AIV Overview
APARTMENT INVESTMENT (AIV) 36.94 +1.19 +3.33% Apr 22
Markets open in 2:48
Recent Performance
- 2m: -33.43%
- 1m: +30.48%
- 2w: +7.20%
- 1w: -6.46%
|
|
| Day Range |
36.00–37.33 |
| 52-Week Range |
24.53–55.68 |
| Volume |
1.26M (2.03M avg) |
| Market Cap |
5.47B |
| P/E |
11.60 |
| 30d Historical Volatility |
114.36% |
| 30d Implied Volatility |
66.04% |
| 30d IV Rating |
98.63% |
| 30d IV Rank |
56.21% |
| 30d IV Percentile |
93.52% |
| 30d Forward Price |
37.70 |
| Next Earnings Release |
5/7/20 AMC |
| Earnings IV Crush Rate |
102.35% |
| Post-Earnings IV |
65.90% |
| Long-Term IV Mean |
55.39% |
| Earnings IV Richness |
+1,050.82 bps |
| EPS ttm/est |
3.16/ |
| Growth |
8.00% |
| Institutional Ownership |
62.00% |
| Annual Dividend (Yield) |
1.64 (4.47%) |
| Ex-Dividend Dateest |
5/13/20 |
| Option Liquidity |
None |
Correlations
Correlations indicate how similarly a given stock has traded with this stock over each specified term. The closer a correlation is to 1, the more consistently the stocks moved in the same direction by the end of any given trading day.