dynamic support and resistance, simply because they tend to change with prices.
IGG Inc (HKSE: 799) the stock changed HKD $ -0.28 and shifted to -2.676862% while the share price was hit at HKD $ 10.18 in the last commercial transaction (Friday). 4443,000 shares traded by hand while it is an average volume with 4524807 shares. The company recorded a relative volume of 0.98. Volume indicators are widespread tools among traders because they can help confirm if other investors agree with your security perspective. Traders generally watch the volume increase as an identified trend gains momentum. The big peaks suggest that the stock has gained a lot of attention from the commercial community and that the shares are under accumulation or distribution. A sudden drop in volume may suggest that traders are losing interest and that an inversion may be coming.
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Analyst recommended a consent rating of 2.3 on this stock. Analysts also expected the stock to reach an equity value of HKD $ 12.811188 over the next one-year period. EBITDA is $ 215164000 HKD. EBITDA is the income of a company before interest, taxes, depreciation and amortization and is an accounting measure calculated using the net profits of a company, before interest charges, taxes, amortization and depreciation are deducted as a proxy for profitability current of a company.
The return on invested capital (ROCE) is 80.99%. Return on investment (ROCE) is a financial report that measures the profitability of a company and the efficiency with which its capital is used. The return on invested capital (ROCE) is the total amount of capital that a company has used to generate profits. It is the sum of the net assets and liabilities of the debt. It can be simplified as a total of assets minus current liabilities.
The current ratio is 3,207. The current relationship is the classic measure of liquidity. Indicates if the company can pay the debts due within one year from current assets. The quick report is 3.138. 1: 1 shows that the company can meet its current financial obligations with quick funds at hand. A ratio of less than 1: 1 could indicate that the company relies too much on inventory or other assets to pay off its short-term liabilities.
The volatility or the average percentage of the real interval (ATRP 14) is 3.82%. The ATR expressed as a percentage of the closing price. The average of the real interval percentage (ATRP) measures volatility at a relative level. ATRP allows you to compare titles while ATR no. This means that low-priced shares will not necessarily have lower ATR values than higher-priced ones. The beta value of the shares was valued at 0.883756. Beta measures the amount of market risk associated with market trading. The high beta reveals more riskiness and the low beta shows a low risk.
PROFITABILITY REPORT:
Monitoring of the control of profitability, of the company profit margin which was recorded at 24.64% and of the operating margin recorded at 29.38%. The company maintained a gross margin of 57.41%. The Company has been able to maintain the return on invested capital (ROA) to 38.25% in the last twelve months. Return on equity (ROE) recorded at 70.57%.
VALIDATION OBSERVATIONS:
Headquarters The headquarters of IGG Inc (HKSE: 799) is Singapore. The Forward P / E is standing at 127. The Forward P / E is a measure of the price / earnings ratio using the expected earnings for the P / E calculation for the next fiscal year. The P / S ratio of 17.994347 reflects the value of sales on the market. The P / B ratio is 50.54726. P / B is used to compare the market value of a security with its book value. It has a market capitalization of HKD $ 1662170424,4224. Using market capitalization to show the size of a company is important because the size of the company is a key determinant of various characteristics in which investors are interested, including risk.
TECHNICAL INDICATORS:
Now the company has an RSI figure of 66.38. The RSI compares the entity of recent gains with recent losses to see if an asset is oversold or overbought. RSI is plotted on a scale of 0 to 100. Generally, if it is above 70, the stock is considered overbought and then you can try to sell it. Similarly, an RSI below 30 indicates that the stock is oversold and can be purchased.
ADX value listed in 11.78. The ADX indicator measures the strength of a trend and can be useful for determining whether a trend is strong or weak. High readings indicate a strong trend and low readings indicate a weak trend. When this indicator shows a low reading, it is likely that a trading interval will develop. Avoid stocks with low readings! You want to be in stocks that have high readings. This indicator stands for middle management index. On some graphics packages there are two other lines on the map, + DI and -DI (the DI part stands for Directional Indicator). Ignore these lines. Trying to trade on these two lines is a great way to lose money! The only thing we are interested in is the same ADX.
Larry Spivey – Category – Business
Larry Spivey it also covers economic news in all market sectors. He also has a huge knowledge of the stock market. He holds an MBA degree from the University of Florida. He has more than 10 years experience in writing financial and market news. Previously, Larry has worked in several companies with different roles including web developer, software engineer and product manager. Currently it deals with the Business news section.