Adobe Systems Incorporated (NASDAQ:ADBE), from Technology sector has been performing well.
Adobe Systems Incorporated reported a price of 99.72 today, indicating a change of 1.77%.
Adobe Systems Incorporated has a market capitalization of 50721.58, with a return on assets (ROA) of 6.90% and an earnings per share (EPS) of 1.58 for the current year
The gross margin stands at 84.70%, while the operating margin is 20.50%. The net profit margin for Adobe Systems Incorporated stands at 15.80%.
The present return on equity (ROE) stands at 11.60%, while the debt to equity is at 0.
The weekly performance is 2.83% for Adobe Systems Incorporated, while the monthly performance measure stands at 2.93%.
Adobe Systems Incorporated’s volatility stands at 1.40% and the average volume is 2533.43.
The quarterly performance stats for Adobe Systems Incorporated stands at 7.74% and the half-yearly performance is at 9.21%. The performance for the year is at 21.20% and the performance (year to date) is at 6.15%.
Good to know – Volatility is a statistical measure of the dispersion of returns for a given security. It is usually measured by using the difference between returns from the market index. Usually, there is always a positive correlation between high volatility and high risk
The simple 20 day moving average for Adobe Systems Incorporated is 3.35% and the simple 200-day moving average is at 11.02%.
The 52-week high is at -0.84% and the 52-week low stands at 39.92%.
Adobe Systems Incorporated’s short ratio is at 2 and the float short is at 1.02%.
Adobe Systems Incorporated’s P/E stands at 63.15, while the P/S is at 10 and earnings per share this year of 135.20%.
Disclaimer: The views, opinions, and information expressed in this article are those of the authors and will not necessarily reflect the official policy or position of any company stakeholders, financial professionals, or analysts.. Examples of analysis performed within this article are for demonstration purposes only. They should not be utilized to make stock portfolio or financial decisions as they are based on limited and open source information only. Hence the assumptions made within the analysis are not reflective of the position of any analysts or financial professionals.