9.190High9.118Low43.38KVolume9.190Open9.160Pre Close396.29KTurnover0.38%Turnover Ratio--P/E (Static)11.29MShares9.19052wk High--P/B103.57MFloat Cap8.49952wk Low0.51Dividend TTM11.29MShs Float9.844Historical High5.59%Div YieldTTM0.79%Amplitude7.540Historical Low9.136Avg Price1Lot Size
Personally, I would sink about 1300 shares just to see the downside take a bite at third and fourth quarter earnings call,...but conservative spending does yield conservative results...so looks good overall even three to six years down the road.
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