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.