The 52-week High is 16.5. It is 38.66% from the current price. The 52-week Low is 8.8. It is -26.05% from current price.

]]>Some investors will use 50-day and 200-day Moving Averages as support and resistance levels. Those moving average will be very helpful most of time. The 50-day Moving Averages for CYBE is 20.08. It is 22.81% above current price. The 200-day Moving Averages for CYBE is 17.95. It is 9.79% above current price. The 52-week High is 22.3. It is 36.39% from the current price. The 52-week Low is 12.46. It is -23.79% from current price.

Some people may be interesting about short interest ratio of a stock. The short interest ratio of CYBE is 12.46 on 2018-09-28. Short % to float is 8.19%. There are some statistics of CYBE. It is has market cap $115.13 million. The share outstanding is 7.04 million. The average volume is 39228. The revenue is 25.00M. The gross profit is 11.63M. The percent of top 15 Institution holding is 61.30%. Return on equity is how much of net income returned as a percentage of the total amount of shareholder equity found on the balance sheet. Return on equity (ROE) of CYBE is 1.89%. Return on assets (ROA) is an indicator that shows how profitable a company is using its total assets to generate earnings. Return on Assets (ROA) of CYBE is 1.55%.

]]>Some investors will use 50-day and 200-day Moving Averages as support and resistance levels. Those moving average will be very helpful most of time. The 50-day Moving Averages for CLSN is 2.71. It is 8.84% above current price. The 200-day Moving Averages for CLSN is 2.61. It is 4.82% above current price. The 52-week High is 3.96. It is 59.04% from the current price. The 52-week Low is 1.75. It is -29.72% from current price.

Some people may be interesting about short interest ratio of a stock. The short interest ratio of CLSN is 7.83 on 2018-09-28. Short % to float is 13.11%. There are some statistics of CLSN. It is has market cap $44.60 million. The share outstanding is 17.91 million. The average volume is 161543. The revenue is 125000. The percent of top 15 Institution holding is 10.80%. Return on equity is how much of net income returned as a percentage of the total amount of shareholder equity found on the balance sheet. Return on equity (ROE) of CLSN is -177.74%. Return on assets (ROA) is an indicator that shows how profitable a company is using its total assets to generate earnings. Return on Assets (ROA) of CLSN is -57.77%.

]]>The 52-week High is 13.55. It is 47.60% from the current price. The 52-week Low is 2.58. It is -71.90% from current price.

]]>Some investors will use 50-day and 200-day Moving Averages as support and resistance levels. Those moving average will be very helpful most of time. The 50-day Moving Averages for WLDN is 32.12. It is 4.35% above current price. The 200-day Moving Averages for WLDN is 28.22. It is -8.32% below current price. The 52-week High is 35.11. It is 14.07% from the current price. The 52-week Low is 19.25. It is -37.46% from current price.

Some people may be interesting about short interest ratio of a stock. The short interest ratio of WLDN is 20.77 on 2018-09-28. Short % to float is 8.32%. There are some statistics of WLDN. It is has market cap $336.29 million. The share outstanding is 10.93 million. The average volume is 90968. The revenue is 69.01M. It has 5.60M cash and 3.26M in debt. The gross profit is 20.27M. The percent of top 15 Institution holding is 73.50%. Return on equity is how much of net income returned as a percentage of the total amount of shareholder equity found on the balance sheet. Return on equity (ROE) of WLDN is 16.67%. Return on assets (ROA) is an indicator that shows how profitable a company is using its total assets to generate earnings. Return on Assets (ROA) of WLDN is 8.91%.

]]>Some investors will use 50-day and 200-day Moving Averages as support and resistance levels. Those moving average will be very helpful most of time. The 50-day Moving Averages for STXB is 21.64. It is 12.12% above current price. The 52-week High is 22.56. It is 16.89% from the current price. The 52-week Low is 19.3. The stock hits 52-week low today.

Some people may be interesting about short interest ratio of a stock. The short interest ratio of STXB is 4.62 on 2018-09-28. Short % to float is 0.80%. There are some statistics of STXB. It is has market cap $188.90 million. The share outstanding is 9.79 million. The average volume is 13095. The percent of top 15 Institution holding is 5.50%. Return on equity is how much of net income returned as a percentage of the total amount of shareholder equity found on the balance sheet. Return on equity (ROE) of STXB is 4.86%. Return on assets (ROA) is an indicator that shows how profitable a company is using its total assets to generate earnings. Return on Assets (ROA) of STXB is 0.67%.

