NGCT BE Comparative Analysis Breakdown

    You can use this module to analyze advantages of NGCT BE technical and fundamental indicators over its peers. Please use the box above to enter up to 4 concurrent symbols you would like to analyze. Use comma (,) to separate each symbol. With this comparative module your can estimate the relative strength of NGCT-BE against its competitors. Please see also Stocks Correlation.

        
     Better Than Average     
        
     Worse Than Peers or Benchmark    View Performance Chart
    NGCT BEHousing DevelopmentHousing DevelopmentInfosysMaruti SuzukiMaruti Suzuki
    0.00 / 0.00%

     0.00 

     NGCT BE
    69.75 / 3.76%

     1,925 

     Housing Development
    70.10 / 3.78%

     1,926 

     Housing Development
    1.25 / 0.17%

     720.40 

     Infosys
    232.75 / 2.77%

     8,633 

     Maruti Suzuki
    94.80 / 1.11%

     8,627 

     Maruti Suzuki
    Market Performance
    (Over the last 30 days)
     0 of 100 0 of 100 0 of 100 0 of 100 0 of 100 0 of 100
    Probability Of Bankruptcy
    (Chance of Financial Distress)
    50 %39 %41 %49 %40 %25 %
    Current Ratio
    Profit Margin
    EBITDA
    Operating Margin
    Current Valuation
    Cash Flow from Operations
    Five Year Return
    Current Asset
    Retained Earnings
    Beta
    Price to Book
    Shares Outstanding
    Total Debt
    Return On Equity
    Price to Earning
    Z Score
    Return On Asset
    Book Value Per Share
    Cash and Equivalents
    Price to Earnings To Growth
    Current Liabilities
    Total Asset
    Last Dividend Paid
    Price to Sales
    Market Capitalization
    Cash per Share
    Net Income
    Earnings Per Share
    Debt to Equity
    Revenue
    Working Capital
    Gross Profit
    Day Typical Price
    Accumulation Distribution
    Market Facilitation Index
    Daily Balance Of Power
    Rate Of Daily Change
    Day Median Price
    Price Action Indicator
    Coefficient Of Variation
    Mean Deviation
    Jensen Alpha
    Total Risk Alpha
    Sortino Ratio
    Downside Variance
    Standard Deviation
    Kurtosis
    Potential Upside
    Treynor Ratio
    Maximum Drawdown
    Variance
    Market Risk Adjusted Performance
    Risk Adjusted Performance
    Skewness
    Semi Deviation
    Information Ratio
    Value At Risk
    Expected Short fall
    Downside Deviation
    Semi Variance

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    Millennials Best
    Millennials Best Idea
    Companies or funds that provide products or services that appeal to the generation of millennials and that are expected to experience growth in the next 5 years. The millennial generation usually refers to the demographic population that were born between 1980 to 2000. Millennials Best theme has 79 constituents.
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    Please see also Stocks Correlation. Please also try Chance of Distress module to get analysis of equity chance of financial distress in the next 2 years.
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