session close: 93.46session change: -0.50%
UPS on the exchangeMarket closedAlpacalast close 30 Sep
The close is The distance under the 52-week high: 23.7% under the 52-week high.
23.7% under the high
The 52-week high: 122.4112 Feb 2026Sources: Alpaca, Finnhub
The close: 93.46 USDThe session move: -0.50%
The Stock Token price: 93.96 USD
93.75 USD a share31.1 bps above the exchange
Sources: Alpaca, Robinhood
Growth is speeding up.
Sales grew faster in the latest quarter than 2 quarters before, and speeding growth tends to pull estimates up behind it.
Beat estimates in each of the last 4 quarters.
A steady run of beats keeps analysts raising their numbers, and rising estimates are what lift a price over time.
Source: Finnhub
Lagging the market and its own sector.
Over 3 months it trailed both SPY and XLI, its sector fund, and laggards tend to stay behind until something changes the story.
Below its 50-day and 200-day averages.
Trend followers stand aside under the 200-day average, so rallies meet less buying until the price gets back above it.
Next report Next report: 27 Oct 2026; the high is The distance to the 52-week high: 31.0% above the close.
Next report: 27 Oct 2026
before the openThe 52-week high: 122.41
31.0% above the closeSources: Alpaca, Finnhub, Robinhood, GeckoTerminal
Gross margin is narrowing.
Costs are growing faster than sales, which squeezes the earnings the price rests on.
Sources: Alpaca, Finnhub
The close is The distance under the 52-week high: 23.7% under the 52-week high.
Next report Next report: 27 Oct 2026; the high is The distance to the 52-week high: 31.0% above the close.
Growth is speeding up.
Sales grew faster in the latest quarter than 2 quarters before, and speeding growth tends to pull estimates up behind it.
Beat estimates in each of the last 4 quarters.
A steady run of beats keeps analysts raising their numbers, and rising estimates are what lift a price over time.
Source: Finnhub
Lagging the market and its own sector.
Over 3 months it trailed both SPY and XLI, its sector fund, and laggards tend to stay behind until something changes the story.
Below its 50-day and 200-day averages.
Trend followers stand aside under the 200-day average, so rallies meet less buying until the price gets back above it.
Gross margin is narrowing.
Costs are growing faster than sales, which squeezes the earnings the price rests on.
Sources: Alpaca, Finnhub