Azul S.A. ADR (NYSE: AZUL) is -73.05% lower on its value in year-to-date trading and has touched a low of $0.45 and a high of $6.29 in the current 52-week trading range. The question becomes, what are the chances the stock will make a comeback and enjoy potential growth. Why not look at analysts view on what the future holds for the stock. The AZUL stock was last observed hovering at around $0.46 in the last trading session, with the day’s loss setting it -0.01%.
Currently trading at $0.45, the stock is -32.05% and -63.78% below its SMA20 and SMA50 respectively. However, with a daily trading volume of 12.7 million and changing -2.09% at the moment leaves the stock -80.19% off its SMA200. AZUL registered -92.50% loss for a year compared to 6-month loss of -82.42%. The firm has a 50-day simple moving average (SMA 50) of $1.24232 and a 200-day simple moving average (SMA200) of $2.27183.
The stock witnessed a -70.97% gain in the last 1 month and extending the period to 3 months gives it a -75.27%, and is -19.64% down over the last 5 days. If we measure the stock’s price variations over the week and the month, we find that the volatility rates stand at 6.43% over the week and 8.67% over the month.
Azul S.A. ADR (AZUL) has around 15367 employees, a market worth around $134.37M and $3.60B in sales. Fwd P/E is 3.30. Profit margin for the company is -32.85%. Distance from 52-week low is 0.56% and -92.85% from its 52-week high. The company has generated returns on investments over the last 12 months (-263.61%).
The EPS is expected to grow by 96.55% this year
70.0 institutions hold shares in Azul S.A. ADR (AZUL), with institutional investors hold 5.70% of the company’s shares. The shares outstanding are 143.83M, and float is at 111.76M with Short Float at 14.17%. Institutions hold 5.70% of the Float.
The top institutional shareholder in the company is FRONTIER CAPITAL MANAGEMENT CO LLC with over 8.09 million shares valued at $32.38 million. The investor’s holdings represent 6.9891 of the AZUL Shares outstanding. As of 2024-06-30, the second largest holder is LONG FOCUS CAPITAL MANAGEMENT, LLC with 4.45 million shares valued at $17.82 million to account for 3.8458 of the shares outstanding. The other top investors are SCHONFELD STRATEGIC ADVISORS LLC which holds 2.93 million shares representing 2.5293 and valued at over $11.72 million, while OAKTREE CAPITAL MANAGEMENT LP holds 2.1118 of the shares totaling 2.45 million with a market value of $9.78 million.