|
PGLC
|
avg for industry
|
avg for sector
|
42 stocks weight:
|
20. |
92 |
0. |
00 |
0. |
00 |
42 stocks rank:
|
3. |
63 K |
2. |
33 K |
1. |
08 K |
# analyst opinions:
|
2. |
00 |
11. |
68 |
12. |
12 |
mean recommendation:
|
2. |
50 |
2. |
34 |
2. |
15 |
|
quick ratio:
|
1. |
27 |
2. |
78 |
2. |
63 |
current ratio:
|
1. |
66 |
3. |
90 |
3. |
65 |
|
target price low:
|
$ 1. |
75 |
$ 29. |
23 |
$ 72. |
32 |
target price avg:
|
$ 1. |
83 |
$ 36. |
18 |
$ 85. |
82 |
target price high:
|
$ 1. |
91 |
$ 42. |
29 |
$ 101. |
88 |
1-yr high:
|
$ 2. |
23 |
$ 36. |
14 |
$ 91. |
60 |
last close:
|
$ 1. |
20 |
$ 32. |
60 |
$ 79. |
98 |
50-day avg:
|
$ 1. |
08 |
$ 31. |
15 |
$ 74. |
17 |
200-day avg:
|
$ 1. |
39 |
$ 30. |
60 |
$ 78. |
32 |
1-yr low:
|
$ 0. |
82 |
$ 25. |
72 |
$ 64. |
19 |
volume:
|
27. |
53 K |
3. |
07 M |
8. |
33 M |
50-day avg volume:
|
71. |
95 K |
4. |
79 M |
8. |
87 M |
200-day avg volume:
|
82. |
29 K |
3. |
88 M |
7. |
14 M |
|
1-day return:
|
4. |
35 % |
1. |
51 % |
1. |
28 % |
this week return:
|
2. |
56 % |
-0. |
08 % |
3. |
12 % |
12-wk return:
|
23. |
71 % |
20. |
44 % |
8. |
38 % |
52-wk return:
|
-46. |
93 % |
-3. |
27 % |
-4. |
42 % |
|
enterprise value (EV):
|
$ 38. |
53 M |
$ 10. |
40 B |
$ 92. |
11 B |
market cap:
|
$ 40. |
41 M |
$ 9. |
26 B |
$ 86. |
44 B |
EBITDA:
|
$ -14. |
06 M |
$ 1. |
06 B |
$ 8. |
79 B |
enterprise multiple (EV/EBITDA):
|
-2. |
74 |
11. |
82 |
9. |
84 |
total debt:
|
$ 0. |
00 |
$ 1. |
73 B |
$ 18. |
68 B |
net income (common):
|
$ -16. |
51 M |
$ -13. |
06 M |
$ 2. |
86 B |
|
shares outstanding:
|
33. |
68 M |
470. |
94 M |
2. |
04 B |
shares:
|
24. |
37 M |
462. |
09 M |
1. |
45 B |
shares short:
|
106. |
43 K |
10. |
38 M |
15. |
56 M |
shares short prior month:
|
146. |
05 K |
8. |
49 M |
15. |
52 M |
short ratio:
|
2. |
16 |
3. |
22 |
2. |
95 |
short % of float:
|
0. |
55 % |
1. |
06 % |
1. |
75 % |
total cash/share:
|
$ 0. |
06 |
$ 1. |
96 |
$ 3. |
82 |
total cash:
|
$ 2. |
03 M |
$ 835. |
72 M |
$ 5. |
85 B |
free cash flow:
|
$ -3. |
60 M |
$ 155. |
11 M |
$ 2. |
14 B |
operating cash flow:
|
$ -11. |
89 M |
$ 870. |
63 M |
$ 6. |
01 B |
|
book value:
|
$ 0. |
90 |
$ 15. |
97 |
$ 23. |
66 |
price/book:
|
1. |
33 |
1. |
77 |
5. |
19 |
operating margins:
|
0. |
00 % |
7. |
64 % |
17. |
68 % |
EBITDA margins:
|
0. |
00 % |
43. |
23 % |
27. |
91 % |
profit margins:
|
0. |
00 % |
2. |
65 % |
15. |
20 % |
gross margins:
|
0. |
00 % |
48. |
89 % |
41. |
58 % |
|
1-yr max volatility:
|
20. |
73 % |
--- |
--- |
1-yr mean volatility:
|
-0. |
15 % |
0. |
01 % |
-0. |
00 % |
|
1-yr EPS:
|
-0. |
51 |
0. |
06 |
4. |
55 |
forward EPS:
|
0. |
09 |
0. |
79 |
5. |
22 |
P/E:
|
-2. |
36 |
30. |
00 |
18. |
76 |
forward P/E:
|
13. |
44 |
36. |
42 |
13. |
91 |
PE/G:
|
0. |
10 |
-3. |
76 |
19. |
62 |
growth:
|
-23. |
45 % |
-5. |
82 % |
22. |
56 % |
earnings high:
|
$ -0. |
07 |
$ 0. |
17 |
$ 1. |
01 |
earnings avg:
|
$ -0. |
09 |
$ 0. |
12 |
$ 0. |
92 |
earnings low:
|
$ -0. |
11 |
$ 0. |
07 |
$ 0. |
83 |
revenue high:
|
$ -0. |
00 |
$ 643. |
55 M |
$ 6. |
71 B |
revenue avg:
|
$ -0. |
00 |
$ 621. |
96 M |
$ 6. |
41 B |
revenue low:
|
$ -0. |
00 |
$ 595. |
71 M |
$ 6. |
15 B |
return on assets:
|
-28. |
57 % |
1. |
59 % |
6. |
79 % |
return on equity:
|
-49. |
76 % |
-0. |
21 % |
68. |
77 % |
|
beta (1yr vs S&P500):
|
0. |
07 |
-0. |
04 |
0. |
85 |
sharpe (1yr):
|
-0. |
53 |
0. |
07 |
-0. |
06 |
|
held % insiders:
|
34. |
50 % |
5. |
61 % |
4. |
29 % |
held % institutions:
|
20. |
11 % |
54. |
00 % |
51. |
61 % |
Research more with
google
or yahoo!
|