Cypress Semiconductor Corporation (CY) ,Lamb Weston Holdings, Inc. (LW)

Cypress Semiconductor Corporation (CY) , a stock from Semiconductor – Broad Line Industry, has a value of $14.01 per share, noted a price change of -2.71% in recent trade close. The  P/S ratio is 2.46. It has a dividend yield of 3.14%. The performance for one month is at -1.62% and the performance for half year is 37.93%. The performance for recent week is 0.14% and the performance for three months is at 16.84%. The performance for Year to Date (YTD) is 23.38%. Its monthly volatility value of 2.87% and volatility for the week is valued at 3.64%.

94.20% shares of the company possessed by Institutional Investors. The net percent change held by Institutional Investors has seen a change of 0.84% in last three month period. Insiders own 0.40% of the company shares. During last six month record, the net percent change kept by insiders has observed a change of -9.74%. The Stock has P/B of 2.47. The price-to-book ratio is a ratio used to compare a stock’s market value to its book value. It is calculated by dividing the current closing price of the stock by the latest quarter’s book value per share.

A ROI of -19.70% for the company evaluates and compares the efficiency of the various numbers of investments relative to the cost of investments. Analysts mean Recommendation on a stock is scored at 2.40. Demonstrating how profitable this stock is relative to its assets, the ROA value is noted at -16.80%. The ROA tells us exactly what earnings were made from the invested capital. The company is expecting to attain earnings per share (EPS) growth of -71.20% in this year and the earnings per share (EPS) growth estimated to be 46.08% in the next year. Annual earnings per share (EPS) growth was at -34.40% in past 5 Years and Long-term annual earnings per share (EPS) growth is projected to achieve 43.20% in coming 5 years.

Lamb Weston Holdings, Inc. (LW) has a value of $41.75 per share, noted a price change of -2.09% in last trade session. The performance for month is -1.65% . Indicating how profitable this stock is relative to its assets, the ROA value is observed at 12.70%. The ROA tells us exactly what earnings were generated from the invested capital. A ROI of 15.00% for the company evaluates and compares the efficiency of the various numbers of investments relative to the cost of investments.

The price to earnings growth ratio is 4.50 and the P/S ratio is 2.00. The low P/S ratio indicates attractive the investment. A low P/S can also be effective in valuing growth stocks that have suffered a temporary setback. It has a dividend yield of 1.80%. 77.50% shares of the company possessed by Institutional Investors. The net percent change held by Institutional Investors has seen a change of -0.21% in last three month period.  The P/E Ratio is 20.92. A company with a high P/E ratio usually indicated positive future performance. A company with a lower ratio, on the other hand, is usually an indication of poor current and future performance.

Long-term annual earnings per share (EPS) growth is expected to reach 4.65% in coming 5 years. The company is estimating to achieve earnings per share (EPS) growth of 6.30% in this year and the earnings per share (EPS) growth expected to be -0.22% in the next year.

The performance for week is -0.77% and the performance for quarter is at 15.08%. Its monthly volatility value of 1.85% and volatility for the week is valued at 1.62%. The performance for Year to Date (YTD) is 11.37%.Analysts mean Recommendation on a stock is noted at 2.20. Analyst Recommendation is an outlook of a stock-market analyst on a stock. Rating Scale: 1.0 represent “Strong Buy” and 2.0 signify “Buy” 3.0 while shows “Hold”. 4.0 display “Sell” and 5.0 reveal “Strong Sell” rating.