Previous Close | 23.5 |
1-Year Change | 9.97% |
6-Months Change | -6.26% |
3-Months Change | -14.39% |
Moving Avg (50d) | 24.566 |
Moving Avg (200d) | 25.331 |
ESG Rating | - |
Exchange | NYSE |
Market Cap. | 4.4B |
Beta (3-Years) | 0.93 |
Revenue Growth (ttm) | -25.29% |
Net Profit Margin (ttm) | 41.61% |
Return On Assets (ttm) | 19.66% |
EPS (ttm) | 2.76 |
PE Ratio (ttm) | 8.51 |
Dividend Yield | 1.87% |
Asset Description: | Magnolia Oil & Gas Corporation |
Predicted Direction: | Sell |
Signal Strength: | Neutral |
Forecast Date: | 2024-11-27 00:00:00 |
Strong Buy | ||
Buy | ||
Neutral | ||
Sell | ||
Strong Sell |
2% | 5% | 7% | 10% | 15% | 20% |
23.97 | 24.675 | 25.145 | 25.85 | 27.025 | 28.2 |
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Sector: | Energy |
Industry: | Oil & Gas Exploration & Production |
Country: | United States |