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Dow Chemical One Year Low

 
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One Year Low breakdown for Dow Chemical

One Year Low is the lowest price that a given equity instrument has reached in the last 52 weeks. In other words it is the lowest price that investors were willing to pay for the asset over the past 52 weeks of trading. Year Low can be used as a naive indicator of how a given equity may perform over longer term investment horizon.

Dow Chemical

One Year Low

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Lowest Price in the Last 52 Weeks

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27.45
Some investors believe that One Year Low is a good indicator of how the value of a stock is elastic during the trading year. It offers a good prospective on equity performance compared to trading within industry, sector, category or even the entire stock market. For example, if a stock is at its One Year Low with local stock market index is not at its One Year Low, that stock is said to be under-performing the market. On the other hand if the price of a stock is reached a new One Year Low, an investor may interpret it as a turning point and trade the instrument away or go short.
Compare Dow Chemical to competition

Dow Chemical One Year Low Assessment

Based on recorded statements The Dow Chemical Company has One Year Low of 27.45. This is 16.82% lower than that of Basic Materials sector, and 63.9% lower than that of Chemicals - Major Diversified industry, The One Year Low for all stocks is 31.21% lower than the firm.

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One Year Low Comparison

Dow Chemical is rated below average in one year low category among related companies.
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DOW United States NYSE
The Dow Chemical Company
Benchmark S&P 500
Currency: USD - US Dollar
Traded on New York Stock Exchange
    
    

Other Dow Chemical Fundamentals

Return On Equity5.35 %
Return On Asset3.81 %
Profit Margin2.34 %
Operating Margin7.50 %
Current Valuation55.89 B
Shares Outstanding1.18 B
Shares Owned by Insiders0.15 %
Shares Owned by Institutions70.40 %
Number of Shares Shorted20.09 M
Price to Earning41.77 times
Price to Book2.30 times
Price to Sales0.69 times
Revenue56.45 B
Gross Profit8.99 B
EBITDA6.93 B
Net Income967 M
Cash and Equivalents3.35 B
Cash per Share2.84 times
Total Debt20.09 B
Debt to Equity0.91 times
Current Ratio1.95 times
Book Value Per Share14.39 times
Cash Flow from Operations4.08 B
Short Ratio2.50 times
One Year High34.83
One Year Low27.45
Earnings Per Share0.81 times
Price to Earnings To Growth2.02 times
Number of Employees54 K
Beta1.89
Market Capitalization40.11 B
Total Asset69.6 B
Retained Earnings18.5 B
Working Capital12.19 B
Current Asset23.68 B
Current Liabilities11.49 B
Z Score0.6
Probability Of Bankruptcy47.00 %


 
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