Pandora Media, Inc. (NYSE:P) runs in leading trade, it are surging 1.23% to traded at $13.16. P attains analyst recommendation of 2.40 on scale of 1-5 with week’s performance of -0.08%. To find out the technical position of P, it holds price to book ratio of 5.04 that unearth high-growth companies selling at low-growth prices, but it requires appropriate measurement approach. P is presenting price to cash flow of 11.68.
Billboard, the leading global destination for charts, news, business, lifestyle and innovations in music, and Pandora (NYSE:P), the go-to music source for fans and artists, recently reported an exclusive contract that will add influential Pandora streaming data to the Billboard Hot 100, the world’s preeminent songs chart. The Hot 100 ranks the week’s most popular songs across all genres, determined by a formula blending track sales, radio airplay and streaming, as measured by Nielsen Music.
EPS estimates indicating constrictive facts, the current year from sell-side analysts, Price to current year EPS stands at -435.80%, and looking further price to next year’s EPS is 29.50%. While take a short look on price to sales ratio, that was 2.27.
Abercrombie & Fitch Co. (NYSE:ANF) kept active in under and overvalue discussion, ANF holds price to book ratio of 0.66 that presents much better indicator to find market price of a share price over its book value of equity for investment valuation. In addition, the firm has price to earnings ratio of 70.00, which is authentic method to judge but not universal for all situation.
Fundament/ News Factor in Focus
Taking look on ratio analysis, ANF has forward price to earnings ratio of 59.64, compare to its price to earnings ratio of 70.00. Adding one more ration to find detail valuation of security, price to earnings growth ration that stands at 3.96. The co is presenting price to cash flow as 1.68 and while calculating price to free cash flow it concluded at 10.41, the low single digit may indicate stock is undervalued and vice versa. On other hand, keeping in mind stable cash flows but few growth prospects make traders to value lower.
The firm has price volatility of 4.80% for a week and 3.80% for a month. Its beta stands at 1.23 times. Narrow down four to firm performance, its weekly performance was 2.90% and monthly performance was -8.81%.