Does QIWI PLC ADR (NASDAQ:QIWI) appear good?

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Qiwi plc (NASDAQ:QIWI) net profit margin was 14.40%. The firm’s Return on Assets were 7.10%. At the end of the day, the stock posted a Market Cap of $1.43B in the Credit Services Industry.

The Barchart Technical Opinion rating is a 96% Buy and ranks in the Top 1% of all short term signal directions. Longer term, the trend strength is Maximum. Long term indicators fully support a continuation of the trend.

Recently, Qiwi plc (NASDAQ:QIWI) posted a total traded volume of 1,474,137, and the stock recorded a change of 3.19% in the previous trading session. The firm posted a 52-Week High of $-0.70% and a52-Week Low of $115.63%. The monthly Volatility of Qiwi plc stood at 4.56%.

Qiwi plc announced EPS of $0.72. This exhibits a growth of -54.40% in EPS this year against to what was recorded last financial year and exhibits an overall growth of 25.70% over the past five year. The firm is now predicting an EPS growth of 0.34%% in the next five years.

Qiwi plc’s ownership was divided with insider ownership amounting to – while institutionaloOwnership came at 29.80%. Total insider transactions were – and total Institutional transactions were -8.49%.

Return on Assets reported was 7.10%. Return on Equity for the fiscal year was 12.70% while Return on Investments was 15.70%. The firm ended the year with a Total Debt/Equity of 0.07 out of which Long Term Debt/Equity was 0.00. Current and quick ratio was 1.50 and 1.50 respectively.

The firm posted a gross margin of 51.60%. The company has 59.03M stock outstanding at a price of $24.28 per share.

Qiwi plc QIWI has posted a dividend yield of 3.62%. EPS growth recorded this year was -54.40%. For the past 5 years, the company has recorded EPS growth of 25.70% with EPS growth for the imminent year projected to be 15.87% while EPS growth for the subsequent five years is projected to be 0.34%.

P/E was 33.91 while Forward P/E was 16.63. P/S was 4.57 and P/Cash was 4.53.

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