Volatility has remained at 14.02% from last week and shows volatility of 12.53% over the past month. Market risk is that established with market exchanges and is measured by the beta factor. The beta indicator stands at 3.91. The risk is measured on the beta factor, if beta is greater than 1, the risk is greater and if beta is less than 1, the risk will be low. VOLATILITY is also measured by ATR, an exponential (14-day) moving average of the True Ranges. The ATR value stands at 2.27.
MicroVision, (MVIS) traded 4019982 shares in hands in the most recent trading session and observed an average volume with 27294.92K shares. The stock recognized the active focus on equities in the ongoing trading session. MVIS revealed a change of -4.60% and its listed stock value at $ 21.23 in the recent trade transaction. This company belongs to the USA country and is part of the technology sector. It has a market capitalization of $ 3,127.46 million. Using market capitalization to visualize the size of the company because this is a key factor of several characteristics to develop investor interests, including risk.
A simple moving average is one of the most flexible and most commonly used technical analysis indicators. It is very popular with traders, especially for its simplicity. It works best in a trendy environment. The simple moving average calculated as the average of the last N periods (20 days, 50 days, 200 days) The stock price is positive from its 20 day moving average with 31.44% and trading from the 50 day moving average with 38 , 36%. The stock price is behaving along a positive drift from its 200 day moving average with 146.02%. Any type of moving average can be used to generate buy or sell signals and this process is very simple. The charting software plots the moving average as a line directly in the price chart.
Currently, the stock’s relative strength index (RSI-14) reading is 63.27. The RSI reading varies between 0 and 100. The speed and change of the share price movement is measured by the RSI momentum oscillator. J. Welles Wilder developed the Relative Strength Index (RSI) which is most commonly used as a momentum indicator. Commonly when the RSI falls below 30, the stock is overloaded and the stock is overbought when it exceeds 70. 30 to 70 is considered a normal reading of a stock. The general trend, search for deviations and failure swings can be detected using RSI.
Return on Assets (ROA) shows that the company is profitable compared to its total assets which is -49.30%. The return on investment (ROI) is -127.20%. Return on capital (ROE) is -85.00%.
MVIS showed a weekly performance of 23.96% and an annual performance of 2081.37%. The stock rose to 730.22% in the past six months and held at 57.80% for the month. The stock posted a year-to-date performance of 313.57% and has changed by approximately 58.03% in the past three months. The share price stands at -24.19% from the 52-week high and the share price seen at 2088.26% when looking at the 52-week low.
According to data provided by FINVIZ, the current analyst consensus rating is expected to be 3 on the company’s shares (1.0 Strong Buy, 2.0 Buy, 3.0 Hold, 4.0 Sell, 5.0 Strong Sell).