Earnings Estimates Review of: Jazz Pharmaceuticals plc (NASDAQ:JAZZ), BSQUARE Corporation (NASDAQ:BSQR)

Jazz Pharmaceuticals plc (NASDAQ:JAZZ):

Last Trade:

Jazz Pharmaceuticals plc (NASDAQ:JAZZ) ended its previous trading session at $124.74 with the Loss of -1.73%. The company’s market cap is $7.45 Billion, and the average volume is $784.26 Million. The 52-Week High range of the stock is $184, while the 52-week low range is $113.52. The Price to Sales (P/S) of the stock is 4.03, while P/B (Price to Book) stands at 2.49. When we look at the Volatility of the company, Week Volatility is at 2.23% whereas Month Volatility is at 2.89%.

For the ongoing Fiscal Quarter, 6 analysts have an average earnings forecast of $2.83 per share. According to the Analysts, the Low Earnings estimate for the current quarter is $2.6, while the High earnings estimate is $3.14.Comparatively, EPS for the same quarter last year was $0.

According to 6 analysts, the Average Revenue Estimate for the current Fiscal quarter is $450.86 Million and the Low Revenue estimate is $437.5 Million, while the High Revenue estimate is $463.9 Million.

Jazz Pharmaceuticals plc (NASDAQ:JAZZ) analysts on average have given a price target of $176.89 on JAZZ stock.

According to the Recommendation Trends of the stock polled by Zacks Investment Research for this month, the company has a consensus recommendation of 2 out of the scale from 1 to 5 where 1 stands for Strong Buy and 5 means Strong Sell.


Previous Trade:

BSQUARE Corporation (NASDAQ:BSQR) shares declined -5.05% and ended the day at $2.07. Its 52-week high and low range is between $4.65 and $1.55. The company’s outstanding shares are 12.48 Million. The volume of the company in the last trading session was 15181. The stock has a market cap of 25.83 Million. The Stock shows P/E value of 0 and Forward P/E of 0.

According to Finviz reported data, The SMA20 of the stock is at 4.82%, SMA50 is 1.86 percent, while SMA200 is -21.02%. The stock is currently has its Return on Assets (ROA) value of -28.7 Percent. The Return on Investment and Return on Equity (ROE) values are -1.1 percent and -45.1 percent, respectively.

The company’s ATR (Average True Range) is 0.19. The Weekly Volatility is 6.61% and the Monthly Volatility is 11.23%.

When we look at the Analyst Recommendations of the stock, the company has 0 rating given by Analysts where 1 stands for Strong Buy and 5 stands for Strong Sell.