NASDAQ:GYRO - Gyrodyne, LLC
$18.96
 $-0.04
-0.20%
2:35PM EDT
2020-01-21
Gyrodyne, LLC, incorporated on October 3, 2013, is engaged in the business of investing and acquiring, owning and managing of a geographically diverse portfolio of real estate properties. The Company's property portfolio includes medical office, industrial and development of industrial and residential properties located in the Northeast region of the United States. It operates primarily in the management of multi-tenanted industrial and medical office buildings segment. It owns, operates, and manages over 260,000 square feet of rental space, which consists of approximately 20 buildings located on over two properties in Long Island, New York and over two others, including one in northern Westchester County, New York and the other in Fairfax County, Virginia. The Long Island facilities include the Flowerfield Industrial Park in Saint James and the Port Jefferson Professional Park in Port Jefferson Station, New York, while the Westchester property consists of the Cortlandt Medical Center in Cortlandt Manor, New York.The Company owns the approximately 70 acre site called Flowerfield, primarily zoned for light industry, which is located approximately 50 miles east of New York City on the north shore of Long Island in the hamlet of St. Read more at  reuters.com
sector:  consumer services
industry:  building operators
the data below are updated and published after 9pm EDT each trading day
  GYRO     avg for
industry  
  avg for
sector  
42 stocks weight:  0. 00   587. 45   303. 25  
42 stocks rank:  4. 52 K 159. 64   1. 50 K


ex-dividend date:     2017-06-22
1-yr high:  20. 38   62. 30   516. 81  
last close:  18. 98   61. 28   479. 34  
50-day avg:  19. 18   57. 46   459. 90  
200-day avg:  19. 04   51. 50   461. 00  
1-yr low:  0. 00   40. 62   386. 37  
volume:  209. 00   1. 32 M 4. 70 M
50-day avg volume:  608. 26   1. 14 M 4. 01 M
200-day avg volume:  571. 66   1. 44 M 4. 14 M

1-day return:  1. 31 % 1. 62 % 0. 86 %
this week return:  1. 20 % 5. 87 % 1. 03 %
12-wk return:  -4. 83 % 14. 55 % 7. 87 %
52-wk return:  1. 55 % 47. 92 % 28. 02 %

enterprise value (EV):  52. 43 M 261. 19 B 295. 31 B
market cap:  28. 17 M 63. 29 B 4. 46 T
EBITDA:  -3. 08 M 17. 18 B 13. 97 B
enterprise multiple (EV/EBITDA):  -17. 02   15. 06   5. 36  
enterprise/revenue (EV/R):  19. 15   3. 78   21. 08  
total revenue:  2. 74 M 68. 70 B 110. 06 B
total debt:  17. 94 M 129. 07 B 37. 32 B
debt/equity:  69. 24   120. 56   146. 27  
net income (common):  -4. 36 M 3. 61 B 5. 31 B

shares outstanding:  1. 48 M 998. 41 M 1. 01 B
shares:  967. 23 K 882. 06 M 785. 72 M
shares short:  583. 00   6. 86 M 13. 97 M
shares short prior month:  16. 00   7. 08 M 13. 76 M
short ratio:  0. 56   3. 54   4. 01  
short % of float:  0. 05 % 0. 00 % 3. 20 %
total cash/share:  5. 40   7. 47   20. 78  
total cash:  8. 01 M 7. 53 B 10. 73 B
operating cash flow:  -3. 44 M 6. 72 B 12. 15 B

book value:  34. 54   29. 40   41. 52  
price/book:  0. 55   2. 10   5. 05  
gross profits:  1. 14 M 13. 03 B 50. 02 B
operating margins:  -126. 72 % 18. 77 % 10. 52 %
EBITDA margins:  -112. 52 % 25. 16 % 18. 75 %
profit margins:  -137. 05 % 3. 73 % 12. 19 %
gross margins:  41. 65 % 26. 01 % 43. 76 %

1-yr max volatility:  7. 31 % --- ---
1-yr mean volatility:  0. 71 % 0. 70 % 1. 05 %

1-yr EPS:  -2. 53   3. 89   7. 58  
P/E:  -7. 50   16. 44   98. 51  
PE/G:  0. 69   0. 31   7. 53  
growth:  -10. 91 % 60. 10 % 28. 04 %
earnings high:  -0. 00   0. 48   2. 02  
earnings avg:  -0. 00   0. 48   1. 61  
earnings low:  -0. 00   0. 48   1. 14  
revenue high:  -0. 00   14. 45 B 33. 73 B
revenue avg:  -0. 00   14. 45 B 33. 27 B
revenue low:  -0. 00   14. 45 B 32. 46 B
revenue growth:  -1. 80 % 21. 21 % 14. 56 %
revenue/share:  1. 85   71. 87   152. 74  

beta (1yr vs S&P500):  0. 04   0. 76   0. 89  
sharpe (1yr):  0. 29   2. 89   2. 14  

held % insiders:  11. 97 % 0. 01 % 13. 43 %
held % institutions:  46. 04 % 0. 10 % 63. 04 %

Research more with google or yahoo!
The data below are updated and re-published
at 9pm EDT after each trading day.

2020-01-17 : GYRO
.    211.561 =  211.561 :: INIT WEIGHT
.     --> FUNDAMENTALS <--
.    x 1.718 =  363.4   :: P/E
.    x 1.098 =  399.1   :: PE/G
.    x 1.417 =  565.5   :: beta
.      x 0.9 =  509.0   :: sharpe
.    x 1.989 =    1.0 K :: short ratio
.    x 0.887 =  898.3   :: EV/R
.    x 1.003 =  900.8   :: price-to-book
.    x 0.881 =  793.4   :: debt-to-revenue
.    x 1.537 =    1.2 K :: debt-to-equity
.      --> PERFORMANCE <--
.    x 3.655 =    4.5 K :: sec+ind 1yr gains
.    x 1.146 =    5.1 K :: ind 12wk return
.    x 1.321 =    6.7 K :: ind 2wk return
.    x 0.957 =    6.5 K :: 1yr gains+div
.    x 0.934 =    6.0 K :: 13wk performance
.    x 1.008 =    6.1 K :: 50d avg > 200d avg
.   x 11.132 =   67.6 K :: overall "drift"
.    x 0.986 =   66.7 K :: largest delta
.    x 3.803 =  253.6 K :: volatility
.    x 3.787 =  960.6 K :: 42-day volatility
.   x 11.758 =   11.3 M :: performance
.    x 2.984 =   33.7 M :: inverse vol/price
.      --> PROJECTIONS <--
.    x 1.478 =   49.8 M :: fwd P/E
.    x 1.199 =   59.7 M :: ind recommendation
.    x 1.334 =   79.7 M :: ind hist wk 3
.     x 0.94 =   74.9 M :: spline projection
.     --> FINAL ADJUST <--
.  quad root =   93.023 :: make readable
.     + 8.12 =  101.144 :: +/- sentiment
. -999999999.999 zero/no returns for 14 days out of the past 42x trading days
.     --> FINAL WEIGHT <--
.             -999999999.999 :: FINAL WEIGHT GYRO


 


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