Keep Your Eyes on This Stock: MC Mining Limited (LON:MCM)


MC Mining Limited (LON:MCM) is Australia based company. Currently it has a market worth of GBX 84128600.298. Using market capitalization to show the size of a company is important because company size is a basic determinant of various characteristics in which investors are interested, including risk. Forward P/E is a measure of the price-to-earnings ratio using forecasted earnings for the P/E calculation for the next fiscal year. P/S ratio of 2.004277 reflects the value placed on sales by the market. P/B ratio is 42.183624. P/B is used to compare a stock’s market value to its book value.


MC Mining Limited (LON:MCM) has five years performance of -61.333333% and weekly performance of 4.163265%. The stock has been moved at 27.6% throughout last twelve months. The stock has performed 5.237113% around last thirty days, and changed 191.657143% over the last three months.

MC Mining Limited (LON:MCM) stock has performed 4.16% and changed GBX 2.04 while share value reached at GBX 51.04 in last trade transaction. At present, the stock 52 week high price sited at 59 and 52 week low situated at 16. 60900 shares traded on hands while it’s an average volume stands with 35306 shares. The current analyst consensus rating clocked at 1 on company shares. Analysts estimated that stock to reach value at GBX 1.16 price in one-year period.


Average true range percent (ATRP-14) measured at 5.12%. Volatility or average true range percent (ATRP 14) is the ATR expressed as a percentage of closing price. Average true range percent (ATRP) measures volatility on a relative level. This is opposed to the ATR, which measures volatility on an absolute level. ATRP allows securities to be compared whereas ATR does not. That means lower-priced stocks won’t necessarily have lower ATR values than higher-priced stocks. The Company’s beta coefficient sits at -0.44898. Beta factor measures the amount of market risk associated with market trade. Higher the beta discloses more riskiness and lower the beta lower the risk.

The company’s net profit margin is 0.00%. It measures how much out of every dollar of sales a company actually keeps in earnings. Gross Margin is observed at 16.37% and Operating Margin is seen at -285.86%. Return on Assets (ROA) an indicator of how profitable a company is relative to its total assets is -22.93%. Return on Equity (ROE) is -46.78%.


Now The company has RSI figure of 68.3. The Relative Strength Index (RSI) was developed by J. Welles Wilder, and it reading fluctuates between 0 and 100. The RSI is a momentum oscillator that measures the speed and change of stock price movements. Generally, the when RSI falls below 30 then stock considered to be oversold and overbought when it moves above 70. The normal reading of a stock will fall in the range of 30 to 70. RSI can be used to detect general trends as well as finding divergences and failure swings.

ADX value listed at 50.17. The values of ADX range from 0 to 100 and are also important for distinguishing between trends and non-trends. Many traders will use ADX readings above 25 to suggest that the trend’s strength is strong enough for trend trading strategies. Conversely, when ADX is below 25, many will avoid trend trading strategies.

Cory Savage

Cory Savage

Before joining Connecting Investor, Cory Savage worked as a freelance writer. He has more than 10 years’ experience in journalism and public relations. His experience in public relations includes press releases, promotional materials, and working with media outlets. He also has professional experience writing news, technology, and business stories. Cory leared CFA Level 2 from CFA Institute (USA). He has worked in diverse capacities from financial research to currency trading in a span of 3 years. Cory Savage covers Business news section. Email Contact:

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