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ENV
Stock ticker: NYSE
AS OF
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Capitalization
2.31B

ENV ENVESTNET Forecast, Technical & Fundamental Analysis

a provider of wealth management software and services to financial advisors and institutions

Technical Analysis# Of IndicatorsAvg. Odds
   
   
Show details...
A.I.Advisor
a Summary for ENV with price predictions
08:00 PM EDT Oct 02, 2023

ENV in -6.56% downward trend, declining for three consecutive days on October 03, 2023

Moving lower for three straight days is viewed as a bearish sign. Keep an eye on this stock for future declines. Considering data from situations where ENV declined for three days, in of 301 cases, the price declined further within the following month. The odds of a continued downward trend are .

Price Prediction Chart

Technical Analysis (Indicators)

Bearish Trend Analysis

The Momentum Indicator moved below the 0 level on September 07, 2023. You may want to consider selling the stock, shorting the stock, or exploring put options on ENV as a result. In of 81 cases where the Momentum Indicator fell below 0, the stock fell further within the subsequent month. The odds of a continued downward trend are .

The Moving Average Convergence Divergence Histogram (MACD) for ENV turned negative on September 08, 2023. This could be a sign that the stock is set to turn lower in the coming weeks. Traders may want to sell the stock or buy put options. Tickeron's A.I.dvisor looked at 38 similar instances when the indicator turned negative. In of the 38 cases the stock turned lower in the days that followed. This puts the odds of success at .

The Aroon Indicator for ENV entered a downward trend on October 03, 2023. This could indicate a strong downward move is ahead for the stock. Traders may want to consider selling the stock or buying put options.

Bullish Trend Analysis

The RSI Indicator shows that the ticker has stayed in the oversold zone for 10 days. The price of this ticker is presumed to bounce back soon, since the longer the ticker stays in the oversold zone, the more promptly an Uptrend is expected.

The Stochastic Oscillator shows that the ticker has stayed in the oversold zone for 18 days. The price of this ticker is presumed to bounce back soon, since the longer the ticker stays in the oversold zone, the more promptly an upward trend is expected.

Following a 3-day Advance, the price is estimated to grow further. Considering data from situations where ENV advanced for three days, in of 302 cases, the price rose further within the following month. The odds of a continued upward trend are .

ENV may jump back above the lower band and head toward the middle band. Traders may consider buying the stock or exploring call options.

Fundamental Analysis (Ratings)

Fear & Greed

The Tickeron PE Growth Rating for this company is (best 1 - 100 worst), pointing to outstanding earnings growth. The PE Growth rating is based on a comparative analysis of stock PE ratio increase over the last 12 months compared against S&P 500 index constituents.

The Tickeron Seasonality Score of (best 1 - 100 worst) indicates that the company is fair valued in the industry. The Tickeron Seasonality score describes the variance of predictable price changes around the same period every calendar year. These changes can be tied to a specific month, quarter, holiday or vacation period, as well as a meteorological or growing season.

The Tickeron Valuation Rating of (best 1 - 100 worst) indicates that the company is slightly overvalued in the industry. This rating compares market capitalization estimated by our proprietary formula with the current market capitalization. This rating is based on the following metrics, as compared to industry averages: P/B Ratio (3.204) is normal, around the industry mean (19.804). P/E Ratio (285.714) is within average values for comparable stocks, (153.058). Projected Growth (PEG Ratio) (1.119) is also within normal values, averaging (2.596). Dividend Yield (0.000) settles around the average of (0.087) among similar stocks. P/S Ratio (1.979) is also within normal values, averaging (74.161).

The Tickeron Price Growth Rating for this company is (best 1 - 100 worst), indicating slightly worse than average price growth. ENV’s price grows at a lower rate over the last 12 months as compared to S&P 500 index constituents.

The Tickeron SMR rating for this company is (best 1 - 100 worst), indicating weak sales and an unprofitable business model. SMR (Sales, Margin, Return on Equity) rating is based on comparative analysis of weighted Sales, Income Margin and Return on Equity values compared against S&P 500 index constituents. The weighted SMR value is a proprietary formula developed by Tickeron and represents an overall profitability measure for a stock.

The Tickeron Profit vs. Risk Rating rating for this company is (best 1 - 100 worst), indicating that the returns do not compensate for the risks. ENV’s unstable profits reported over time resulted in significant Drawdowns within these last five years. A stable profit reduces stock drawdown and volatility. The average Profit vs. Risk Rating rating for the industry is 90, placing this stock worse than average.

