Terminal

XLV

XLV
166.18
-0.01%

Price

21 sessions shown
1M3M6M1Y2Y5Y

Technicals

from daily closes
RSI · 14 day
43.3
Avg true range · 14d
1.34%
Volatility · 20d annualised
14.1%
Trend · 20d vs 50d
—
vs 20-day average
-1.31%
vs 50-day average
—
vs 200-day average
—
200-day average
—

Internals

where it sits, and how hard it is being traded
52-week low
141.05
52-week high
176.60
Volume vs its 20-day avg
—
Beta vs the market
0.55
Sitting 71% of the way up its 52-week range (141.05 → 176.60)

Swings

prices it actually turned at — highest or lowest of the surrounding 11 sessions
Turned up · Sep 11
165.11

Fundamentals

P/E
—
Fwd P/E
—
P/S
—
P/B
—
EV/EBITDA
—
ROE
—
ROA
—
Gross margin
—
Net margin
—
Debt / equity
—
Rev growth
—
EPS growth
—

Every figure here is measured from live market data as of Oct 4, 05:49 PM. Nothing is estimated or filled in — where a figure shows — the source had no value for it, and a section you don’t see had no data at all. This describes what the market has already done. It is not a forecast, and not financial advice.

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