Ambac (AMBC) Announces Quarterly Earnings Results

Paola Ditto
Mag 17, 2018

Ambac Financial Grp (NASDAQ:AMBC) has an ABR of 3 which is the combined stock view of 1 analysts poll results. Ambac Financial Grp (NASDAQ:AMBC) has a market cap of $831.42 Million and the number of outstanding shares have been calculated 44.58 Million.

According to the Recommendation Trends of the stock polled by Zacks Investment Research for this month, the company has a consensus recommendation of 3 out of the scale from 1 to 5 where 1 stands for Strong Buy and 5 means Strong Sell. The Stock shows P/E value of 0 and Forward P/E of 52.21. It helps you quickly get a picture of where Wall Street stands on a stock without reading huge research reports.

However out of 1 analysts 1 suggest Ambac Financial Grp (NASDAQ:AMBC) a Strong Buy, 1 suggested Buy, 1 Hold and 0 Sell, while 0 analysts recommend the stock a Strong Sell.

Ambac Financial Grp (NASDAQ:AMBC) has grabbed attention from the analysts, when it saw a value increase of 0.21% or 0.04 points in the last trading session to close at $18.65. The stock is now has its Return on Assets (ROA) value of -28.6 Percent. The business had revenue of $174.10 million for the quarter, compared to analysts' expectations of $106.34 million. Its 52-week high and low range is between $19.9 and $5.5. A year ago the company's sales were $126230 while its sales growth yearly estimates for the current quarter are -15.7%.

A number of equities analysts recently weighed in on AMBC shares. Brokerage firms on the street have price targets on the name ranging from $16 to $30 based on 3 opinions.

Ambac Financial Grp (NASDAQ:AMBC) as of current trade, has shown weekly performance of 10.42% which was maintained at 5.01% in one month period. During the past three months the stock gain 26.27%, bringing six months performance to 39.7%.

While having a peek at profitability ratios Ambac Financial Grp (NASDAQ:AMBC) has trailing twelve month gross margin at 0%, its trailing twelve month operating margin stands at 38.9% whereas its trailing twelve month net profit margin spots at 14.9%. During the same period previous year, the firm earned ($2.01) earnings per share. The low EPS estimate is $-0.78, while the high EPS estimate is $-0.27. A low P/E can indicate either that a company may now be undervalued or that the company is doing exceptionally well relative to its past trends. Total debt to equity ratio of the company for most recent quarter is 8.25 whereas long term debt to equity ratio for most recent quarter is 8.25.

The company's quick ratio for most recent quarter is 0 along with current ratio for most recent quarter of 0. Its price to free cash flow for trailing twelve months is 21.6.

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