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Arch Capital Group Ltd. (ACGLP)

25.25   -0.2 (-0.79%) 02-25 16:00
Open: 25.43 Pre. Close: 25.45
High: 25.55 Low: 25.13
Volume: 60,527 Market Cap: 15323M
Arch Capital Group Ltd provides insurance, reinsurance and mortgage. It provides property, casualty and mortgage insurance and reinsurance lines, and focus on writing specialty lines of insurance and reinsurance.

Stock Price Prediction

Update at 5:00pm EST
If tomorrow: Open lower Open higher
High: 25.717 - 25.964 25.964 - 26.113
Low: 24.599 - 24.926 24.926 - 25.123
Close: 24.878 - 25.406 25.406 - 25.725

Technical analysis

as of: 2020-02-25 4:26:53 PM
Stoxline posted a SELL today, same as yesterday. Downward movement continues.
Target: Six months: 30.07     One year: 30.52
Support: Support1: 25.13    Support2: 20.91
Resistance: Resistance1: 25.75    Resistance2: 26.13
Pivot: 25.82
Moving Average: MA(5): 25.56     MA(20): 25.81
MA(100): 25.50     MA(250): 24.64
MACD: MACD(12,26): -0.02     Signal(9): 0.06
Stochastic oscillator: %K(14,3): 11.59     %D(3): 19.15
RSI: RSI(14): 29.77
52-week: High: 26.13  Low: 22.61  Change(%): 10.2
Average Vol(K): 3-Month: 4240  10-Days: 3404

Price, moving averages and Bollinger Bands

Price and moving averages has closed below its Short term moving average. Short term moving average is currently above mid-term; AND above long term moving averages. From the relationship between price and moving averages; we can see that: This stock is NEUTRAL in short-term; and BULLISH in mid-long term.
ACGLP has closed below the lower band by 13.9%. If price is in a downtrend band; this downward trend in price might continue. However a short term pullback inside the band is likely. Bollinger Bands are 99.7% wider than normal. The large width of the bands suggest high volatility as compared to ACGLP's normal range. The bands have been in this wide range for 1 bars. This is a sign that the current trend might continue.

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Financial Analysis

Growth measures the growth of both a company's revenue and net income. it tells investors how fast a company is growing.
Profitability measures a company’s ability to generate earnings as compared to its expenses and other relevant costs.
Solvency measures a company's ability to meet its long-term debts. Acceptable solvency ratios will vary from industry to industry.
Efficiency measures the strength of a company's return on invested capital. It can identify business that are better managed or not.
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Stock Basics & Statistics

Exchange:  Nasdaq Global Select
Sector:  Financial Services
Industry:  Insurance - Diversified
Shares Out. (M) 402.94
Shares Float (M) 391.78
% Held by Insiders
% Held by Institutions 26.29
Shares Short (K)
Shares Short P. Month (K)

Stock Financials

EPS 3.870
Book Value (p.s.) 26.530
PEG Ratio
Profit Margin 23.62
Operating Margin 28.94
Return on Assets (ttm) 3.6
Return on Equity (ttm) 14.9
Qtrly Rev. Growth 29.0
Gross Profit (p.s.) 7.321
Sales Per Share
EBITDA (p.s.) 5.187
Qtrly Earnings Growth 139.10
Operating Cash Flow (M) 2050.00
Levered Free Cash Flow (M) -3080.00

Stock Valuations

P/E 6.52
P/E Growth Ratio -0.01
P/BV 0.95
P/S 1.46
P/CF 4.96

Dividends & Splits

Dividend Yield
Dividend Pay Date 2019-12-30
Ex-Dividend Date 2019-12-11
Forward Dividend 1.310
Last Split Date
Last Split Ratio -1e+010
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