Data News > Emaar Properties PJSC: Stock Price Analysis and Technical Indicators

Emaar Properties PJSC: Stock Price Analysis and Technical Indicators

By KlickAnalytics Data Insights  |   January 10, 2025 07:51AM ET

Pricing

Today, we examine the performance of Emaar Properties PJSC stock. The current price stands at $12.8, with a 1-day change of $0.05, reflecting a 1-day return of 0.39%. The trading volume for the day was 17,900,887 shares. Over the past week, the stock has shown a 1.59% return, while over the past month, the return has been an impressive 34.60%. Looking back over the last 3 months, the stock has surged by 51.84%, showcasing strong growth trends.

The stock has been on a rally for the past 2 days, indicating a positive momentum. The close price compared to the open price demonstrates a bullish sentiment at 0.39%, whereas the close price relative to the high price indicates a bearish sentiment at -2.66%. Conversely, the close price compared to the low price suggests a bullish sentiment at 0.39%. Furthermore, the close price compared to the previous day's open displays a bullish sentiment at 0.79%.

The stock hit a 1-month high price of $13.2 on 2024-12-20, 21 days ago, while the 1-month low price was $9.3 on 2024-12-11, 30 days ago. Currently, the stock is trading -3.03% below the 1-month high and 37.63% above the 1-month low. Similarly, the 52-week high price was $13.2, recorded on 2024-12-20, and the 52-week low price was $7.39, observed on 2024-01-30. Presently, the stock is trading -3.03% below the 52-week high and 73.21% above the 52-week low.

The historical returns for various periods are as follows: 1-Day 0.39%, 1-Week 1.59%, 1-Month 34.60%, 3-Months 51.84%, 6-Months 58.61%, Year-to-date 0.79%, 1-Year 61.01%. Additionally, the historical relative volume figures indicate an increased trading activity over time.

Fundamentals - TTM

Examining the fundamentals on a trailing twelve-month (TTM) basis, Emaar Properties PJSC has a MarketCap of $114.90 billion. The net income per share is $1.35, with a Price/Earning Ratio of 9.65. The Dividend Yield stands at 0.04%. The company's balance sheet reveals a strong financial position, with Working Capital of $17.35 billion, Total Assets of $150.25 billion, Total Liabilities of $58.71 billion, Total Revenue of $33.10 billion, and EBIT of $17.33 billion. The Altman Z-Score, a measure of financial health, is calculated at 2.36.

Technical Indicators

From a technical analysis standpoint, the stock exhibits positive momentum. The moving averages indicate an upward trend across different timeframes, with the SMA10 > SMA20, SMA10 > SMA20 > SMA50, SMA10 > SMA20 > SMA50 > SMA100, and SMA10 > SMA20 > SMA50 > SMA100 > SMA200 conditions met. However, the upcoming trend of SMA10 > SMA50 > SMA20 is yet to be confirmed.

Recent simple moving average signals suggest a bullish outlook, with the 5-days SMA, 10-days SMA, 20-days SMA, 50-days SMA, 100-days SMA, and 200-days SMA all indicating a 'BUY' signal. The close price relative to various SMA levels further supports the positive momentum.

Disclaimer: the above is a summary showing certain market information. KlickAnalytics is not responsible for any data errors, omissions or other information that may be displayed incorrectly as the data is derived from various resources and more. Communications displaying market prices, data and other information available in this post are meant for purely for informational purposes only and are not intended as an offer or solicitation for the purchase or sale of any security. Please do your own research when investing. All investments involve risk and the past performance of a security, or financial product does not guarantee future results or returns. Keep in mind that while diversification may help spread risk, it does not assure a profit, or protect against loss in a down market.