52 week High and Low
On Thursday, Sep 13, Alliance One International, Inc. (AOI) shares have been seen trading -21.99% off its 52 week- peak value and changed 137.13% from its 52 week-bottom price value. The “percentage off the 52-week high or low” refers to when a stock current price is relative to where it has traded over the last 52 weeks. This gives investors an idea of how much the security has moved in the last year and whether it is trading near the top, middle or bottom of the range.
Volume and Price
Shares of Alliance One International, Inc. (AOI) were valued at $23.95 and moved 36.47% as of a recent closing trade. A total volume of 2.97 million shares were traded versus to average volume of 0.23 million shares.
Relative Strength Index (RSI)
Alliance One International, Inc. (AOI)’s Relative Strength Index (RSI) is 72.01. RSI is a technical indicator of price momentum, comparing the size of recent gains to the size of recent losses and establishes oversold and overbought positions.
Alliance One International, Inc. (AOI) held 9.46 million outstanding shares currently. The company have shares float of 8.31 million. Now have a look at past performance (weekly performance to year to date performance) how Alliance One International, Inc. (AOI) has been moved; whether it performed well or not. AOI reported a change of 38.04% over the last week and performed 42.14% over the last month while its year to date (YTD) performance revealed an activity trend of 80.75%. The stock’s quarterly performance specifies a shift of 33.06%, and its last twelve month performance is stands at 138.31% while moved -10.30% for the past six months.
Average True Range (14) for Alliance One International, Inc. (AOI) is stands at 1.76. ATR is a volatility indicator. Volatility measures the strength of the price action, and is often overlooked for clues on market direction.
Over the past week, the company showed volatility of 13.75%. Moving out to look at the previous month volatility move, the stock is at 8.90%. A stock with a price that fluctuates wildly, hits new highs and lows or moves erratically is considered highly volatile..
Beta measures volatility or systematic risk, of a stock or a portfolio in comparison to the market as a whole. 1 shows stock moves with market. < 1 means less volatile than market. > 1 indicates more volatile than the market. The stock’s beta is 0.40.