Active Stock Momentum: Everi Holdings Inc. (NYSE:EVRI)

Everi Holdings Inc. (EVRI) belonging to the Consumer Cyclical sector has declined -2.8% and closed its last trading session at $9.37.

The company reported its EPS on 6/29/2018. Currently, the stock has a 1 Year Price Target of $12.

The consensus recommendation, according to Zacks Investment research, is 1. The scale runs from 1 to 5 with 1 recommending Strong Buy and 5 recommending a Strong Sell.

The Stock had a 1 Consensus Analyst Recommendation 30 Days Ago, whereas 60 days ago and 90 days ago the analyst recommendations were 1 and 1 respectively.

Everi Holdings Inc. on 6/29/2018 reported its EPS as $-0.06 with the analysts projecting the EPS of the stock as $-0.1. The company beat the analyst EPS Estimate with the difference of $0.04. This shows a surprise factor of 0.4%.

Many analysts have provided their estimated foresights on Everi Holdings Inc. Earnings, with 5 analysts believing the company would generate an Average Estimate of $0.

Whereas they predicted High and Low Earnings Estimate as $0.02 and $-0.02 respectively. While in the same Quarter Previous year, the Actual EPS was $-0.06.

Analysts are also projecting an Average Revenue Estimate for Everi Holdings Inc. as $112310 in the Current Quarter. This estimate is provided by 5 analysts.

The High Revenue estimate is predicted as 116060, while the Low Revenue Estimate prediction stands at 110930. The company’s last year sales total was 247320.

For the Current Quarter, the growth estimate for Everi Holdings Inc. is 83.3%, while for the Next Quarter the stock growth estimate is 82.35%.

In the running year, the stock showed growth of 119.35% per annum. While for the next year, the growth estimate is 88.89%.

Everi Holdings Inc. (EVRI) has the market capitalization of $648.43 Million. The company rocked its 52-Week High of $9.81 and touched its 52-Week Low of $6.08.

The stock has Return on Assets (ROA) of -1.6 percent. Return on Equity (ROE) stands at 18.3% and Return on Investment (ROI) of 2.7 percent.

The stock is currently showing YTD performance of 24.27 Percent. The company has Beta Value of 1.31 and ATR value of 0.31. The Weekly and Monthly Volatility stands at 4.83% and 3.26%.