FinVolution Group (FINV) is priced at $3.35 after the most recent trading session. At the very opening of the session, the stock price was $2.95 and reached a high price of $3.38, prior to closing the session it reached the value of $2.94. The stock touched a low price of $2.93.
Recently in News on January 11, 2021, FinVolution Group Announces Continued Purchase of Shares by Chairman. FinVolution Group (“FinVolution”, or the “Company”) (NYSE: FINV), a leading fintech platform in China, today announced that Mr. Shaofeng Gu, Chairman and Chief Innovation Officer of the Company, has informed the Company that he purchased in his personal capacity approximately 0.53 million of the Company’s American Depositary Shares (“ADSs”) in the fourth quarter of 2020. During 2020, Mr. Gu purchased a total of 3.41 million ADSs. All the ADSs purchased made by Mr. Gu were independent of the Company’s share repurchase programs and were made during an open window period in full compliance with all the Company’s and legal guidelines. You can read further details here
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FinVolution Group had a pretty favorable run when it comes to the market performance. The 1-year high price for the company’s stock is recorded $3.38 on 01/13/21, with the lowest value was $2.51 for the same time period, recorded on 01/04/21.
FinVolution Group (FINV) full year performance was 26.89%
Price records that include history of low and high prices in the period of 52 weeks can tell a lot about the stock’s existing status and the future performance. Presently, FinVolution Group shares are logging 11.67% during the 52-week period from high price, and 174.59% higher than the lowest price point for the same timeframe. The stock’s price range for the 52-week period managed to maintain the performance between $1.22 and $3.00.
The company’s shares, operating in the sector of Financial managed to top a trading volume set approximately around 1349576 for the day, which was evidently higher, when compared to the average daily volumes of the shares.
When it comes to the year-to-date metrics, the FinVolution Group (FINV) recorded performance in the market was 25.47%, having the revenues showcasing 69.19% on a quarterly basis in comparison with the same period year before. At the time of this writing, the total market value of the company is set at 988.32M, as it employees total of 3883 workers.
Market experts do have their say about FinVolution Group (FINV)
During the last month, 3 analysts gave the FinVolution Group a BUY rating, 0 of the polled analysts branded the stock as an OVERWEIGHT, 2 analysts were recommending to HOLD this stock, 0 of them gave the stock UNDERWEIGHT rating, and 0 of the polled analysts provided SELL rating.
According to the data provided on Barchart.com, the moving average of the company in the 100-day period was set at 2.11, with a change in the price was noted +0.70. In a similar fashion, FinVolution Group posted a movement of +26.42% for the period of last 100 days, recording 764,938 in trading volumes.
Total Debt to Equity Ratio (D/E) can also provide valuable insight into the company’s financial health and market status. The debt to equity ratio can be calculated by dividing the present total liabilities of a company by shareholders’ equity. Debt to Equity thus makes a valuable metrics that describes the debt, company is using in order to support assets, correlating with the value of shareholders’ equity The total Debt to Equity ratio for FINV is recording 0.02 at the time of this writing. In addition, long term Debt to Equity ratio is set at 0.00.
Technical breakdown of FinVolution Group (FINV)
Raw Stochastic average of FinVolution Group in the period of last 50 days is set at 97.97%. The result represents improvement in oppose to Raw Stochastic average for the period of the last 20 days, recording 97.66%. In the last 20 days, the company’s Stochastic %K was 97.14% and its Stochastic %D was recorded 97.62%.
Bearing in mind the latest performance of FinVolution Group, several moving trends are noted. Year-to-date Price performance of the company’s stock appears to be pessimistic, given the fact the metric is recording 25.47%. Additionally, trading for the stock in the period of the last six months notably improved by 68.34%, alongside a boost of 26.89% for the period of the last 12 months. The shares increased approximately by 25.00% in the 7-day charts and went down by 59.52% in the period of the last 30 days. Common stock shares were driven by 69.19% during last recorded quarter.