- A moving average of Short volume ratio is at a recent 2 week high. A high short volume ratio indicate selling presures.
Short Volume Ratio = Short Volume / All Volume. Source of Short Volume data comes fromFinra
Moving Average Convergence/Divergence oscillator (MACD) is one of the simplest and most effective momentum indicators available.
Relative Strength Index (RSI) is a momentum oscillator that measures the speed and change of price movements. RSI oscillates between zero and 100. According to Wilder, RSI is considered overbought when above 70 and oversold when below 30.
Union Pacific Railroad's fourth quarter results could offer investors information about sectors and stocks that are on the rise.
Norfolk Southern's (NSC) Q4 results might reflect softness in volumes due to coronavirus-induced freight slowdown. However, reduced costs are expected to have aided the bottom line.
In this article we are going to estimate the intrinsic value of Norfolk Southern Corporation ( NYSE:NSC ) by taking the...
The Zacks Analyst Blog Highlights: Union Pacific, Norfolk Southern, CSX, Canadian Pacific Railway, Canadian National Railway and Kansas City Southern
Norfolk Southern Corporation (NYSE: NSC) will announce its fourth-quarter financial results during a conference call and live internet webcast at 8:45 a.m. EST on Wednesday, Jan. 27, 2021. Quarterly earnings results will be released after 8 a.m. EST, and a press release will be posted at www.norfolksouthern.com under the Investors section.
If you want to know who really controls Norfolk Southern Corporation ( NYSE:NSC ), then you'll have to look at the...
Moody's Investors Service ("Moody's") affirmed the debt ratings of Norfolk Southern Corporation, including the Baa1 senior unsecured rating, and the A3 senior unsecured rating of Norfolk Southern Railway Company, the principal railroad operating subsidiary. The ratings outlook is stable. The affirmation of the ratings considers Norfolk Southern's strong rail business with expectations for very high margins, robust cash flows and moderate financial leverage given the company's risk profile.