Gastar Exploration Inc. (GST)

GST (AMEX:Oil & Gas Production) EQUITY
pos +0.02
Today's Range: 0.67 - 0.72 | GST Avg Daily Volume: 1,039,100
Last Update: 04/26/18 - 4:00 PM EDT
Volume: 350,389
YTD Performance: -33.72%
Open: $0.69
Previous Close: $0.70
52 Week Range: $0.38 - $1.42
Oustanding Shares: 220,895,000
Market Cap: 153,720,840
6-Month Chart
TheStreet Ratings Grade for GST
Buy Hold Sell
A+ A A- B+ B B- C+ C C- D+ D D- E+ E E- F
TheStreet Ratings is the source for accurate ratings that you can rely upon to make sound, informed financial decisions. Click here to find out about our methodology.
Analysts Ratings
Historical Rec Current 1 Mo. Ago 2 Mo. Ago 3 Mo. Ago
Strong Buy 1 1 1 1
Moderate Buy 0 0 0 0
Hold 2 3 3 4
Moderate Sell 0 0 0 0
Strong Sell 0 0 0 0
Mean Rec. 2.33 2.50 2.50 2.60
Latest Dividend: 0.00
Latest Dividend Yield: 0.00%
Dividend Ex-Date: 12/31/69
Price Earnings Ratio: -2.25
Price Earnings Comparisons:
GST Sector Avg. S&P 500
-2.25 0.00 20.10
Price Performance History (%Change):
3 Mo 1 Yr 3 Y
-45.20% -47.57% -78.91%
Revenue 25.31 -0.50 -0.20
Net Income -66.67 -1.90 0.00
EPS -66.67 -1.50 0.00
Earnings for GST:
Revenue 0.08B
Average Earnings Estimates
Qtr (03/18) Qtr (06/18) FY (12/18) FY (12/19)
Average Estimate $-0.04 $-0.04 $-0.17 $-0.16
Number of Analysts 3 3 3 3
High Estimate $-0.02 $-0.03 $-0.12 $-0.12
Low Estimate $-0.06 $-0.06 $-0.23 $-0.22
Prior Year $-0.06 $-0.05 $-0.19 $-0.17
Growth Rate (Year over Year) 27.78% 13.33% 10.53% 5.88%
Chart Benchmark
Average Frequency Timeframe
Indicator Chart Scale  
Symbol Comparison Bollinger Bands
Purchase these stocks next week and have some extra spending money by Memorial Day.
Big oil is lagging the market even as the commodity continues to accelerate.
Ultimately the 2-10 spread is a measure of the expected pace of economic growth.
Still looking for market-beating ideas in the warmth of an overheated market.
They've come in much stronger than expected.
The energy company takes a hit after earnings, but there's still reason for optimism.
But I'll pass on the bigger oil patch.
This isn't just 'normal volatility.'
This portfolio is designed to produce a blended yield of 6% to 8%.
It's a great time to invest in smaller E&Ps, and these 3 will outperform the markets for the balance of 2017.

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