)+[a-z]{2,63}/i);}, failureMessage: "Value must not contain any URL's"});field11.add(Validate.Presence, {failureMessage:"This field is required"});field11.add(Validate.Length, {tooShortMessage:"Invalid length for field value", tooLongMessage: "Invalid length for field value", minimum: 4, maximum: 4});function handleFormSubmit(ele) { var submitButton = ele.querySelector('input[type=submit]'); var spinner = document.createElement('span'); spinner.setAttribute('class', 'loader'); submitButton.setAttribute('disabled', true); submitButton.style.cursor = 'wait'; submitButton.parentNode.appendChild(spinner); return true; }function resetSubmitButton(e){ var submitButtons = e.target.form.getElementsByClassName('submit-button'); for(var i=0;i Post-Market 0.02 (0.31%) Arcimoto has the potential to find a niche in EVs. Arcimoto, Inc. has a P/E ratio of 0 against that of Ferrari N.V.’s 41.63 while Magna International is showing 16.44 for the same. FUV Stock’s Forward Dividend of 0 and its yield of 0 are making investors’ thoughts stronger that it could fall further before the company announces its earnings for the current quarter. Long term indicators are suggesting an average of 100% Buy for it.According to ratings assigned by 6 analysts at the scale of 1 to 5 with 1.00 representing a strong buy and 5.00 suggesting a strong sell; none of them are recommending Arcimoto, Inc. (FUV) as a Hold, while 6 are in view that stock is a Buy.
Company’s P/E ratio for the trailing 12 months is 0. Quick Links Industry’s another major player Magna International (MGA) has jumped 2.67% up in latest trading session, but over the past year has faced a rise of 2.8%, while Borgwarner Inc (BWA) is also down -8.86% however its price remained floating in the green at 126.9% over the same period. It further provides that stock’s current price level is 6.24% away from its 20-day simple moving average and is 38.25% off its SMA50. Arcimoto Inc. FUV 6.50 0.15 (2.36%). Topics Addition of +308.7% by stock’s current price to its year-to-date value in today’s trading is likely to be increasing investors’ interest in the stock as it is hinting an extended uptrend. Arcimoto, Inc. (NASDAQ:FUV) concluded the trading on Wednesday, Aug 05 with a fall of -8.86% from its closing price on previous day.Taking a look at stock we notice that its last check on previous day was $7.22 and 5Y monthly beta was reading 0 with its price kept floating in the range of $6.41 and $6.84 on the day. Analysts are in estimates of -$0.11 per share for company’s earnings in the current quarter and are expecting its annual EPS growth moving up to -$0.51 for 2020 with estimates of that growing to -$0.47 in next year.
Recommendation by None analysts for the stock is an Outperform while number of those analysts who rated the stock as Underperform is none, whereas none of them are considering the stock as a Sell. Its relative strength index (RSI) for 14-periods is oscillating at 58.35 while volatility remained at 13.12% over the past week which changes to 12.69% when measuring it over the past month. Get today's Arcimoto Inc stock price and latest FUV news as well as Arcimoto real-time stock quotes, technical analysis, full financials and more. Consequently, Arcimoto stock investors will need to pay close attention to Tesla, both the company and the stock. node.dataset.value : node.getAttribute('data-value'); if (selectedValue) { for (var j = 0; j < node.options.length; j++) { if(node.options[j].value === selectedValue) { node.options[j].selected = 'selected';break;}}}}} Nasdaq Initiatives Analyst Activity Tuesday, September 1, 2020 Features
In predicting price targets of as low as $3.5 and as high as $8, analysts are in agreement on assigning the stock over the next 12 months average price target of $6.08. Stock analysis for Arcimoto Inc (FUV:NASDAQ CM) including stock price, stock chart, company news, key statistics, fundamentals and company profile. These estimates are suggesting current year growth of -0.4% for EPS and -0.08% growth next year.In contrast, when we review FUV stock’s current outlook then short term indicators are assigning it an average of 100% Buy, while medium term indicators are categorizing the stock at an average of 100% Buy.