Skyline Medical Inc. (NASDAQ:SKLN) went lower by -2.222% to close at $ 0.088. The company exchanged total volume of 3.96 million shares throughout course of last trade however it holds an average trading capacity of 4.9 million shares. Shares of company began trading at $0.092 climbed to high of $0.098 touched the low of $0.087.
The company is trading below its 50-day moving averages of 0.125 and down from 200-day moving averages of 0.471. The firm has price to book ratio of 9.000 and its price to sale ratio was 16.310.
The average true range of Skyline Medical Inc.’s (SKLN) is recorded at 0.01 and the relative strength index of the stock stands 28.86. The stock price is going above to its 52 week low with 6.02% and lagging behind from its 52 week high with -98.70%. A look on the firm performance, its monthly performance is -32.31% and a quarterly performance of -41.33%. The stock price is trading downbeat from its 200 days moving average with -93.68% and down from 50 days moving average with -36.11%.
Ocular Therapeutix, Inc. (NASDAQ:OCUL) dropped -2.13% and closed the trade at $ 6.88. The company recorded a trading capacity of 831.6 thousand shares below its three months average daily volume of 1.02 million shares. During the last trade, shares reached to high price of $7.11 and touched the low price of $6.67. The stock’s 50-day moving average is noted at $5.63 and its 200-day moving average is stands at $8.29.
Additionally, the company has EPS of -1.80. The company has market capitalization of $170.77M.
The stock has received ratings from many brokerage firms according to ZACKS. Currently shares have been rated as “Buy” from “1” brokerage firms and “2” brokerage firms say as “Strong Buy”. “0” brokerage firms have suggested “Sell” for the company. “0” brokerage firms have recommended as a “Hold”. Strong Sell rating was given by “0” brokerage firms. The Company has average brokerage recommendation (ABR) of “1.17” based on consensus of the ZACKS brokerage firms.
Ocular Therapeutix, Inc.’s (OCUL) has price-to-cash ratio of 2.03 and price to sale ratio of 94.75. The company gross profit margin is 78.10%. A look on the firm performance, its monthly performance is 55.66% and a quarterly performance of -40.64%. The stock price is moving up from its 20 days moving average with 16.24% and isolated positively from 50 days moving average with 24.44%.