Ericsson (NASDAQ:ERIC) closed its last session at $5.43 The market capitalization of the company is $17.71B with an average Volume of 5.83 million shares. The stock currently has its 52-Week High range of $10.56 and 52-week low range of $5.35. The Price to Book (P/B) ratio stands at 1.13. The stock traded total quantity of 11.31 million shares.
The stock has received ratings from many brokerage firms according to ZACKS. Currently shares have been rated as “Buy” from “7” brokerage firms and “0” brokerage firms say as “Strong Buy”. “1” brokerage firms have suggested “Sell” for the company. “0” brokerage firms have recommended as a “Hold”. Strong Sell rating was given by “3” brokerage firms. The Company has average brokerage recommendation (ABR) of “2.13” based on consensus of the ZACKS brokerage firms.
The average true range of Telefonaktiebolaget LM Ericsson (publ)’s (ERIC) is recorded at 0.20 and the relative strength index of the stock stands 17.55. The stock price is going above to its 52 week low with 1.50% and lagging behind from its 52 week high with -46.41%. Analyst recommendation for this stock stands at 3.20. A look on the firm performance, its monthly performance is -19.56% and a quarterly performance of -23.31%. The stock price is trading downbeat from its 200 days moving average with -32.07% and down from 50 days moving average with -22.68%.
SK Telecom Co., Ltd. (NYSE:SKM) ended its last trade at $21.82 with the move of +0.83%. The company has market value of $13.88B with the total traded volume of 811.16 thousand. The stock currently has its 52-Week top value of $25.47 and 52-week down value of $17.52. The price to book (P/B) ratio of the company is 1.01. Its previous closing price was recorded at $21.64.
SK Telecom Co. Ltd.’s (SKM) has price-to-cash ratio of 9.12 and price to sale ratio of 1.04. The company net profit margin is 8.90% and gross profit margin is 94.10%. A look on the firm performance, its monthly performance is 3.31% and a quarterly performance of 0.51%. The stock price is moving down from its 20 days moving average with -0.79% and isolated negatively from 50 days moving average with -1.10%.