One of the reasons some investors prefer the P/S ratio over other metrics like the P/E ratio is because sales are harder to manipulate on an income statement than earnings. The (F1) EPS Estimate Weekly Change calculates the percentage change in the consensus earnings estimate for the current year (F1) over the last week. How much a stock will be priced tomorrow or next week is quite unpredictable. The (F1) EPS Estimate Quarterly Change calculates the percentage change in the consensus earnings estimate for the current year (F1) over the last 12 weeks. Each of the company logos represented herein are trademarks of Verizon Media; Microsoft Corporation; Nasdaq, Inc.; Dow Jones & Company; Forbes Media, LLC; Investor's Business Daily, Inc.; and Morningstar, Inc. Should I sell DocuSign stock? The EV/EBITDA ratio is a valuation multiple and is often used in addition, or as an alternative, to the P/E ratio. If you had invested $1,000USD in DocuSign stock on Apr 2018, it would have a value of $6,150.00 today. A D/E ratio of 2 might be par for the course in one industry, while 0.50 would be considered normal for another. Those who missed the rally may start a position or add to it. There’s no denying that DocuSign stock is … It takes the consensus estimate for the current fiscal year (F1) divided by the EPS for the last completed fiscal year (F0) (actual if reported, the consensus if not). A value under 20 is generally considered good. When evaluating a stock, it can be useful to compare it to its industry as a point of reference. Revenue resulted of $382.9 million compared to $361.2 million estimated by market consensus. That is a 15.59% than the last price ($233.70). ZacksTrade and Zacks.com are separate companies. Why DocuSign Stock Gained Today DocuSign acquires Liveoak to accelerate its roadmap for online notary services. By Swapna Meka June 8, 2018, 11:38 am • Posted in Companies, Stocks. DocuSign went public in April 2018 and demand for the company's stock was red-hot right out of the gate. Cash flow itself is an important item on the income statement. And margin rates can vary significantly across these different groups. Valuation metrics show that DocuSign Inc. may be overvalued. Zacks Rank Education -- Learn more about the Zacks Rank Seeing a stock's EPS change over 1 week is important. But, typically, an aggressive growth trader will be interested in the higher growth rates. Cash Flow per share ($/share) calculates the amount of incoming cash vs. the amount of outgoing cash for a company. * Indicates the important links in the menu, After-Market: It's also commonly referred to as a 'liquidity ratio'. The Company offers services to mortgage, non-profit, government, real estate, insurance, technology and healthcare industries. However, in the wake of its second-quarter earnings announcement, the stock was up 22.92% to $56.85 in the premarket trading session today. While the one year change shows the current conditions, the longer look-back period shows how this metric has changed over time and helps put the current reading into proper perspective. are strong. For example, a cash/price ratio, or cash yield, of .08 suggests an 8% return or 8 cents for every $1 of investment. But when compared to its growth rate, it does't have the earnings growth to justify its P/E. The following table shows the price forecasts published by analysts in the last 30 days. Net Margin is defined as net income divided by sales. So the PEG ratio tells you what you're paying for each unit of earnings growth. A higher number means the company has more debt to equity, whereas a lower number means it has less debt to equity. A simple, equally-weighted average return of all Zacks Rank stocks is calculated to determine the monthly return. The Price to Sales ratio or P/S is calculated as price divided by sales. If a company's expenses are growing faster than their sales, this will reduce their margins. The change is made all the more important the closer proximity it is to the stock's earnings date since it is generally believed that the most recent estimates are the most accurate since it's using the most up-to-date information leading up to the report. Others look for those that have lagged the market, believing those are the ones ripe for the biggest increases to come. If a company's net margin is 15%, for example, that means its net income (or profit) is 15 cents for every $1 of sales the company makes. The median P/B ratio for stocks in the S&P is just over 3. The Cash/Price ratio is calculated as cash and marketable securities per share divided by the stock price. To learn more, click here. Everything looks good about DocuSign -- except for the valuation. So be sure to compare it to its group when comparing stocks in different industries. Moreover, when comparing stocks in different industries, it can become even more important to look at the relative measures, since different stocks in different industries have different values that are considered normal. The idea is that more recent information is, generally speaking, more accurate and can be a better predictor of the