The shares of Visa Inc. (NYSE:V) started off the last trading session with the price of $122.2 while closing the day with the price of $119.99. The shares of Visa Inc. (NYSE:V) Fell -2.62% with the Loss of -2.21 points.
The shares of Visa Inc. (NYSE:V) traded with the day volume of 10.49 Million shares whereas its average trading volume is 8.19 Million.
While analyzing the past performance of the stock we can see that the shares of Visa Inc. (NYSE:V) Loss -2.77% in the last week while Falling -0.37% in the last month. Past quarter performance shows the green light with 7%. The semi-annual and annual performance shows 14.31% and 35.55% respectively.
Some critical values of the shares of Visa Inc. (NYSE:V) to be discussed here are: the beta which shows the value at 0.98 while Average True Range of Visa Inc. (NYSE:V) demonstrate the value at 2.3. The weekly and monthly volatility of the shares of Visa Inc. (NYSE:V) are indicated at 1.80% and 1.82%. Also to discuss here is the Relative Strength Index or RSI which is depicted at 42.31.
While studying the financial position of the shares of Visa Inc. (NYSE:V), we can see that the Market capitalization of the company is at 268.37 Billion. The shares outstanding for the company is 2.24 Billion and the shares float stands at 406.07 Million. The income of the company stand at 5.8 Billion while the sales stand at 18.76 Billion.
Here are some critical ratios for a financial perspective: Earnings Per Share or EPS of the company stand at 2.55, Price to Earnings or P/E is at 47.05, Price to Sales P/S show the value of 14.31, the Return on Asset ROA stood at 0.105 and the Return on Equity ROE depicted at 0.259 while Return on Investment ROI is at 0.157.
The Procter & Gamble Company (NYSE:PG)
The Procter & Gamble Company (NYSE:PG) started its previous trading session at $76.83 and closed at $76.41 showing a Fell of -0.82 Percent.
The Company traded with an average Volume of 9.62 Million whereas, its Day Volume stood at 10.45 Million.
Looking at the performance of the stock, The Procter & Gamble Company (NYSE:PG) Loss -2.87% in the last week in its shares price and -4.77% in the last month. Quarterly performance shows a red of -16.66 Percent while Semi-Annual and Annual performances shows a -19.06 and -16.02 percent respectively.
Beta for The Procter & Gamble Company (NYSE:PG) stands at 0.57 while the ATR (average true range) is at 1.13. The Stock’s Weekly and Monthly Volatility is 1.42% and 1.35% respectively showing a RSI value of 26.77.
While studying the financial position of the shares of The Procter & Gamble Company (NYSE:PG), we can see that the Market capitalization of the company is at 193.62 Billion. The shares outstanding for the company is 2.53 Billion and the shares float stands at 2.52 Billion.
The Company generated an income of 10.33 Billion and the sales of 65.73 Billion in the Trailing Twelve Months period.
While analyzing the stock from technical aspects, Diluted Earnings per share stands at $3.93 a share. P/E (price to earnings) and P/S (price to sales) values are 19.42 and 2.95 respectively.
The Return on Assets stands at 0.081, ROE shows a value of 0.184 and ROI for The Procter & Gamble Company (NYSE:PG) is 0.127 as of Trailing Twelve Months period.