BYD
$ 75.76 USD 1.77%
EQUITY BOYD GAMING CORP
Cusip: 103304101
NYSE
Consumer Discretionary
Jimy analytics
Bid
Ask
Volume
Avg Vol. 10 days
52W min.-max.
1 x $ 73.53
1 x $ 76.35
508,034 (-19.67%)
607,963
$ 49.34 - $ 76.73
today picks
P/E ratio
14.26086%
Dividend
0.899%
Utility Margin
13.64%
05/12/2024, 08:11:59
Buy
$74.72
03/12/2024, 07:09:00
Buy
$75.05
29/11/2024, 06:39:59
Buy
$73.10
25/11/2024, 08:46:00
Buy
$73.57
21/11/2024, 09:18:59
Buy
$71.78
28/05/2024, 09:12:59
Buy
$51.39
09/05/2024, 08:39:59
Buy
$53.02
08/05/2024, 14:43:59
Buy
$53.39
01/05/2024, 06:01:03
Buy
$53.51
30/04/2024, 08:37:00
Buy
$53.85
29/04/2024, 06:01:00
Buy
$53.20
26/04/2024, 09:28:00
Buy
$54.25
10/11/2023, 06:00:02
Buy
$56.45
09/11/2023, 15:49:00
Buy
$56.15
08/11/2023, 06:01:02
Buy
$57.66
07/11/2023, 15:31:59
Buy
$57.66
06/11/2023, 06:01:01
Buy
$57.61
03/11/2023, 07:33:59
Buy
$56.16
02/11/2023, 06:00:01
Buy
$56.42
01/11/2023, 11:04:00
Buy
$54.71
26/09/2023, 06:01:03
Buy
$60.41
25/09/2023, 06:01:02
Buy
$60.79
22/09/2023, 06:01:08
Buy
$61.68
21/09/2023, 09:08:59
Buy
$62.18
18/08/2023, 06:01:03
Buy
$64.75
17/08/2023, 13:06:00
Buy
$65.18
13/10/2022, 11:15:59
Buy
$52.23
05/10/2022, 06:01:01
Buy
$52.48
04/10/2022, 08:34:59
Buy
$49.01
29/09/2022, 08:39:59
Buy
$48.25
27/09/2022, 12:13:00
Buy
$46.88
26/09/2022, 11:27:00
Buy
$46.80
23/09/2022, 13:33:59
Buy
$46.89
22/09/2022, 13:05:59
Buy
$48.73
20/09/2022, 08:55:59
Buy
$52.45
19/09/2022, 09:38:59
Buy
$52.81
11/07/2022, 08:48:59
Buy
$48.81
29/06/2022, 06:01:00
Buy
$54.17
28/06/2022, 10:57:59
Buy
$52.41
27/06/2022, 06:01:01
Buy
$50.72
23/06/2022, 10:36:00
Buy
$49.13
22/06/2022, 10:56:59
Buy
$50.72
16/06/2022, 09:37:00
Buy
$51.18
13/06/2022, 12:38:00
Buy
$50.98
24/01/2022, 09:19:59
Buy
$55.60
19/01/2022, 06:00:01
Buy
$59.59
18/01/2022, 12:13:00
Buy
$60.17
Potential reward
1.28%
Jimy threshold indicator for $BYD
Risk management and allocation note: if you are starting a position consider: 32.27%, of the capital destined for this investment, or a reduction in your position of: 67.73%
Price curve evaluation
3
This phase of the model indicates that the price is finishing consolidating an uptrend and is preparing to go down, moment to reduce position.
Based on the information that we found the P/E ratio relationship is low and could reduce the risk on certain market conditions and increase the reward in the long term, at the same time the profit margin is good, representing a moderate risk, the last 52 weeks the price movement has been outstanding and now it's: 35% up from the 52 weeks lowest price, this asset offers a dividend, very convenient for long term investments, you can get 1% of reward buying at the current price .

  • long term
  • high volatility
  • normally is more volatile than the market
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    The information presented here is an autonomous analysis generated in real time that could be used to take investment decisions, in any case we recomend you to ask an expert before taking any investment decision to ensure the expected results. The stock prices are delayed; we recommend to check the ask and bid price before to place an order.