What’s driving 21st Century Fox Inc. Cl A (NASDAQ:FOXA)?

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Twenty-First Century Fox, Inc. (NASDAQ:FOXA) stock had a weekly Volatility of 3.10% and a monthly volatility of 2.16%. Twenty-First Century Fox, Inc. FOXA shares float stands at 1.49B.

The Barchart Technical Opinion rating is a 80% Sell with a Average short term outlook on maintaining the current direction. Longer term, the trend strength is Maximum. Long term indicators mostly agree with the trend. The market is approaching oversold territory. Be watchful of a trend reversal.

Recently, Twenty-First Century Fox, Inc. (NASDAQ:FOXA) announced released its third-quarter 2017 financial results, posting earnings of $0.54 per share and revenues of $7.56 billion.

Currently, FOXA is a Zacks Rank #3 (Hold), but this ranking could change based on today’s results. The stock is down 2.72% to $27.90 per share in after-hours trading shortly after its earnings report was released.

Twenty-First Century Fox, Inc. quarterly Return on Assets is 6.30%, quarterly Return on Equity was 21.90% while quarterly Return on Investments was 9.10%.

Gross Margin during the quarter was 38.00%. Net Profit Margin was 11.00%% and operating margin was 16.20%. Current ratio was 2.30 while quick ratio was 1.80.

The company?s Total Debt/Equity stood at 1.39 while Long Term Debt/Equity was 1.38.

The company?s stock 50-Day High is $-14.51% and a 50-Day Low of $0.43%. 20-Day Simple Moving Average was $-7.08% while 50-Day Simple Moving Average was $-9.02%.

The company announced EPS of $1.65. This represents an EPS growth quarter over quarter of 34.30%. EPS for the whole years was $-63.90%. For the last five years, the stock has reported an average EPS growth of 10.30% and EPS growth for next year is projected to be 9.69% while EPS growth for the next five years will be 12.91%.

P/E was 16.95, Forward P/E was 13.32, PEG was 1.31 while P/S and P/B were 1.82 and 3.60 respectively.

The company’s monthly average volume for the quarter was 8.16M and 8.16M for the full financial year. The relative volume was 1.14 for the quarter and 1.14 for the full financial year.

The stock’s 50-Day High during the quarter was $-14.51% while the 50-Day Low was $0.43%. In the last financial year, the stock has a 52-Week High of $-14.51% and a 52-Week Low of $20.17%.

The company?s Insider Ownership was 1.03% and Institutional Ownership was 98.00%. Total Institutional Transactions amounted to -0.23%. Sales growth quarter over quarter was 4.20%.

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