Over the last three months, the shares of the company have changed 10.78% and performed 30.67% over the last six months. Further back, their 200-Day Simple Moving Average is -47.00% difference from today's price. The Stock now has a Weekly Volatility of 18.62% and Monthly Volatility of 12.26%. This gives investors an idea of how much the security has moved in the a year ago and whether it is trading near the top, middle or bottom of the range.
CEL-SCI Corporation (CVM) has the market capitalization of $18.23 Million. They now have a United States dollars 1.2 price target on the stock. The closing price represents the final price that a stock is traded for on a trading day.
The stock is now showing YTD performance of 19.64 Percent.
The majority of analysts covering the equity have either a Buy or Strong Buy recommendation on the stock, yielding a consensus score of 2.00.
CEL-SCI Corporation (NYSE MKT: CVM) reported that it has responded to the U.S. Food and Drug Administration's (FDA) most recent communication from May 2017 about the clinical hold imposed on the Company's Phase 3 head and neck cancer study with Multikine* (Leukocyte Interleukin, Inj.).
French Open action threatened by rain on Tuesday
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Brokerage firms now have a positive stance on shares of CEL-SCI Corporation (:CVM). Back-tests of such patterns show that the break even failure rate is 4%, the average rise: 37%, the throwback rate: 64% and the percentage of stocks meeting their price targets: 64%. Its last month's stock price volatility remained 9.78% which for the week approaches 10.08%. Analysts have placed a $6.52 price target on Noble Corporation plc, suggesting a 63% gain from recent close.
Return on Investment measures the amount of return on an investment relative to the investment's cost.
Moving average is significant analytical tool used to discover current price trends and the possibility for a change in an established trend.
The company maintained ROI for the last twelve months at 11.50%. The stock has gained 0.50%, reaching at $0.0804 after hovering between $0.07 and $0.09. The company has an Average True Range (ATR) value of 0.01, while a Beta Value of -1.62. Delcath Systems, Inc.is now trading -28.99% below its 20-day and -98.25% versus the 200-day simple moving averages while -58.57% compared with its 50-day simple moving average. In recent action, ADI has made a move of +2.96 over the past month. The average analysts gave this company a mean recommendation of 2.90. 1 is equivalent to a buy rating, 3 a hold rating, and 5 a sell rating.
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