Capri Holdings Limited (NYSE:CPRI) stock price target cut to $47 from $64 at UBS

Capri stock price target cut by UBS analysts to $47 from $64.

The insider ownership percentage is the key indicator, can be used by investors, to measure the outlook of senior management has on their company. Insider ownership for the CPRI is 0.80%. Institutional ownership refers to the ownership stake in a company that is held by large financial organizations, pension funds or endowments. The Institutional ownership for the CPRI is 92.90%.



Institutional transactions is the amount of a Capri Holdings Limited (NYSE:CPRI)’s available stock owned by mutual or pension funds, insurance companies, investment firms, private foundations, endowments or other large entities that actually manage the funds on the behalf of others, so its an interesting element for the traders to note it, and the Institutional ownership for the CPRI is 1.16%.

A Consumer Goods sector firm, Capri Holdings Limited (NYSE:CPRI) stock edged up 3.07% on Wednesday and when day-trade ended the stock finally concluded at $32.56 and number of shares that changed hands during the day are 5.05 Million. The number of shares CPRI stock currently held by all its shareholders are 154.49 and floated shares, the number of shares are available for trading in an open market on last trading day are 142.99. The average volume of shares for 3 months is 2793.88 and CPRI stock value has moved between $31.01 – 75.72 in last one year.

The Capri Holdings Limited (NYSE:CPRI)’s latest earnings date is 8/7/2019. The Gross margin is the difference between the revenue and the cost of goods sold (COGS), divided by revenue. In other words, Gross Margin is a percentage value, while Gross Profit is a monetary value. The valuable gross margin for Capri Holdings Limited (NYSE:CPRI) is 60.70% and the profit margin is 10.40% and the stock has gained -14.14% in 2019 to date.

Capri Holdings Limited (NYSE:CPRI)’s monthly stock performance is -5.07%, the quarterly performance is -23.01%, the half year performance is calculated as -32.82%. The yearly performance of CPRI is -49.61%.

The higher the volatility, the riskier the security. For example, when the stock market rises and falls more than one percent over a sustained period of time, it is called a “volatile” market, if the stock price stays relatively stable, the security has low volatility. The Capri Holdings Limited (NYSE:CPRI) weekly volatility is measured as 4.53% and monthly volatility measured as 3.18%.

Return on assets (ROA) is a main indicator of how profitable a company is relative to its total assets. CPRI return on assets is 10.50%, the return on equity (ROE) of the Capri Holdings Limited (NYSE:CPRI) is 24.40%, while the most important return on investment is calculates as a percentage and is typically used for personal financial decisions, and CPRI return on investment is 13.10%.

The price to earnings ratio is 9.08, price to sales ratio is 0.96, and price to book ratio is 2.02, price to cash per share ration is 29.25, price to free cash flow is 9.81.

Analysts mean target price for Capri Holdings Limited (NYSE:CPRI) is $52.85 while analysts mean recommendation is 2.50. The current share price indicates that stock is -57.14% away from its one year high and is moving 4.76% ahead of its 52-week low. CPRI’s distance from 20 day simple moving average is -8.10% and distance from 50-Day simple moving average is -6.48%.

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