Procter & Gamble Co Relación de reducción

¿Qué es el Relación de reducción de Procter & Gamble Co?

El Relación de reducción de Procter & Gamble Co. es 1.81

¿Cuál es la definición de Relación de reducción?



El ratio corto es el número de acciones vendidas en corto dividido por el volumen promedio diario.

Short ratio is calculated by dividing the number of shares sold short by the average daily trading volume, generally over the last 30 trading days. The ratio represents the number of days it takes short sellers on average to repurchase all the borrowed shares. The ratio is used by both fundamental and technical traders to identify trends.

The percentage represents the number of days it takes short sellers on average to repurchase all the borrowed shares. Short selling is the practice of selling securities or other financial instruments that are not currently owned, and subsequently repurchasing them. In the event of an interim price decline, the short seller profits, since the cost of (re)purchase is less than the proceeds received upon the initial (short) sale. Conversely, the short position closes out at a loss if the price of a shorted instrument rises prior to repurchase. A high short ratio can be an indicator that there will be some buying pressure on the security that would increase its price.

Relación de reducción de compañías en Sector Consumer Staples en NYSE en comparadas con Procter & Gamble Co

¿Qué hace Procter & Gamble Co?

The Procter & Gamble Company is an American multinational consumer goods corporation headquartered in Cincinnati, Ohio, founded in 1837 by William Procter and James Gamble.

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