4 High-Gross Margin Stocks: Viggle (VGGL), Antero
Post# of 22756
By Maxwell Relaford
• December 23, 2014
AMAntero Midstream PartnersDGLYDigital AllyITCITC HoldingsNASDAQGLYNASDAQ:VGGLNYSE:AMNYSE:ITCVGGLViggle
The main object of a business concern is to earn profit. In general terms, efficiency in business is measured by profitability. A low profitability may arise due to lack of control over the expenses. Bankers financial institutions and other creditors look at the profitability ratios as an indicator whether or not the firm earns substantially more than it pays interest for the use of borrowed funds and whether the ultimate repayment of their debt appears reasonably certain. Owners are also interested to know the profitability as it indicates the return which they can get on their investments.
Viggle Inc (NASDAQ:VGGL) has return on investment ratio of -120.30%. The company has $47.52 million in market worth. Gross Profit margin is maintained at 95.50%. Earnings per share of the company were -$16.17 while 16.11 million shares were outstanding. The company earned -$61.40 million in prior twelve months.
Antero Midstream Partners LP (NYSE:AM) has 0.90% institutional ownership while its EPS ratio was -0.17. The company has 151.88 million shares outstanding while market capitalization of the company was $3.54 billion. Price to book ratio was 6.54. Net profit margin of the company was -62.40% while gross profit margin was 90.50%. Stock volatility for the month was booked as 5.06% while for the week was recorded as 5.82%.
Digital Ally, Inc. (NASDAQGLY) offered EPS of -$3.87. The stock has market capitalization of $45.81 million. The company has 6.19 prices to book (P/ ratio while P/S ratio was 2.96. Shares of the company were below versus 20 days simple moving average with -3.36% while above its SMA 50 with +9.30%. Net Profit margin was -63.90% while gross profit margin was 54.20%.
ITC Holdings Corp. (NYSE:ITC) has the market capitalization of $6.25 billion. The stock has P/B ratio of 3.83 while EPS was $1.74. Institutional ownership of the company was 93.00% while 155.73 million shares were outstanding. Net profit margin of the Company was 32.50% while its gross profit margin was 87.30%. Share of the company moved above its SMA 50 with +4.83%. ROE ratio was 21.10% while ROI was 7.20%.
NASDAQ DIP and RIP
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