]]>Some investors will use 50-day and 200-day Moving Averages as support and resistance levels. Those moving average will be very helpful most of time. The 50-day Moving Averages for SPHS is 2.68. It is 14.04% above current price. The 200-day Moving Averages for SPHS is 2.66. It is 13.19% above current price. The 52-week High is 4.05. It is 72.34% from the current price. The 52-week Low is 1.8. It is -23.40% from current price.

Some people may be interesting about short interest ratio of a stock. The short interest ratio of SPHS is 4.19 on 2018-09-28. Short % to float is 7.47%. There are some statistics of SPHS. It is has market cap $70.76 million. The share outstanding is 30.11 million. The average volume is 245126. The percent of top 15 Institution holding is 7.70%. Return on equity is how much of net income returned as a percentage of the total amount of shareholder equity found on the balance sheet. Return on equity (ROE) of SPHS is -263.66%. Return on assets (ROA) is an indicator that shows how profitable a company is using its total assets to generate earnings. Return on Assets (ROA) of SPHS is -70.99%.

]]>Some investors will use 50-day and 200-day Moving Averages as support and resistance levels. Those moving average will be very helpful most of time. The 50-day Moving Averages for LIVX is 4.19. It is 51.26% above current price. The 200-day Moving Averages for LIVX is 4.50. It is 62.45% above current price. The 52-week High is 11.11. It is 301.08% from the current price. The 52-week Low is 2.64. It is -4.69% from current price.

Some people may be interesting about short interest ratio of a stock. The short interest ratio of LIVX is 22.69 on 2018-09-28. Short % to float is 2.81%. There are some statistics of LIVX. It is has market cap $143.77 million. The share outstanding is 51.90 million. The average volume is 64048. The percent of top 15 Institution holding is 36.20%. Return on equity is how much of net income returned as a percentage of the total amount of shareholder equity found on the balance sheet. Return on equity (ROE) of LIVX is -202.15%. Return on assets (ROA) is an indicator that shows how profitable a company is using its total assets to generate earnings. Return on Assets (ROA) of LIVX is -84.92%.

]]>Some investors will use 50-day and 200-day Moving Averages as support and resistance levels. Those moving average will be very helpful most of time. The 50-day Moving Averages for CTMX is 19.94. It is 30.58% above current price. The 200-day Moving Averages for CTMX is 25.00. It is 63.72% above current price. The 52-week High is 35.0. It is 129.21% from the current price. The 52-week Low is 15.1. It is -1.11% from current price.

Some people may be interesting about short interest ratio of a stock. The short interest ratio of CTMX is 6.65 on 2018-09-28. Short % to float is 6.27%. There are some statistics of CTMX. It is has market cap $686.37 million. The share outstanding is 44.96 million. The average volume is 386336. The revenue is 24.14M. The percent of top 15 Institution holding is 80.80%. Return on equity is how much of net income returned as a percentage of the total amount of shareholder equity found on the balance sheet. Return on equity (ROE) of CTMX is -81.57%. Return on assets (ROA) is an indicator that shows how profitable a company is using its total assets to generate earnings. Return on Assets (ROA) of CTMX is -10.47%.

]]>Some investors will use 50-day and 200-day Moving Averages as support and resistance levels. Those moving average will be very helpful most of time. The 50-day Moving Averages for PSX is 115.16. It is 11.63% above current price. The 200-day Moving Averages for PSX is 107.94. It is 4.63% above current price. The 52-week High is 123.97. It is 20.17% from the current price. The 52-week Low is 89.14. It is -13.59% from current price.

Some people may be interesting about short interest ratio of a stock. The short interest ratio of PSX is 2.01 on 2018-09-28. Short % to float is 1.22%. There are some statistics of PSX. It is has market cap $47.89 billion. The share outstanding is 464.26 million. The average volume is 2.86 million. The revenue is 56.33B. It has 1.55B cash and 10.20B in debt. The gross profit is 10.66B. Return on equity is how much of net income returned as a percentage of the total amount of shareholder equity found on the balance sheet. Return on equity (ROE) of PSX is 25.91%. Return on assets (ROA) is an indicator that shows how profitable a company is using its total assets to generate earnings. Return on Assets (ROA) of PSX is 10.91%.

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