Alcoa One Year High

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    One Year High Analysis

    One Year High typically refers to the highest price that a given equity instrument has reached in the last 52 weeks. In other words it is the highest price that investors paid or were willing to pay for a given stock, fund, or ETF over the past 52 weeks of trading.
    Alcoa 
    One Year High 
    =  
    Highest Price in the Last 52 Weeks 
     = 
    0

    Distress Driver Correlations

    Cash Beginning of Year Over Time

     Cash Beginning of Year 
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    About One Year High

    Year High value is used as an indicator to give investors an idea of how a given equity may perform over mid or longer term horizons. The One Year High may be utilized as a naive indicator of how the value of stock is resistant or elastic over the long term investment horizon. For example if the price of a fund or ETF is near a new One Year High, a rational investor may interpret it as a turning point and trade the instrument away or buy additional shares.
    Compare to competition

    Alcoa One Year High Assessment

    Margin

    Alcoa Margin Growth Rates
    Operating Margin
    EBITDA Margin
    Gross Margin
    Based on recorded statements Alcoa Inc has One Year High of 33.5. This is much higher than that of the Primary Production sector, and significantly higher than that of Non-ferrous Metals Production And Products industry, The One Year High for all stocks is over 1000% lower than the firm.

    Peer Comparison

    Alcoa One Year High Comparison
      One Year High 
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    Alcoa is rated fourth in one year high category among related companies.

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    Performance Analysis

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    Return On Equity16.20 %
    Return On Asset(0.05) %
    Profit Margin(0.08) %
    Operating Margin4.31 %
    Current Valuation20.47 B
    Shares Outstanding184.2 M
    Shares Owned by Insiders0.13 %
    Shares Owned by Institutions62.50 %
    Number of Shares Shorted5.01 M
    Price to Earning(16.64) times
    Price to Book1.18 times
    Price to Sales0.72 times
    Revenue11.2 B
    Gross Profit2.16 B
    EBITDA1.09 B
    Net Income(863 M)
    Cash and Equivalents557 M
    Cash per Share1.32 times
    Total Debt225 M
    Debt to Equity0.16 times
    Current Ratio1.64 times
    Book Value Per Share30.91 times
    Cash Flow from Operations875 M
    Short Ratio0.95 times
    Earnings Per Share(2.19) times
    Price to Earnings To Growth(0.23) times
    Number of Employees16 K
    Beta0.69
    Market Capitalization6.71 B
    Total Asset16.41 B
    Retained Earnings8.83 B
    Working Capital162 M
    Current Asset2.57 B
    Current Liabilities2.4 B
    Z Score17.4