Sunrun Inc Cmn Stk (NASDAQ:RUN) shares traded 0.96% up during most recent session to reach at the closing price of $7.37. The stock exchanged hands 1.29 Million shares versus average trading capacity of 1.23 Million shares, yielding a market cap of $772.89 Million.
UBS “Upgrades” Sunrun Inc Cmn Stk (NASDAQ:RUN) in a research note issued to investors on 3/22/17 to Buy with price target of $0.
Additionally on 11/22/16 Barclays “Upgrades” Sunrun Inc Cmn Stk (NASDAQ:RUN) to Overweight setting price target at $0 and on 11/10/16 JMP Securities “Downgrades” the stock to Market Perform at $0. Furthermore on 11/09/16 Bank of America “Downgrades” the stock to Neutral at $0.
On the other hand the company has Relative Strength Index (RSI 14) of 66.97 along with Average True Range (ATR 14) of 0.27, Consequently Sunrun Inc Cmn Stk (NASDAQ:RUN)’s weekly and monthly volatility is 3.49%, 3.75% respectively. The company’s beta value is at 0.
In terms of Buy, Sell or Hold recommendations, Sunrun Inc Cmn Stk (NASDAQ:RUN) has analysts’ mean recommendation of 2. This is according to a simplified 1 to 5 scale where 1 represents a Strong Buy and 5 a Strong Sell.
Currently Sunrun Inc Cmn Stk (NASDAQ:RUN)’s shares owned by insiders are 7%, whereas shares owned by institutional owners are 79%. However the six-month change in the insider ownership was recorded 0%, as well as three-month change in the institutional ownership was recorded 0.06%.
Sunrun Inc Cmn Stk (NASDAQ:RUN) 52-week high price stands at $7.64 and low price stands at $4.15, its price distance from 52-week high is -3.53% while its distance from 52-week low price is 77.59%. The stock hit its 52-week high on 07/25/17, and 52-week low on 11/09/16.
Sunrun Inc Cmn Stk (NASDAQ:RUN)’s trailing twelve month revenues are $459.3 Million, whereas its price to sales ratio for the same period is 1.68. Its book value per share for the most recent quarter is $6.66 while its price to book ratio for the same period is 1.11, as for as the company’s cash per share for the most recent quarter is $1.94, however its price to cash per share ratio for the same period is 3.79. The stock has 5 year expected PEG ratio of 0.48 whereas its trailing twelve month P/E ratio is 8.51.