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 |