Do You Own SuperCom Ltd. (NASDAQ:SPCB) Shares?

At recent session, the prices were hovering between $3.35 and $4.29. SuperCom Ltd. (SPCB) maintained activity of 0.26 million shares that trade hands on average basis.

What Historical Figures Say About SuperCom Ltd. SuperCom Ltd., formerly known as Vuance Ltd., is headquartered in Qadima, Israel. The Firm has ATR of 0.19 that is explaining range of a day's trading is high-low; ATR expands it to yesterday's closing price.

At the end of 09/30/2017 reporting period, 5 institutional holders increased their position in SuperCom Ltd. (NASDAQ:SPCB) by some 54,595 shares, 6 decreased positions by 135,225 and 5 held positions by 2,849,108. Over the past month the firm's stock is 6.29%, 6.90% for the last quarter, 33.33% for the past six-months and 38.29% for the previous year.

For the current quarter, 1 analysts are projecting a mean EPS of $0.08/share. The market capitalization of the company is at $55.32 Million. According to their predictions high & low revenue estimates are 9.5 Million and 9.5 Million respectively. Through this figure traders can analyze that SPCB show whether or not a stock now most active and standing in buying side or sell side. The day's total volume of 1104869 this morning is in contrast from the three-month daily average of 165.37K. The stock has relative volume of 547.69. The co's performance for 6 months was moved up of 1.87%, 1-year performance stands at -17.58% and year to date showing plunged performance of -19.76%. The 100-Day trend also shows a BEARISH trend as well. Outstanding shares refer to a company's stock presently held by all its shareholders, counting share blocks held by institutional shareholders and restricted shares owned by the company's officers and insiders. The stock has a beta value of 0.88.

Not many analysts have released their opinion on SuperCom Ltd. (NASDAQ:SPCB), with 1 analysts believing it is a strong buy. To cut down amount of noise on price chart, shares of firm has 20 days moving average price of -13.87% from last close price of 2.72 and act as support or resistance of price limit. The Beta for the company stands at 0.88 and its Average True Range (ATR) shows a value of 0.29. The company net profit margin is 2.60% and gross profit margin is 25.60%. The return on invested capital is at -35.7%, which is good, compared to its peers.

The company's stock is now moving with a +ve distance from the 200 day SMA of approximately 20.24%, and has a solid year to date (YTD) performance of 9.73% which means that the stock is constantly adding to its value from the previous fiscal year end price.

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