Technical Indicators and Signals
The stochastic oscillator indicator is the important indicator to compare the security price over a certain period of time. The stochastic %K of AEGON N.V. (NYSE:AEG) for the period of 9-Day stands at 66.71% while the stochastic %D for the same period stands at 51.24%.
The 7-Day Average Directional Index ADX (also known as Trend Strength Indicator) of AEGON N.V. (NYSE:AEG) signals “Buy” while other important signals like the 20-Day Moving Average Vs. Price signals “Sell”.
Another important signal of trend and momentum of a security is 20-50 Day MACD Oscillator or Moving Average Convergence Divergence signals “Sell” for AEGON N.V. (NYSE:AEG) while 20-100 Day MACD Oscillator indicates “Buy”.
Bollinger band is a volatility indicator of a certain security, currently AEGON N.V. (NYSE:AEG)’s 20-Day Bollinger Band indicates “Hold”.
Aegon N.V. is an international insurance group which writes life and health insurance and offers related pension, savings and investment products in Europe, North America and the Caribbean. The Company’s other lines of business include property and casualty insurance and financial services.
Previous Day Activity Analysis
On the last trading day, AEGON N.V. (NYSE:AEG) opened the session at $5.72 and after going up 0.88% closed at $5.72. The stock gained 0 points in the last trade.
AEGON N.V. (NYSE:AEG)’s stock fluctuated in the range of $5.71 and $5.74 during the previous active session. AEGON N.V. (NYSE:AEG) traded with the volume of 1.85 Million with average volume of 2.69 Million. The stock has LOW volatility on the last trading session.
Currently the Beta for the company remains at 1.47 while ATR (Average True Range) and RSI (Relative Strength Index) are at 0.08 and 48.38 respectively.
Currently the Insider Ownership of the shares of AEGON N.V. (NYSE:AEG) is at 10.1% and the shares outstanding are 2.09 Billion.
Important Ratio Analysis
Some important ratios to consider here for AEGON N.V. (NYSE:AEG) are discussed below:
Dividend yield of AEGON N.V. (NYSE:AEG) stands at 5.42% whereas Price to Earnings P/E ratio stands at 6.18 while Forward P/E shows the value of 8.17.
The PEG ratio (Price to Earning to Growth) emits the value of 0.15. The Price to Sale P/S and Price to Book P/B shows the value of 0.18 and 0.41 respectively. While Price to Cash P/C and Price to Free Cash Flow P/FCF stands at 0.79 and 8.65 correspondingly.
The Quick Ratio of AEGON N.V. (NYSE:AEG) stands at 0 while the Current Ratio depicts the value of 0.
Return on Assets ROA of AEGON N.V. (NYSE:AEG) is at 0.4% whereas, Return on Equity ROE and Return of Investment ROI of AEGON N.V. (NYSE:AEG) stand at 6.5% and 1.1% respectively.
The payout ratio of AEGON N.V. (NYSE:AEG) stands at 33%.
Stock Performance Analysis
The stock performance of AEGON N.V. (NYSE:AEG) on the basis of 5 day trade show the jump of 3.62% whereas, the monthly performance of the stock shows increase of 0%.
The quarterly performance of the stock remained in green zone with the value of 5.34% while six month performance of the shares of AEGON N.V. (NYSE:AEG) remained bullish with the count of 16.73%.
The yearly and YTD performance of AEGON N.V. (NYSE:AEG) remained up at 42.29% and 3.44% respectively.