A.I.Advisor
published Highlights

Notable companies

The most notable companies in this group are Microsoft Corp (NASDAQ:MSFT), Oracle Corp (NYSE:ORCL), Adobe (NASDAQ:ADBE), Salesforce (NYSE:CRM), Intuit (NASDAQ:INTU), SERVICENOW (NYSE:NOW), Uber Technologies (NYSE:UBER), Activision Blizzard (NASDAQ:ATVI), Palo Alto Networks (NASDAQ:PANW), VMware (NYSE:VMW).

Industry description

Packaged software comprises multiple software programs bundled together and sold as a group. For example, Microsoft Office includes multiple applications such as Excel, Word, and PowerPoint. In some cases, buying a bundled product is cheaper than purchasing each item individually[s20] . Microsoft Corporation, Oracle Corp. and Adobe are some major American packaged software makers.

Market Cap

The average market capitalization across the Packaged Software Industry is 8.09B. The market cap for tickers in the group ranges from 291 to 2.33T. MSFT holds the highest valuation in this group at 2.33T. The lowest valued company is BLGI at 291.

High and low price notable news

The average weekly price growth across all stocks in the Packaged Software Industry was -1%. For the same Industry, the average monthly price growth was -8%, and the average quarterly price growth was 2%. ONEI experienced the highest price growth at 122%, while AJIA experienced the biggest fall at -75%.

Volume

The average weekly volume growth across all stocks in the Packaged Software Industry was 22%. For the same stocks of the Industry, the average monthly volume growth was 13% and the average quarterly volume growth was 34%

Fundamental Analysis Ratings

The average fundamental analysis ratings, where 1 is best and 100 is worst, are as follows

Valuation Rating: 52
P/E Growth Rating: 73
Price Growth Rating: 64
SMR Rating: 83
Profit Risk Rating: 89
Seasonality Score: 3 (-100 ... +100)
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Technical Analysis# Of IndicatorsAvg. Odds
   
   
Show details...
A.I. Advisor
published Earnings

ENV is expected to report earnings to rise 16.98% to 53 cents per share on November 09

ENVESTNET ENV Stock Earnings Reports
Q3'23
Est.
$0.54
Q2'23
Missed
by $0.01
Q1'23
Beat
by $0.02
Q4'22
Beat
by $0.01
Q3'22
Beat
by $0.01
The last earnings report on August 03 showed earnings per share of 46 cents, missing the estimate of 46 cents. With 486.88K shares outstanding, the current market capitalization sits at 2.31B.
A.I.Advisor
published Dividends

ENV paid dividends on September 20, 2011

ENVESTNET ENV Stock Dividends
А dividend of $3.12 per share was paid with a record date of September 20, 2011, and an ex-dividend date of September 16, 2011. Read more...
A.I. Advisor
published General Information

General Information

a provider of wealth management software and services to financial advisors and institutions

Industry PackagedSoftware

Profile
Fundamentals
Details
Industry
Financial Publishing Or Services
Address
1000 Chesterbrook Boulevard
Phone
+1 312 827-2800
Employees
3429
Web
https://www.envestnet.com
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ENV and

Correlation & Price change

A.I.dvisor indicates that over the last year, ENV has been loosely correlated with SSNC. These tickers have moved in lockstep 58% of the time. This A.I.-generated data suggests there is some statistical probability that if ENV jumps, then SSNC could also see price increases.

1D
1W
1M
1Q
6M
1Y
5Y
Ticker /
NAME
Correlation
To ENV
1D Price
Change %
ENV100%
-3.09%
SSNC - ENV
58%
Loosely correlated
-0.98%
SQ - ENV
54%
Loosely correlated
-2.99%
FICO - ENV
54%
Loosely correlated
-3.13%
FFIV - ENV
53%
Loosely correlated
-1.51%
RPAY - ENV
53%
Loosely correlated
-9.14%
More

Groups containing ENV

Correlation & Price change

1D
1W
1M
1Q
6M
1Y
5Y
Ticker /
NAME
Correlation
To ENV
1D Price
Change %
ENV100%
-3.09%
financial
(undefined stocks)
63%
Loosely correlated
-1.94%
wealth management
(undefined stocks)
62%
Loosely correlated
-2.59%
finance
(undefined stocks)
53%
Loosely correlated
-3.42%