Stocks in the Spotlight: Boyd Gaming Corporation (NYSE:BYD) , BGC Partners, Inc. (NASDAQ:BGCP)

On 4/20/2017, Shares of Boyd Gaming Corporation (NYSE:BYD) closed at $22.42 in last trading day. After noting the initial trading entry at $22.50, it reached to a day’s high of $22.66 and moved to a day’s low of $22.33. The recent daily volume was 1.13 million as contrast to it’s an average volume of 1.41 million.

Technical Indicators:

The last close of the Boyd Gaming Corporation stock reflects that it traded up +6.70% from its 50-day moving average of $21.01. The stock traded above +12.21% to its 200-day MA of $19.98. Furthermore, it moved lower -1.06% from its 52-week high of $22.66 and +33.69% up from $16.77, which is 52-week low of the stock.

Boyd Gaming Corporation’s (BYD) moved with shift of 3.37% in the past week. Over the last three months, the shares of the company have changed 15.63% and performed 17.75% over the last six months. The stock currently has Monthly Volatility of 2.15% and Weekly Volatility of 1.88%.

BGC Partners, Inc. (NASDAQ:BGCP) finalized the last transaction at value of $11.18, with a daily change of +1.91% or +0.21 points. The company maintained volume of 829.75 thousand shares. In past trading day, the stock hit the maximum price of $11.18 and touched to minimum value of $10.96. It has a market cap of $ 3.16B.

Technical Indicators:

As of last trade close, the stock is trading  downside -5.65% from its one year high of $11.85 and moved +36.67% upward from $8.18, which is one year low of the stock.

The stock traded above +0.49% from its 50-day moving average of $11.13. Furthermore, the stock moved up +7.96% to its 200-day MA of $ 10.36.

During the last month, BGC Partners, Inc.’s (BGCP) has changed 1.91% and performed 30.18% over the last 6 months. The mean rating score for this stock is at 1.50. This rating scale contains from 1 to 5 with 5 representing a Strong Sell, 1 signifying a Strong Buy and 3 demonstrating a Hold. The Volatility was noted at 2.44% in recent month and observed Weekly Volatility of 1.75%.

 

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