Shell Plc ADR (NYSE: SHEL) has a higher price-to-earnings ratio of 13.65x compared to its average ratio, The 36-month beta value for SHEL is at 0.56. Analysts have varying views on the stock, with 7 analysts rating it as a “buy,” 5 rating it as “overweight,” 4 as “hold,” and 0 as “sell.”
The public float for SHEL is 3.12B, and currently, shorts hold a 0.14% of that float. The average trading volume for SHEL on November 19, 2024 was 4.42M shares.
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SHEL) stock’s latest price update
Shell Plc ADR (NYSE: SHEL)’s stock price has increased by 1.30 compared to its previous closing price of 65.47. However, the company has seen a -0.78% decrease in its stock price over the last five trading sessions. globenewswire.com reported 2024-11-18 that Transaction in Own Shares 18 November, 2024 • • • • • • • • • • • • • • • • Shell plc (the ‘Company’) announces that on 18 November 2024 it purchased the following number of Shares for cancellation. Aggregated information on Shares purchased according to trading venue: Date of purchase Number of Shares purchased Highest price paid Lowest price paid Volume weighted average price paid per share Venue Currency 18/11/2024 1,150,000 £25.9900 £25.5200 £25.7597 LSE GBP 18/11/2024 – £0.0000 £0.0000 £0.0000 Chi-X (CXE) GBP 18/11/2024 – £0.0000 £0.0000 £0.0000 BATS (BXE) GBP 18/11/2024 850,000 €31.4050 €30.9250 €31.1502 XAMS EUR 18/11/2024 – €0.0000 €0.0000 €0.0000 CBOE DXE EUR 18/11/2024 – €0.0000 €0.0000 €0.0000 TQEX EUR These share purchases form part of the on- and off-market limbs of the Company’s existing share buy-back programme previously announced on 31 October 2024.
SHEL’s Market Performance
Shell Plc ADR (SHEL) has seen a -0.78% fall in stock performance for the week, with a -1.07% decline in the past month and a -7.11% plunge in the past quarter. The volatility ratio for the week is 1.24%, and the volatility levels for the past 30 days are at 1.24% for SHEL. The simple moving average for the past 20 days is -0.58% for SHEL’s stock, with a -4.17% simple moving average for the past 200 days.
SHEL Trading at -1.46% from the 50-Day Moving Average
After a stumble in the market that brought SHEL to its low price for the period of the last 52 weeks, the company was unable to rebound, for now settling with -11.11% of loss for the given period.
Volatility was left at 1.24%, however, over the last 30 days, the volatility rate increased by 1.24%, as shares sank -1.09% for the moving average over the last 20 days. Over the last 50 days, in opposition, the stock is trading -1.65% lower at present.
During the last 5 trading sessions, SHEL fell by -0.78%, which changed the moving average for the period of 200-days by +4.77% in comparison to the 20-day moving average, which settled at $66.71. In addition, Shell Plc ADR saw 0.79% in overturn over a single year, with a tendency to cut further gains.
Stock Fundamentals for SHEL
Current profitability levels for the company are sitting at:
- 0.1 for the present operating margin
- 0.14 for the gross margin
The net margin for Shell Plc ADR stands at 0.05. The total capital return value is set at 0.09. Equity return is now at value 8.26, with 3.87 for asset returns.
Based on Shell Plc ADR (SHEL), the company’s capital structure generated 0.21 points at debt to capital in total, while cash flow to debt ratio is standing at 1.02. The debt to equity ratio resting at 0.27. The interest coverage ratio of the stock is 5.91.
Currently, EBITDA for the company is 56.57 billion with net debt to EBITDA at 0.17. When we switch over and look at the enterprise to sales, we see a ratio of 0.71. The receivables turnover for the company is 6.21for trailing twelve months and the total asset turnover is 0.74. The liquidity ratio also appears to be rather interesting for investors as it stands at 1.40.
Conclusion
In conclusion, Shell Plc ADR (SHEL) has had a mixed performance lately. Opinion on the stock among analysts is bullish, with some giving it a “buy” rating and others a “hold”. It’s important to note that the stock is currently trading at a significant distance from its 50-day moving average and its 52-week high.