Stock Symbol:   

Stoxline Mobile
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LGL Group (LGL)

10.1032   -0.417 (-3.96%) 01-19 09:30
Open: 10.52 Pre. Close: 10.52
High: 10.635 Low: 10.05
Volume: 10,567 Market Cap: 54M
The LGL Group, Inc., together with its subsidiaries, engages in the design, manufacture, and marketing of frequency and spectrum control products in the United States and internationally. The company operates in two segments, Electronic Components and Electronic Instruments. The Electronic Components segment offers clock oscillators, VCXO, TCXO OCXO, and DOCXO devices; and radio frequency, microwave and millimeter wave filters, diplexers, and solid-state power amplifiers. It also provides filter devices, which includes crystal, ceramic, LC, tubular, combline, cavity, interdigital, and metal insert waveguide, as well as digital, analog and mechanical tunable filters, switched filter arrays, and RF subsystems. This segment's products are used in infrastructure equipment for the telecommunications and network equipment industries; and electronic systems for applications in defense, aerospace, earth-orbiting satellites, down-hole drilling, medical devices, instrumentation, industrial devices, and global positioning systems. The Electronic Instruments segment designs and manufactures frequency and time reference standards, distribution amplifiers, redundancy auto switches, and NTP servers for timing and synchronization in various applications. Its products are used in computer networking, satellite ground stations, electric utilities, broadcasting, and telecommunication systems. The company was formerly known as Lynch Corporation and changed its name to The LGL Group, Inc. The LGL Group, Inc. was founded in 1917 and is based in Orlando, Florida.

Stock Price Prediction

Update at 5:00pm EST
If tomorrow: Open lower Open higher
High: 10.665 - 10.735 10.735 - 10.799
Low: 9.88 - 9.968 9.968 - 10.047
Close: 9.967 - 10.103 10.103 - 10.226

Technical analysis

as of: 2022-01-19 9:22:26 AM
Stoxline posted a SELL today, same as yesterday. Downward movement continues.
Target: Six months: 13.42     One year: 14.53
Support: Support1: 9.95    Support2: 8.28
Resistance: Resistance1: 11.49    Resistance2: 12.44
Pivot: 10.91
Moving Average: MA(5): 10.42     MA(20): 10.98
MA(100): 11.98     MA(250): 11.40
MACD: MACD(12,26): -0.27     Signal(9): -0.18
Stochastic oscillator: %K(14,3): 1.96     %D(3): 2.61
RSI: RSI(14): 32.37
52-week: High: 14.50  Low: 9.90  Change(%): -8.1
Average Vol(K): 3-Month: 860  10-Days: 850

Price, moving averages and Bollinger Bands

Price and moving averages has closed below its Short term moving average. Short term moving average is currently below mid-term; AND below long term moving averages. From the relationship between price and moving averages; we can see that: This stock is BEARISH in short-term; and BEARISH in mid-long term.
LGL has closed above bottom band by 5.3%. Bollinger Bands are 1.8% narrower than normal. The current width of the bands does not suggest anything about the future direction or movement of prices.

Headline News

Tue, 18 Jan 2022
Looking Glass Labs' Live-Action NFT Series "GenZeroes" Featured in Deadline Hollywood - Yahoo Finance

Mon, 10 Jan 2022
Fortive Corp. stock underperforms Monday when compared to competitors despite daily gains - MarketWatch

Fri, 07 Jan 2022
Fortive Corp. stock outperforms competitors despite losses on the day - MarketWatch

Thu, 23 Dec 2021
Fortive Corp. stock outperforms market on strong trading day - MarketWatch

Fri, 10 Dec 2021
LGL Group Inc (LGL) Is the Top Stock in the Electronic Components Industry? - InvestorsObserver

Mon, 15 Nov 2021
LGL Group, Inc. The (LGL) Reports Break-Even Earnings for Q3 - Entrepreneur

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.
Price to Book Value: Outperform Discounted cash flow: Outperform
Return on Assets: Outperform Price to Earnings: Outperform
Return on Equity: Outperform Debt to Equity: Neutral
Free Technical Analysis Charts

Stock Basics & Statistics

Exchange:  AMEX
Sector:  Technology
Industry:  Electronic Components
Shares Out. (M) 5
Shares Float (M) 3
% Held by Insiders 3.53
% Held by Institutions 23.64
Shares Short (K) 11
Shares Short P. Month (K)

Stock Financials

EPS 1.160
EPS Est This Year
EPS Est Next Year
Book Value (p.s.) 7.420
Profit Margin 17.92
Operating Margin 9.04
Return on Assets (ttm) 4.9
Return on Equity (ttm) 17.5
Qtrly Rev. Growth -9.9
Gross Profit (p.s.) 2.403
Sales Per Share 6.353
EBITDA (p.s.) 0.674
Qtrly Earnings Growth -72.80
Operating Cash Flow (M) 4
Levered Free Cash Flow (M) 2

Stock Valuations

PE Ratio 8.71
PEG Ratio
Price to Book value 1.36
Price to Sales 1.59
Price to Cash Flow 13.85

Stock Dividends

Forward Dividend
Dividend Yield
Dividend Pay Date Invalid DateTime.
Ex-Dividend Date 1989-01-02
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