Ocugen, Inc., belongs to Healthcare sector and Biotechnology industry. The company’s Market capitalization is $439.98M with the total Outstanding Shares of 98. On 21-06-2022 (Tuesday), OCGN stock construct a change of 4.63 in a total of its share price and finished its trading at 2.26.
Profitability Ratios (ROE, ROA, ROI):
Looking into the profitability ratios of OCGN stock, an investor will find its ROE, ROA, ROI standing at -61.5%, -56.8% and 0%, respectively. Return on assets (ROA) is a financial ratio that shows the percentage of profit a company earns about its overall resources. A performance measure used to estimate the efficiency of an investment or to compare the ability of some different investments. ROI measures the amount of return on an investment relative to the investment’s cost.
Earnings per Share Details of Ocugen, Inc.:
The EPS of OCGN is strolling at -0.35, measuring its EPS growth this year at 2.3%. As a result, the company has an EPS growth of 466.7% for the approaching year.
Analyst’s mean target price for the company is $7.6 while analysts mean suggestion is 2.5.
A beta factor is used to measure the volatility of the stock. The stock remained 9.05% volatile for the week and 9.56% for the month.
Historical Performance In The News:
Taking a look at the performance of Ocugen, Inc. stock, an investor will come to know that the weekly performance for this stock is valued at 14.14%, resulting in a performance for the month at 0.89%.
Therefore, the stated figure displays a quarterly performance of -39.25%, bringing six-month performance to -56.87% and year to date performance of -50.33%.
P/S, P/E, P/C and P/B/ SMA50, SMA 200:
The price-to-sales is a valuation ratio that relates a company’s stock price to its revenues. The price-to-sales ratio is a symbol of the value placed on each dollar of a company’s sales or taxes. As of now, OCGN has a P/S, P/E and P/B values of 0, 0 and 3.53 respectively. P/E and P/B ratios both are used on a regular basis by the investor to measure the value of the company and to get the right amount of the share.
Its P/Cash valued at 3.39. The price-to-cash-flow ratio is a stock valuation indicator that measures the value of a stock’s price to its cash flow per share
What do you mean by simple moving average (SMA)?
A simple moving average (SMA) is an arithmetic moving average calculated by adding the closing price of the security for some time periods and then dividing this total by the number of time periods. Its distance from 20-days simple moving average is 2.1%, and its distance from 50 days simple moving average is -2.76% while it has a distance of -53.88% from the 200 days simple moving average. The company’s distance from 52-week high price is 98% and while the current price is 98% from 52-week low price.