MGIC Investment Corporation (MTG) Stock in List of Hot Mover Must-Know Volatility Figures


MGIC Investment Corporation (MTG) try to takes its position in context of active momentum, while shares price added 0.76% with the closing value of $10.55 during Tuesday trading session. MGIC Investment Corporation traded 2636960 shares at hands when compared with its average volume of 4803.2K shares. Volume is usually displayed in charts as a series of histograms underneath the price. This is a useful form of presentation since it reflects expansions and contractions in activity. There are several key principles used in interpreting volume. It is important to understand that about changes in the level of volume it is referring to volume changes relative to the recent past. Here you can compare recent volume with average volume three month ago.

Volume should go with the trend: When prices are rising it is normal for volume to expand, and when prices are declining volume typically contracts. Volume leads price during rallies: It is normal for a peak in prices to be preceded by a peak in volume.

Along recent gain drift, stock price presented -34.92% downward comparing value from it 52-week high point and showed 5.82% higher in value from its 52-week low point. Return on assets (ROA) results to 7.30%. Return on investment (ROI) reached to 13.70%.

MGIC Investment Corporation has noticeable recent volatility credentials; price volatility of stock was 2.41% for a week and 3.69% for a month. Volatility measures the risk of a security. It is used in option pricing formula to gauge the fluctuations in the returns of the underlying assets. Volatility indicates the pricing behavior of the security and helps estimate the fluctuations that may happen in a short period of time. If the prices of a security fluctuate rapidly in a short time span, it is termed to have high volatility. If the prices of a security fluctuate slowly in a longer time span, it is termed to have low volatility.

Average true range (ATR) as a Volatility Pointer

A stock experiencing a high level of volatility has a higher ATR, and a low volatility stock has a lower ATR. The ATR may be used by market technicians to enter and exit trades, and it is a useful tool to add to a trading system. It was created to allow traders to more accurately measure the daily volatility of an asset by using simple calculations. The indicator does not indicate the price direction, rather it is used primarily to measure volatility caused by gaps and limit up or down moves. The ATR is fairly simple to calculate and only needs historical price data. ATR is a durable meat-and-potatoes type of indicator that can serve you well in your investing ventures. Range and volatility are fundamental concepts in technical analysis and true range comes up frequently, not only as a concept but also as the underlying calculation, in more complex indicators. ATR reflects the trading range, and knowing this can allow you to more accurately buy and sell into trends as well as set stops. Its Average True Range (ATR) shows a figure of 0.42.

Interpretation of Popular Simple Moving Averages:

The 1.18% rising 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 declining change grasped around 50 day SMA. The stock price is showing -10.06% distance below 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.

MGIC Investment Corporation (MTG) stock price recognized declining trend built on latest movement of 200 SMA with -19.17% during the course of recent market activity. This trend discloses recent direction. The up-to-date direction of 200 SMA is downward. 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.

Keep Observations on Other Important Indicators:

The relative strength index (RSI)’s recent value positioned at 46.01. The RSI’s interpretations notify overbought above 70 and oversold below 30. The stock has a beta value of 1.95. When beta is less/more than 1, it can be read that the stock is theoretically less/more volatile than the market.

Detecting profitability, the Company has a profit margin of 38.20%, and an operating of 78.90%. The stock price changed -0.94% in the past week. Shares of the company have performed -25.02% over the last quarter and moved -2.41% over the last twelve months.

Analysts assigned consensus rating of 2.2. 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.

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Barrett gives us an insight into the latest Energy and basic material news hitting the business and financial markets in Wall Street. He has been an independent financial adviser for over 10 years in the market and in recent years turned her experience in finance and passion for journalism into a full time role. He also covers news about the Energy sector. Barrett is an accomplished journalist who has a passion for travel. His desire to see the world has taken him to countries around the world and given him the opportunity to report for some of the top news organizations. He holds a PhD in the field of epidemiology a master’s degree in public health. His undergraduate training is in policy, economics and the sciences. Email:


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