One of the S&P 500’s big losers for Tuesday February 02 was McGraw Hill Financial Inc. (MHFI). The company’s stock fell 2.97% to $81.64 on volume of 742,335 shares.
The stock opened the day at 82.71 and traded between a low of $81.40 and a high of $83.23. The stock finished the day down $2.5 per share. McGraw Hill Financial Inc. has an average daily volume of 1.31 million and a total float of 270.3 million shares. The 50-day SMA for McGraw Hill Financial Inc. is $92.45 and its 200-day SMA is $97.18. The high for the stock over the last 52 weeks is $109.13 and the low is $79.64.
McGraw Hill Financial Inc is a benchmarks & ratings, analytics, data and research provider serving the capital, commodities and commercial markets.
McGraw Hill Financial Inc. is centered in New York, NY, and has 17,000 employees. Today’s trading day leaves the company with a market cap of $22.07 billion. The company has a P/S ratio of n/a, P/B ratio of 33.6, and a -7.2.
For a complete fundamental analysis analysis of McGraw Hill Financial Inc., check out Equities.com’s Stock Valuation Analysis report for MHFI. To see the latest independent stock recommendations from Equities.com’s analysts, visit our Research section.
The S&P 500 represents the industry standard for large-cap indices. While the Dow Jones Industrial Average (DJIA) may be the most visible stock market index in the country, the S&P 500 has long been relied on by industry insiders and fund managers as the more reliable gauge of portfolio performance.
While the DJIA is price-weighted and only includes 30 stocks, the S&P 500 uses a weighting system that factors in market cap and the size of a company’s free float while including some 500 stocks for a more comprehensive look at the broader markets’ performance. Its performance is far more representative of the large- and mega-cap stocks for any period of time.
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All data provided by QuoteMedia and was accurate as of 4:30PM ET.
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