Baijiayun Group Ltd (RTC) concluded trading on Wednesday at a closing price of $0.87, with 4.8 million shares of worth about $4.17 million changed hands on the day. Half year performance of the stock remained negative as price took a plunge of -87.43% during that period and on Wednesday, January 31 the price saw a loss of about -35.73%. Currently the company’s common shares owned by public are about 50.10M shares, out of which, 7.32M shares are available for trading.
However, the stock later moved at a day high price of 1.3000, or with a loss of -35.73%. Stock saw a price change of -78.04% in past 5 days and over the past one month there was a price change of -56.62%. Year-to-date (YTD), RTC shares are showing a performance of -56.62% which decreased to -90.64% when we look at its performance for past 12 months. Over the period of past 52 weeks, stock dropped to lowest price of $1.29 but also hit the highest price of $9.70 during that period. The average intraday trading volume for Baijiayun Group Ltd shares is 186.18K. The stock is currently trading -71.82% below its 20-day simple moving average (SMA20), while that difference is down -63.48% for SMA50 and it goes to -82.89% lower than SMA200.
Baijiayun Group Ltd (NASDAQ: RTC) currently have 50.10M outstanding shares and institutions hold larger chunk of about 0.15% of that.
The stock has a current market capitalization of $65.40M and its 3Y-monthly beta is at 0.82. It has posted earnings per share of -$0.10 in the same period. It has Quick Ratio of 2.33 while making debt-to-equity ratio of 0.15. Volatility of a stock is a metric used to know how much the price of that stock is under influence and for RTC, volatility over the week remained 137.71% while standing at 43.80% over the month.
Analysts are in expectations that Baijiayun Group Ltd (RTC) stock would likely to be making an EPS of $0 in the current quarter, while forecast for next quarter EPS is $0 and it is $0 for next year. For the current quarter EPS, analysts have given the company a lowest target $0 which is $0 at the higher side of the target for the same. EPS is likely to shrink at an annualized rate of 7.00% for next 5-years, compared to annual growth of 35.56% made by the stock over the past 5-years.