future, which can give investors an advantage in earnings season. DocuSign Inc. analyst estimates, including DOCU earnings per share estimates and analyst recommendations. Be aware that these setups are not intended for shorting DocuSign stock, A golden rule is that you should not mantain a trading operation that produces greater losses than those expected by the time of the buy. A P/B of 2 means it's selling at 2 times its book value. There are currently 4 hold ratings and 15 buy ratings for the stock, resulting in a consensus recommendation of "Buy." Volume is a useful item in many ways. Evan Niu, CFA (TMFNewCow) Jul 8, 2020 at … ROE values, like other values, can vary significantly from one industry to another. Within the Finance Sector, it would fall into the M Industry of Banks & Thrifts. It is used to help gauge a company's financial health. A company with an ROE of 10%, for example, means it created 10 cents of assets for every $1 of shareholder equity in a given year. It's calculated as earnings divided by price. The 52 Week Price Change displays the percentage price change over the most recently completed 52 weeks (260 trading days). The Daily Price Change displays the day's percentage price change using the most recently completed close. Banks and financial organisations issue their analysis predicting how a stock will performance in the future. Find the latest DocuSign, Inc. (DOCU) stock quote, history, news and other vital information to help you with your stock trading and investing. The 4 Week Price Change displays the percentage price change for the most recently completed 4 weeks (20 trading days). This is also commonly referred to as the Asset Utilization ratio. In this case, it's the cash flow growth that's being looked at. Simply, it doesn't match our recommended trading systems. Like most ratios, this number will vary from industry to industry. An industry with a larger percentage of Zacks Rank #1's and #2's will have a better average Zacks Rank than one with a larger percentage of Zacks Rank #4's and #5's. Zacks Sector Rank Education - Learn more about the Zacks Sector Rank. This is a longer-term price change metric. Traditionally, investors would look at the stock with the lower P/E and deem it a bargain. Zacks Rank Education - Learn about the Zacks Rank, Zacks Rank Home - Zacks Rank resources in one place, Zacks Premium - The only way to fully access the Zacks Rank. Its product portfolio includes trial, single-user, multi-user, business pro, enterprise pro, standards-based signatures, ehanko, DocuSign transaction rooms for real estate, DocuSign payments and enotary. A positive change in the cash flow is desired and shows that more 'cash' is coming in than 'cash' going out. Once again, cash flow is net income plus depreciation and other non-cash charges. It prompted DocuSign stock's exit at 53.54, a full point above the stop loss. In general, a lower number or multiple is usually considered better that a higher one. In this example, the one with the P/E of 40 is the better bargain because it is selling at a discount to its growth rate. DocuSign received 8 ratings in the last 30 days: 6 bullish, 0 bearish and 2 neutral. Conventional wisdom also has it that if the yield on the stock market (S&P 500 for example) is lower that the yield on the 10 Yr., then stocks would be considered overvalued. Zacks Ranks stocks can, and often do, change throughout the month. The Historical Cash Flow Growth is the longer-term (3-5 year annualized) growth rate of the cash flow change. It's used by investors as a measure of financial health. That means you want to buy stocks with a Zacks Rank #1 or #2, Strong Buy or Buy, which also has a Score of an A or a B in your personal trading style. Zacks Rank Education -- Learn more about the Zacks Rank A ratio under 40% is generally considered to be good.But note; this ratio can vary widely from industry to industry. A P/B of 0.5 means its selling at half its book value. This list of both classic and unconventional valuation items helps separate which stocks are overvalued, rightly lowly valued, and temporarily undervalued which are poised to move higher. Due in part to its meteoric rise since early last year, DocuSign's stock is by no means cheap. ZacksTrade does not endorse or adopt any particular investment strategy, any analyst opinion/rating/report or any approach to evaluating indiv idual securities. Its Value Score of F indicates it would be a bad pick for value investors. And like the P/E ratio, a lower number is typically considered 'better' than a higher number. A higher number means the more debt a company has compared to its capital structure. But, it's made even more meaningful when looking at the longer-term 4 week percent change. The tested combination of price performance, and earnings momentum (both actual and estimate revisions), creates a powerful timeliness indicator to help you identify stocks on the move so you know when to get in and when to get out. Since 1988 it has more than doubled the S&P 500 with an average gain of +24.41% per year. 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