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Oracle Corporation (ORCL) is 2% Away from 200 Day Moving Average

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Oracle Corporation (ORCL)

($37.99 0.10 - 0.26% )
Pre-Market Chg: 0.29%

Oracle Corporation (ORCL) It has a short ratio of 2.04. It has a 1.58% dividend yield. It has returned 14.67% from its 52 week low. This stock has a 159.60B dollar valuation. With a P/E ratio of 18.35, this could be a time to hold; the stock price is a little high but not over valued and its earnings yield is 5.45 %. Also, the stock is priced somewhat high relative to growth projections with a PEG ratio of 1.83, the stock's price is getting somewhat overpriced. Once a stock gets at or above 2, selling some shares should be considered

Considering the stock is only 2.18% away from its 200 day moving average, a possible buy should be considered as the stock has not been extended. Nevertheless, the stock is only 5.97% away from its 50 day moving average, a possible buy should be considered if the stock pulls back to the 50 day line. However, the stock had a decrease in volume with a -57.42% decrease from its average daily volume. 7,387,741 shares were traded.

See Demo of Interactive Charts like the chart above.
EPS Est Next Yr:2.82 Earnings/Share:2.07
Earnings Yield:5.45%Market Cap:$159.60B
P/E Ratio:18.35Shares Float:3081300000
PEG Ratio::1.8350 Day MA:35.85
Price/Sales Ratio:4.25200 Day MA:37.18
Price/Book Ratio:3.47% from 50 DMA:5.97%
Short Ratio:2.04% from 200 DMA:2.18%
1 Yr Target Price: $43.58Avg Daily Vol:17,349,300
52Wk Range:33.13 - 45.24Todays Volume:7,387,741
Change 52 Wk Low: 14.67% PCT Volume Chg:-57.42%
Change 52 Wk High:-16.03%Dividend:$0.6
Dividend Pay Date:1/27/2016Dividend Yield:1.58%
Previous Close :$37.89Open Price:$38.00

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I'm an Investor who blogs about using long term and short term methods via Technical and Fundamental Analysis.

I also code using PHP, MYSQL, C++, Swift and and the Author of The Investing Guide available on at

Jim Vickery MBA

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