Sabendo os problemas que o sector atravessa e outras condicionantes, o que te diz estes números:
Current Price = $9.80
Qtrly Revenue Growth (yoy): 6.80%
Enterprise Value/Revenue 0.19
Enterprise Value/EBITDA (TTM): 0.70
Market Cap: 520.85M
Enterprise Value:180.63M
52-Week Change:-54.55%
1 week return = -11.38%
6 month return = -51.38%
Held by Insiders: 2.07%
% Held by Institutions1: 103.70%
Short % of Float (as of Oct 15, 2012):27.30%
Shares Outstanding: 52.88M
Float: 17.05M
Qual deles achas mais importantes e porquê?