Oclaro [United States] rises 0.3% on low volume for a second consecutive day, a two day rise of 7.4% December 21, 2011
Oclaro (OCLR.O) rose 1.0c (or 0.3%) for a second consecutive day on Wednesday bringing its two-day rise to 20.0c or7.4%. Compared with the Dow Jones Industrials index, which rose 337.3 points (or 2.9%) on the day, this was a relative price change of -2.5%.
PRICE VOLUME DYNAMICS
Price Change % 2-day 1-month 1-year OCLR 7.41% -3.97% -76.8% Total Globalstock Market 1.97% 0.52% -12.26% DJIA 2.87% 2.61% 5.45%
Volatility: the stock traded between an intraday low of US$2.77 and two-day high of US$2.93, suggesting a trading opportunity between peaks and troughs. The average daily volatility of 6.5% places the stock in the 1st quartile in the market meaning it is highly volatile.
Volume: there were 338,130 shares worth US$980,832 traded. The volume was 0.2 times average trading of 1,599,416 shares.
% Premium to low: the last price is at a premium of 8.2% to the 12-month low of US$2.68 one month ago on 25 Nov, 2011.
Volume weighted price (VWP): the price is at a premium of 0.9% to the 1-month volume weighted average price (VWP) of US$2.873. Given that this premium has exceeded 0.9% seventy-two times and been under 0.9% three times in the last year, the upside:downside probability is estimated at 72:3 or 24:1.
Falls to Rises: In the last three months the number of falls outnumbered rises 32:30 or 1.07:1.
Beta: The Beta of this stock is 2.34. A Beta greater than 1 suggests this is a high risk, high return stock with volatility greater than that of the market.
Standard Deviation (SD): SD is a statistical measure of deviation from the mean. The SD of 5.0% gives it a percentile rank of 93 meaning that 93% of stocks in the global market are less volatile than this stock.
Trailing month: in the last 21 trading sessions there has been a net decline of 1.69%; the stock has retreated 18 times and the biggest one day decline was 8.4% on Dec 01.
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