Overview

Fomento Economico (FMX) 56.26 +0.43 +0.77% Apr 22

Market Data
SPY 279.10 +6.06 +2.22% QQQ 210.97 +6.08 +2.97% VIXY 36.26 -1.84 -4.83%
Markets open in 2:48

Stock Options Search

Time Horizon

  • 15-May-2020 (3 weeks)
  • 19-Jun-2020 (8 weeks)
  • 17-Jul-2020 (3 months)
  • 16-Oct-2020 (6 months)

Find Trades That Are...

  • Very Bearish
  • Bearish
  • Neutral
  • Bullish
  • Very Bullish

Implied & Historical Volatility

Overall put/call by volume 0.12
Overall put/call by open interest 0.25

Quote & Company

Recent Performance (CRSP)

  • 2m -38.50%
  • 1m -5.87%
  • 2w -5.03%
  • 1w -6.64%
Day Range 55.95–56.84
52-Week Range 55.95–100.35
Volume 1.41M (763.00K avg)
Market Cap 102.02B
P/E 118.50
30d Historical Volatility 39.74%
30d Implied Volatility 35.18%
30d IV Rating 73.52%
30d IV Rank 24.19%
30d IV Percentile 86.35%
30d Forward Price 56.97
Next Earnings Release 5/1/20 BMO
Earnings IV Crush Rate 36.73%
Post-Earnings IV 18.85%
Long-Term IV Mean 38.53%
Earnings IV Richness -1,967.98 bps
EPS ttm/est 0.48/
Growth 9.00%
Institutional Ownership 2.00%
Annual Dividend (Yield) 1.51 (2.64%)
Ex-Dividend Date est 4/30/20
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. Inversely, stocks with a correlation closer to -1 have historically moved in opposite directions over the specified term. Stocks with correlations near 0 did not appear to be correlated, which means that they traded unpredictably relative to each other.

Top Positive Correlations

Company 30d 60d 90d
America Movil (AMX) 0.76 0.60 0.62
Hooker Furniture (HOFT) 0.68 0.31 0.27
Unit Group Inc (UNIT) 0.68 0.60 0.60
Coca-Cola Femsa (KOF) 0.67 0.64 0.61
Surgery Partners Inc. Common Stock (SGRY) 0.65 0.33 0.37
iShares MSCI Mexico ETF (EWW) 0.63 0.57 0.64
GlaxoSmithKline (GSK) 0.60 0.50 0.49

Top Negative Correlations

Company 30d 60d 90d
PTC Inc. Common Stock (PTC) -0.73 -0.49 -0.32
Box Inc (BOX) -0.72 -0.52 -0.39
Workday (WDAY) -0.70 -0.41 -0.28

Lowest Correlations

Company 30d 60d 90d
Valaris PLC (VAL) 0.00 -0.19 0.05
Ionis Pharmaceuticals Inc. Common Stock (IONS) -0.01 -0.06 0.00