Simple Moving Average (SMA) Analysis:
Dollar General Corporation (DG) stock price 3.05% positive depiction highlighted by the trends created around 20 day SMA. The established trader’s sentiment toward the stock has created a trading environment which can appropriately be designated as optimistic.
There has been positive change grasped around 50 day SMA. The stock price is showing 2.71% distance above 50 SMA. On the surface, it seems as the higher the 50-day moving average goes, the more bullish the market is (and the lower it goes, the more bearish). In practice, however, the reverse is true. The 50-day moving average is perceived to be the dividing line between a stock that is technically healthy and one that is not. Furthermore, the percentage of stocks above their 50-day moving average helps determine the overall health of the market. Many market traders also use moving averages to determine profitable entry and exit points into specific securities.
Dollar General Corporation (DG) stock price recognized positive trend built on latest movement of 200 SMA with 13.09% during the course of recent market activity. This trend discloses recent direction. The up-to-date direction of 200 SMA is upward. When the price over the last 200 days is moving with increasing trend, look for buy opportunities and when it shows decreasing trend the price is below the last 200 days, look for sell opportunities.
Volume and Price Analysis:
Dollar General Corporation (DG)’s shares price rose 0.82% with the closing value of $97.07 during Monday trading session. With latest up move, stock price presented -8.27% down comparing value from it 52-week high point and showed 47.14% up in value from its 52-week low point. Dollar General Corporation traded 2205597 shares at hands versus to its average volume of 2772.86K shares. Mostly all the indicators used in technical analysis are based on pricing data. Volume, though, is an independent variable and can therefore be extremely useful in confirming price action. There are lots of ways of using volume, such as the construction of oscillators, on balance volume lines, and the design of indicators using both volume and price. It is important to understand there is always a perfect balance between buyers and sellers because the amount of a security sold is always identical to that which is purchased. What moves pieces is the relative enthusiasm of buyers or sellers. If sellers are more motivated than buyers the price will decline and vice versa.
Several salient technical indicators of Dollar General Corporation are now starting to make their way into the trading conversation. Every investor and other stake holder of firm are most concerned with its profitability. So to answer this concerns frequently used tools of financial ratio analysis is profitability ratios, which are used to determine the company’s bottom line and its return to its investors.
Start focusing on ordinary profitability ratio which covers margins; DG has a profit margin of 6.60%. It has gross profit margin ratio of 30.80% for trailing twelve months and operating margin is calculated as 8.60%; these are a better detectors to find consistency or positive/negative trends in a firm’s earnings. So upper calculated figures are representing the firm’s ability to translate sales dollars into profits at various stages of measurement. To walk around the gross margin figure of firm that looks at how well a company controls the cost of its inventory and the manufacturing of its products and subsequently pass on the costs to its consumers.
Following in trace line of profitability ration analysis; second part is covering returns. The returns on investment amplify the findings, the firm’s ROI concludes as 14.60%; it gives idea for personal financial decisions, to compare a firm’s profitability or to compare the efficiency of different investments. The returns on assets of firm also on noticeable level, it has ROA of 12.60%, which signifies how profitable a firm is relative to its total assets.
Taking notice on volatility measures, Dollar General Corporation has noticeable recent volatility credentials; price volatility of stock was 1.66% for a recent week and 2.00% for a month. Volatility is a statistical measure of the dispersion of returns for a given security or market index. Volatility can either be measured by using the standard deviation or variance between returns from that same security or market index. Commonly, the higher the volatility, the riskier the security. Volatility refers to the amount of uncertainty or risk about the size of changes in a security’s value. A higher volatility means that a security’s value can potentially be spread out over a larger range of values. This means that the price of the security can change dramatically over a short time period in either direction. A lower volatility means that a security’s value does not fluctuate dramatically, but changes in value at a steady pace over a period of time.
Average true range (ATR) as a Volatility indicator
The average true range (ATR) is a measure of volatility introduced by Welles Wilder in his book, New Concepts in Technical Trading Systems. The true range indicator is the greatest of the following: current high less the current low, the absolute value of the current high less the previous close and the absolute value of the current low less the previous close. The average true range is a moving average, generally 14 days, of the true ranges. Average true range (ATR) is often used as a volatility indicator. It doesn’t necessarily predict anything, but extremes in activity can indicate a change in a stock’s movement; higher ATRs can mean a stock is trending, and lower ATRs could indicate a consolidation in price. . Its Average True Range (ATR) shows a figure of 2.1.
The relative strength index (RSI)’s recent value positioned at 59.23. The RSI’s interpretations notify overbought above 70 and oversold below 30. The stock has a beta value of 1.02. When beta is less/more than 1, it can be read that the stock is theoretically less/more volatile than the market.
Analysts assigned consensus rating of 2.1. This rating scale created between 1 and 5. Analyst’s suggestion with a score of 3 would be a mark of a Hold views. A rating of 1 or 2 would be indicating a Buy recommendation. A rating of 4 or 5 represents a Sell idea.