Remark Holdings Inc. (NASDAQ:MARK)’s share price plunged -0.25% or -0.02 to reach at $7.9 during previous trading session. A total of 840439 shares exchanged hands, whereas the company’s average trading volume stands at 1.03 Million shares. Remark Holdings Inc. (NASDAQ:MARK) has a market capitalization of $199.08 Million and most recently 25.2 Million outstanding shares have been calculated.

According to sentiments of 1 analysts the mean estimates of short term price target for the company’s stock is marked at $10.25. The most optimistic analyst sees the stock reaching $10.25 while the most conventional predicts the target price at $10.25.

In terms of Buy/Sell recommendations, 1 analysts have a consensus rating of 1 on the shares of Remark Holdings Inc. (NASDAQ:MARK). Out of rating recommendations 0 have given the stock a Buy while 1 recommend the stock as Outperform. 0 have given the stock a Hold rating, 0 as Underperform and 0 as Sell.

Remark Holdings Inc. (NASDAQ:MARK)’s distance from 20 day simple moving average is 0.2423 along with distance from 50 day simple moving average of 5.13 whereas its distance from 200 day simple moving average is 3.5. Remark Holdings Inc. (NASDAQ:MARK)’s price distance from 52-week high is -19.31 and from 52-week low is 309.33. The stock hit its 52-week high price on 11/24/17, and 52-week low price on 06/20/17. The stock’s 52-week price fluctuated within the range of $9.79 – $1.93.

Remark Holdings Inc. (NASDAQ:MARK)’s shares slipped -13.57% in the past week and soared 117.03% in the last 4 weeks, historically the stock illustrate that its six months performance stands at 198.11% while its year to date performance is at 101.53%.

While taking a glance at financials, we can look at a number of key indicators. Remark Holdings Inc. (NASDAQ:MARK) has a Return on Assets (ROA) of -28. The company currently has a Return on Equity (ROE) of 964.4 and a Return on Investment (ROI) of -91.5. Average true range (ATR-14) of the company sets at 1, along with its weekly and monthly volatility of 15.46% and 16.75% respectively. Relative strength index (RSI-14) for Remark Holdings Inc. (NASDAQ:MARK) is at 62.55. Beta value of the stock stands at 1.39.

The company’s price to free cash flow for trailing twelve months is 0. Its quick ratio for most recent quarter is 0 along with current ratio for most recent quarter of 0.2. Total debt to equity ratio of Remark Holdings Inc. (NASDAQ:MARK) for most recent quarter is 0 whereas long term debt to equity ratio for most recent quarter is 0.

Shares of Ecopetrol S.A. (NYSE:EC) plunged -0.34% or -0.04 to reach at $11.86 during previous trading session. Ecopetrol S.A. (NYSE:EC) has a market capitalization of $24.78 Billion and most recently 2.09 Billion outstanding shares have been calculated. A total of 838166 shares exchanged hands, whereas the company’s average trading volume stands at 1.11 Million shares.

According to 12 analysts Ecopetrol S.A. (NYSE:EC)’s price will reach at $9.19 during 52 weeks. Stock’s minimum price target estimates has been figured out at $6.5 while the maximum price target forecast is established at $13.25.

According to the recommendations from 4 analysts stock has mean rating of 4.25 on the shares of Ecopetrol S.A. (NYSE:EC). Out of rating recommendations 0 have given the stock a Buy while 0 recommend the stock as Outperform. 7 have given the stock a Hold rating, 4 as Underperform and 1 as Sell.

Shares of Ecopetrol S.A. (NYSE:EC) climbed 2.68% in the past week and soared 5.7% in the last 4 weeks, historically the stock illustrate that its six months performance stands at 25.9% while its year to date performance is at 31.05%.

Ecopetrol S.A. (NYSE:EC)’s 52-week price fluctuated within the range of $12.30 – $8.44. Its price distance from 52-week high is -3.58 and from 52-week low is 40.52. The stock hit its 52-week high price on 11/08/17, and 52-week low price on 03/09/17. Ecopetrol S.A. (NYSE:EC)’s distance from 20 day simple moving average is0.0088 along with distance from 50 day simple moving average of 11.19 whereas its distance from 200 day simple moving average is 9.76.

Total debt to equity ratio of Ecopetrol S.A. (NYSE:EC) for most recent quarter is 0.97 whereas long term debt to equity ratio for most recent quarter is 0.86. The company’s price to free cash flow for trailing twelve months is 5.85. Its quick ratio for most recent quarter is 1.1 along with current ratio for most recent quarter of 1.4.

Average true range (ATR-14) of the company sets at 0.31, along with its weekly and monthly volatility of 1.85% and 2.64% respectively. Relative strength index (RSI-14) for Ecopetrol S.A. (NYSE:EC) is at 60.98. Beta value of the stock stands at 1.2. Ecopetrol S.A. (NYSE:EC) has a Return on Assets (ROA) of 2.9. The company currently has a Return on Equity (ROE) of 7.6 and a Return on Investment (ROI) of 3.8.