Simple Moving Averages
Before looking at the financial values or the trading statistics of BGC Partners, Inc. (BGCP), we will start our analysis with the SMA or Simple Moving Average values.
The SMA or Simple Moving Averages are commonly available for 20 Day, 50 Day and 200 Day Simple Moving Averages. For our stock under consideration here, BGC Partners, Inc. (BGCP) has distance from 20 Day SMA is 3.2% while its distance from 50 day SMA is 7.22%. BGCP’s distance from 200 Day SMA is 19.05%.
While looking at the SMA values of BGC Partners, Inc. (BGCP), the 200 simple moving average (SMA) is considered a key indicator by traders and market analysts for determining the overall long-term trend. The 200 SMA is considered so critically important a trend indicator that the event of the 50-day SMA crossing to the downside of the 200-day SMA is referred to as a death cross, signaling a serious bear market in a stock, index or other investment.
Last Trading Day Performance
On the last trading day, BGC Partners, Inc. (BGCP) gained 0.72% closing at the price of $12.64 while the previous close of BGCP was $12.55.
BGC Partners, Inc. (BGCP) traded with the volume of 2.98 Million shares while its average 3 months volume is at 1790 shares.
BGC Partners, Inc. (BGCP) has a market capitalization of 3.58 Billion while its Major Index membership is at 0.
Shares of BGC Partners, Inc. (BGCP) touched the day high at $12.69 while its day Low was at $12.54. In contrast, BGCP’s 52 week high hovers at $12.69 with its current distance from 52 week high value is -0.39%. BGC Partners, Inc. (BGCP) 52 week low value is at $8.18 and its current distance from 52 week low value is 54.52%.
Volatility of the shares is also to be considered while making the investment decisions. As volatility place a very vital role in identifying the risk involved in the particular case. In our current pick, BGC Partners, Inc. (BGCP) has weekly volatility of 1.76%% while its monthly volatility value is at 1.73%%.
Another indicator of risk for a particular security is “Beta”. A beta approximates the overall volatility of a security’s returns against the returns of a relevant benchmark (usually the S&P 500 is used). Currently BGC Partners, Inc. (BGCP) has beta value of 1.27. This Beta value of BGC Partners, Inc. (BGCP) shows that it has historically moved 127% for every 100% move in the benchmark.
For making investment decisions, financial ratios play a vital role. There is a large variety of financial ratios that can be considered while making an investment decision but here in the case of BGC Partners, Inc. (BGCP), we will discuss a few.
Annual Dividend Yield of BGC Partners, Inc. (BGCP) stands at 5.7%.
Price to Earning P/E ratio and Forward P/E stand at 33.62 and 11.24 respectively.
BGC Partners, Inc.’s Quick Ratio shows the value of 0.
Debt to Equity ratio stands at 1.25 while Long Term Debt To Equity Ratio flashes the value of 1.14.