Data News >
Union Properties PJSC (UPP.DFM) - Trader StatsUnion Properties PJSC (UPP.DFM) - Trader Stats
By KlickAnalytics Data Insights | November 30, 2024 07:36AM ET
Pricing
Union Properties PJSC (UPP.DFM) close price is trading at 0.36 with volume of 7,372,210 and a one day change of 0.0 (0.0%).Price Rally: The stock is trading with no price rally for the last 1 day.Close price to open price was 0.00%, showing a neutral sentimentClose price to high price was 0.00%, showing a neutral sentimentClose price to low price was 0.00%, showing a neutral sentimentClose price to previous day open was -2.70%, showing a bearish sentiment1 Month high price was 0.38 which occured on 2024-11-14 (16 days ago)1 Month low price was 0.34 which occured on 2024-10-29 (32 days ago)Current price vs 1 month high price is -5.26%.Current price vs 1 month low price is 5.88%.52-week high price was 0.47 which occured on 2024-04-02 (242 days ago)52-week low price was 0.27 which occured on 2024-02-05 (299 days ago)Current price vs 52-week high price is -23.40%.Current price vs 52-week low price is 33.33%.Historical Returns (%): 1-Day 0.00%, 1-Week 0.00%, 1-Month 2.86%, 3-Months 5.88%, 6-Months -2.70%, Year-to-date 24.14%, 1-Year 12.50%Historical Relative Volume: 1-Week 0.46x, 1-Month 0.40x, 3-Months 0.49x, 6-Months 0.46x, Year-to-date 0.30x, 1-Year 0.31x1-Month high volume was 70,492,917 which occured on 2024-11-14 (16 days ago)1-Month low volume was 5,599,031 which occured on 2024-11-06 (24 days ago)Current volume vs 1-Month high volume is -89.54%.Current volume vs 1-Month low volume is 31.67%.Fundamentals - TTM
MarketCap : 1,544,234,400 Net income per share : 0.20 Price/Earning Ratio : 1.81 Working Capital : 326,239,000 Total Assets : 4,061,664,000 Total Liabilities : 1,213,546,000 Total Revenue : 557,134,999%EBIT : 42,982,000%Altman Z-Score : 0.32 Technical Indicators
Spurt UP : SMA10 > SMA20 : NoShort term UP : SMA10 > SMA20 > SMA50 : NoMedium term UP : SMA10 > SMA20 > SMA50 > SMA100 : NoLong term UP : SMA10 > SMA20 > SMA50 > SMA100 > SMA200: NoUP coming : SMA10 > SMA50 > SMA20 : No5-days Simple Moving Average (0.36) signal is SELL10-days Simple Moving Average (0.36) signal is SELL20-days Simple Moving Average (0.36) signal is BUY50-days Simple Moving Average (0.35) signal is BUY100-days Simple Moving Average (0.35) signal is BUY200-days Simple Moving Average (0.37) signal is SELLClose price vs SMA5 is -1.10%Close price vs SMA10 is -0.92%Close price vs SMA20 is 0.14%Close price vs SMA50 is 2.45%Close price vs SMA100 is 2.04%Close price vs SMA200 is -2.44%About
Country of Origin: United Arab Emirates (U.A.E)
Union Properties Public Joint Stock Company (“the Company”) was incorporated on 28 October 1993 as a public joint stock company by a United Arab Emirates Ministerial decree.
The principal activities of the Company are investment in and development of properties, the management and maintenance of its own properties including the operation of cold stores, the undertaking of property related services on behalf of other parties (including related parties) and acting as the holding company of its subsidiaries and investing in joint ventures.
The Company and its subsidiaries are collectively referred to as “the Group”. All of the Group’s significant business and investment activities in land, properties, securities and financial derivatives are carried out within the UAE. The Group does not have significant foreign currency exposure towards land, properties, securities and financial derivatives.
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.