Macys Assets Non Current Trend

M -- USA Stock  

USD 31.69  0.20  0.63%

This module enables investors to look at Macys various fundamental indicators over time in order to gain insight into the company future performance. Macroaxis historical fundamental analysis tools allow evaluation of not only typical financial statement drivers such as Direct Expenses of 16.2 B or Consolidated Income of 88.2 M, but also many exotic indicators such as Interest Coverage of 4.0509 or Long Term Debt to Equity of 1.3427. This module is a perfect complement to use when analyzing Macys Valuation or Volatility. It can also complement various Macys Technical models. Please see also analysis of Macys Correlation with competitors.
Showing smoothed Assets Non Current of Macys with missing and latest data points interpolated. Amount of non-current assets; for companies that operate a classified balance sheet. Calculated as the different between Total Assets Total Assets and Current Assets Current Assets
Assets Non Current10 Years Trend
Decreasing
Stable
 Assets Non Current 
      Timeline 

Macys Regression Statistics

Arithmetic Mean 8,293,916,667
Geometric Mean 8,227,357,745
Coefficient Of Variation 14.64
Mean Deviation 761,527,778
Median 7,837,000,000
Standard Deviation 1,214,211,862
Range 4,100,000,000
R Value(0.31)
R Squared 0.1
Significance 0.33
Slope(104,500,000)

Macys Assets Non Current Over Time

2007  11,937,000,000 
2008  7,837,000,000 
2018  9,220,000,000 

Other Fundumenentals of Macys

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Macys Fundamental Drivers

Macys Fundamental Market Drivers

Short Percent Of Float15.39%
Forward Price Earnings8.92
Shares Short Prior Month41.54M
Average Daily Volume Last 10 Day7.36M
Average Daily Volume In Three Month7.8M
Date Short InterestOctober 31, 2018
Fifty Day Average34.04
Two Hundred Day Average36.10

Macys Upcoming Events

Macys Upcoming Company Events

Upcoming Quarterly ReportMay 10, 2017
Next Earnings ReportAugust 10, 2017
Please see also analysis of Macys Correlation with competitors. Please also try Correlation Analysis module to reduce portfolio risk simply by holding instruments which are not perfectly correlated.
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