Rennova Health, Inc. (RNVA) declined of -4.88 percent in the last trading session

Rennova Health, Inc. (RNVA) has declined -4.88% and closed its last trading session at $0.37.

Insider Trading

Insider Trading is buying and selling of a security by a person who has access to material information related to a security that is not available to general public. It can be both illegal and legal. For instance, insider trading is illicit when the trader has special information, which is not available to other shareholders.

“CEO and President, 10% Owner

(Clickfor the stocks that their CEOs have bought) at Rennova Health, Inc., Lagan Seamus on 2016-07-14 Buy 363 shares of the company at a price of $11.4. Similarly, the company’s CFO Adams Jason on 2016-07-14 Buy 39 shares of the company at a price of $8.4.”

Now we will discuss the financial strength of Rennova Health, Inc.. The company’s average Piotroski F-Score: 2 during the last 7 years. Its mean Altman Z-Score: -30.79 during the last 7 years, while average Beneish M-Score: -36.02 during the last 7 years.

Revenue growth shows increase or decrease in sales over time. It is used to find out how fast a business is expanding. The average revenue per share growth rate of Rennova Health, Inc. during the past 12 months was -34.8 percent.

EBITDA margin is an indicator of a company’s operating profitability as a percentage of its overall revenue. It is equal to earnings before interest, tax, depreciation and amortization (EBITDA) divided by overall revenue. Rennova Health, Inc.’s average EBITDA per Share Growth Rate was 0 percent during the past 12 months.

The Relative Strength Index (RSI), developed by J. Welles Wilder, is a momentum oscillator that calculates the speed and change of price movements. The RSI oscillates between zero and 100. Relative Strength Index (RSI-14) for Rennova Health, Inc. (RNVA) is at 30.54.

The market capitalization of Rennova Health, Inc. is at $2.58 Million. The company has an Average True Range (ATR) value of 0.08, while a Beta Value of -0.57. The YTD performance of the stock stands at -85.14 Percent. The Weekly and Monthly Volatility of the stock are 20.57% percent and 26.60% percent, respectively.

The SMA20 for the stock is at -17.62 percent, SMA50 stands at -50.11 percent, while SMA200 is -87.07 Percent.