Raymond James Financial, Inc. (NYSE: RJF), is in the industry Investment Brokerage – Regional. Based in USA, Raymond James Financial, Inc. has a market cap of 13.57B. Therefore, Raymond James Financial, Inc. is a large market cap stock. Today it is currently trading at $94.40 (1.34%), with an average volume 764.46, its volume today is 1,408,425.00.
Investors has seen a return of equity of 11.90%. Performance year to date of 5.71% and sales growth for the past five years is 10.90%.
Currently Raymond James Financial, Inc., has an EPS of 4.32, which has grown by 18.50% this year. EPS is also projected to grow 10.48% next year, and 9.05% for the next five years. For the past five years EPS growth has been 14.50%. Sales growth quarter over quarter is 16.10%, with EPS growth quarter over quarter coming to a value of 10.20%.
As with most large market cap stocks, it has a good dividend yield of 1.06%. The ability for Raymond James Financial, Inc. to pay for the 1.06% dividend yield is 19.40% payout ratio. Also generally volatility for large market cap stocks are lower so for Raymond James Financial, Inc., volatility for the week has been 1.76%, and for the month 1.62%.
It has been a long while for Raymond James Financial, Inc., since its IPO date on 12/30/1987. Investors at the moment see that Raymond James Financial, Inc., has a long term debt/equity of 0.55, with total debt/equity coming to 3.77. The ability for Raymond James Financial, Inc. to pay these debts is as follows; current ratio is *tba and quick ratio comes to *tba.
In terms of value, Raymond James Financial, Inc. has a P/E value of 21.86, combined with a forward P/E of 13.6. While PEG ratio ideally wants to be as low as possible, and it is 2.42. The same goes for P/S and P/B, you want these value to be lower, to represent a potential undervalued company, and they have a P/S and P/B of 2.08 and 2.43 respectively. We see that there is a P/Cash flow of 3.7 and a P/Free cash flow of 13.73.
The management of the company has seen, a return of investment of 2.40% and return on assets of 1.90%. Raymond James Financial, Inc. is comprised of insider ownership at 0.50% and institutional ownership of 72.10%.
With a gross margin of 96.40% and operating margin of 14.20%, this means there is a profit margin of 9.70%. Total shares outstanding is 143.75, with shares float coming to 128.47. The 200-day simple moving average is 16.41% and the 20-day simple moving average is 5.36%.
Raymond James Financial, Inc. is based in USA, in the very big sector Financial. Recently Raymond James Financial, Inc. has seen performance for this week at 5.12%. While for the month it has been 5.49%. Longer term we see that it has been 9.16% for the quarter and for the half year 14.79%. For the year performance has come to 26.83%.
It will be interesting to see how Raymond James Financial, Inc. does in the future, and for investors alike. As stated above, it has an EPS growth projection for the next five years of 9.05%. What do you think is the future for Raymond James Financial, Inc.?
Disclaimer: Remember there is a risk to your investment, this is not a recommendation, nor personal advice, never invest more than you are able too loose.
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