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Tekla Life Sciences Investors (HQL)

17.66   -0.11 (-0.62%) 01-17 16:02
Open: 17.83 Pre. Close: 17.77
High: 17.83 Low: 17.64
Volume: 72,071 Market Cap: 409M
Tekla Life Sciences Investors is a closed-end management investment company. Its objective is long-term capital appreciation through investment in U.S. and foreign companies in the life sciences industry, agriculture and environmental management.

Stock Price Prediction

Update at 5:00pm EST
If tomorrow: Open lower Open higher
High: 17.872 - 17.96 17.96 - 18.031
Low: 17.403 - 17.524 17.524 - 17.623
Close: 17.492 - 17.674 17.674 - 17.821

Technical analysis

as of: 2020-01-17 4:36:56 PM
Stoxline posted a NEUTRAL today, downgraded from higher rating. Current trend continues, but could change at anytime. It is not a good time to buy or sell.
Target: Six months: 20.94     One year: 24.46
Support: Support1: 17.36    Support2: 17.00
Resistance: Resistance1: 17.93    Resistance2: 20.94
Pivot: 17.50
Moving Average: MA(5): 17.67     MA(20): 17.54
MA(100): 16.32     MA(250): 16.55
MACD: MACD(12,26): 0.13     Signal(9): 0.13
Stochastic oscillator: %K(14,3): 79.77     %D(3): 78.92
RSI: RSI(14): 58.28
52-week: High: 18.00  Low: 14.57  Change(%): 1.8
Average Vol(K): 3-Month: 10100  10-Days: 11049

Price, moving averages and Bollinger Bands

Price and moving averages has closed above 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 BULLISH in short-term; and BULLISH in mid-long term.
HQL has closed below upper band by 27.5%. Bollinger Bands are 28.5% narrower than normal. The current width of the bands does not suggest anything about the future direction or movement of prices.

Headline News

Tekla Life Sciences declares $0.37 dividend
No summary available.

The Chemist's Closed-End Fund Report - April 2019: Treading Water
No summary available.

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:  New York Stock Exchange
Sector:  Financial Services
Industry:  Asset Management
Shares Out. (M) 23.18
Shares Float (M)
% Held by Insiders 0.01
% Held by Institutions 14.42
Shares Short (K) 13
Shares Short P. Month (K)

Stock Financials

EPS -3.040
Book Value (p.s.) 16.550
PEG Ratio
Profit Margin
Operating Margin -117.96
Return on Assets (ttm) -0.4
Return on Equity (ttm) -16.4
Qtrly Rev. Growth 32.9
Gross Profit (p.s.) 0.105
Sales Per Share
EBITDA (p.s.)
Qtrly Earnings Growth
Operating Cash Flow (M)
Levered Free Cash Flow (M)

Stock Valuations

P/E -5.81
P/E Growth Ratio -0.01
P/BV 1.07
P/S 176.60

Dividends & Splits

Dividend 1.490
Dividend Yield 0.08
Dividend Pay Date 2018-12-31
Ex-Dividend Date 2019-11-26
Forward Dividend 1.320
Last Split Date
Last Split Ratio -1e+010
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