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Cotiviti Holdings Inc. Common (COTV) is 17% Away from 200 Day Moving Average

Posted by on in #Stocks to Watch
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Cotiviti Holdings Inc. Common (COTV)

($41.07 -0.94 - -2.24% )
Pre-Market Chg: -0.5%

Cotiviti Holdings Inc. Common (COTV) The shorts have minimum days to cover as the stocks short ratio is only 0.93 Few are betting against the stock going down. It has returned 141.59% from its 52 week low. This stock has a 3.73B dollar valuation. is priced somewhat high on a valuation basis . With a P/E ratio of 74.67, the stock could be getting expensive and its earnings yield is 1.34%. Additionally, the stock is priced high relative to growth ,with a PEG ratio of 2.44, the stock is priced 2.44 times higher than growth expectations. Considering the stock is only 16.91% away from its 200 day moving average, a possible buy should be considered as the stock has more room to run. Nevertheless, the stock is only 4.4% away from its 50 day moving average, a possible buy should be considered if the stock pulls back to the 50 day line.

Data from blog posted Apr 14, 2017 02:58 pm EST (recent (COTV) Data)
EPS Est Next Yr:1.66 Earnings/Share:0.55
Earnings Yield:1.34%Market Cap:$3.73B
P/E Ratio:74.67Shares Float:26909000
PEG Ratio::2.4450 Day MA:39.34
Price/Sales Ratio:6.10200 Day MA:35.13
Price/Book Ratio:4.06% from 50 DMA:4.4%
Short Ratio:0.93% from 200 DMA:16.91%
1 Yr Target Price: $42.55Avg Daily Vol:450,753
52Wk Range:17.00 - 42.99Todays Volume:291,870
Change 52 Wk Low: 141.59% PCT Volume Chg:-35.25%
Change 52 Wk High:-4.47%Dividend:$0
Dividend Pay Date:N/ADividend Yield:0%
Previous Close :$42.01Open Price:$41.80
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I'm an Investor who blogs about using long term and short term methods via Technical and Fundamental Analysis.

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