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Understanding the Risks and Rewards of Investing in Springview Holdings Ltd Inc. (SPHL) Based on Price Performance

Investors’ outlook regarding the stock price performance over the year has been a mixed bag, with a range of optimism to pessimism depending on their perspective. Year to date metric has recorded a loss of -57.30%. Over the last 30 days, the price of SPHL has fallen by 12.55%. And in the last five days, it has surged by 42.56%.

52-week price history of SPHL Stock

A stock’s 52-week price history, including the low and high prices, can offer valuable insights into its current standing and future prospects. Springview Holdings Ltd’s current trading price is -61.15% away from its 52-week high, while its distance from the 52-week low is 95.77%. The stock’s price range over this timeframe has been between $1.42 and $7.16. The shares of the Consumer Cyclical sector company recorded a trading volume of approximately 2.38 million for the day, which was comparatively higher than the average daily volume of 0.28 million over the last three months.

The Connection Between Financial Performance and Market Capitalization

Springview Holdings Ltd (SPHL) has experienced a quarterly decline of -39.57% in its revenues when compared to the same period in the previous year. Presently, the company has a total market capitalization of 59.77M and boasts a workforce of 72 employees.

How Moving Averages and Trading Volume Data Work Together

SPHL’s Debt-to-Equity Ratio: A Comprehensive Review

A key metric for assessing a company’s financial well-being and market status is the debt-to-equity (D/E) ratio. This ratio is derived by dividing a company’s total liabilities by its shareholders’ equity, and it demonstrates the level of debt a company uses to support its assets relative to shareholder equity. At the time of writing, the total D/E ratio for SPHL stands at 1.08. Similarly, the long-term debt-to-equity ratio is also 0.40.

SPHL Stock Stochastic Average

The raw stochastic average for Springview Holdings Ltd over the last 50 days is presently at 23.71%. This reflects a drop from the raw stochastic average of the previous 20 days, which was noted at 88.89%. Further, the company’s Stochastic %K and %D values for the last 20 days were 79.19% and 73.19%, respectively.

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