American Superconductor Corporation (NASDAQ:AMSC), a member of Industrial Electrical Equipment, has a market of $59.67M.
The company has seen its stock rally between a high and a low of $-60.39% and $10.51%, respectively, over the last 12 months.
The Barchart Technical Opinion rating is a 72% Sell with a Weakening short term outlook on maintaining the current direction. Longer term, the trend strength is Strong. Long term indicators fully support a continuation of the trend.
Recently, American Superconductor Corporation (NASDAQ:AMSC) reported financial results for its fourth quarter and full year fiscal 2016 ended March 31, 2017.
The stock’s performance for the week is 5.93% and performance of the month is -44.29%. For the quarter, though, the stock has moved -32.44%, compared with -47.94% movement for the half-year period and -59.60% for the year. So far this year shares of American Superconductor Corporation have moved -41.79%.
Various analysts have weighed on the stock of American Superconductor Corporation, giving it average price target of $8.90. That compares with the current price of $4.29. In terms of stock recommendation, the average analysts? recommendation on the stock is 1.60.
American Superconductor Corporation stock has average volume and relative volume of 144.47K and 1.69, respectively.
The weekly volatility measure for the stock of American Superconductor Corporation is 4.85%, while the monthly volatility measure stands at 6.73%.
The stock has a short float of 18.16% and short ratio of 14.79, which is a market sentiment indicator offering a hint on whether investors expect a stock to rise or fall.
American Superconductor Corporation has a current ratio of 1.70 for the most recent quarter. Quick ratio for the same period is 1.20. The company has Total/Debt/Equity ratio of Total Debt/Equity 0.02 and Long Term Debt/Equity ratio 0.00.
American Superconductor Corporation has produced return on equity of -33.20% for the last 12 months, while return on investment for the same period is -25.70%. It also generated return on assets of -19.50% for the trailing 12 months.