CORECIVIC INC

NYSE:​CXW
 
     
 
     
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CXW Stock Chart

 

CXW

CXW Financials

Price History
Average Volume (10 day) ---
Beta - 1 Year ---
Price - 52 Week High ---
Price - 52 Week Low ---
Valuation
Enterprise Value/EBITDA, TTM ---
Enterprise Value, FQ ---
Market Cap - Basic ---
Number of Employees ---
Number of Shareholders ---
Price/Earnings, TTM ---
Price/Revenue, TTM ---
Price/Book Ratio, FY ---
Price/Sales Ratio, FY ---
Dividends
Dividends Paid, FY ---
Dividends per Share, FQ ---
Expected Annual Dividends ---
Dividends Yield ---
Margins
Net Margin, TTM ---
Gross Margin, TTM ---
Operating Margin, TTM ---
Pretax Margin, TTM ---
Balance Sheet
Cash Ratio, FY ---
Current Ratio, FQ ---
Debt to Equity, FQ ---
Net Debt, FQ ---
Quick Ratio, FQ ---
Total Assets, FQ ---
Total Debt, FQ ---
Income Statement
Basic EPS, Net Income ---
Earnings per Share, Basic, TTM ---
EBITDA, TTM ---
Gross Profit, FY ---
Last Annual EPS ---
Last Annual Revenue, FY ---
Net Income, FY ---
Total Revenue, FY ---
Free Cash Flow, TTM ---
Operating Metrics
Return on Assets, TTM ---
Return on Equity, TTM ---
Return on Invested Capital, TTM ---
Revenue per Employee, TTM ---

News

pegging44 pegging44 PRO CXW, M, Long ,
CXW: a
15 0 3
CXW, M Long
a

b

AntonioNaVi AntonioNaVi PRO CXW, D, Long ,
CXW: Survival breakout
46 0 3
CXW, D Long
Survival breakout

Long > 25.53 Stop - 25.24 Target - 27

the_get_man the_get_man PRO CXW, D, Long ,
CXW: Bullish Flag + Engulfing Candle
22 0 4
CXW, D Long
Bullish Flag + Engulfing Candle

a doji at the bottom of a flag pattern engulfed by a bullish candle. I will trade the top of the engulfing candle with a stop below it. Trigger: 23.85 Stop: 23.07 Target: 25.43 Plan: Allow 2 days to trigger. move stop up after two opens/closes above the 10ema. take all at target.

ChanonChai ChanonChai CXW, D, Long ,
CXW: CXW
51 0 3
CXW, D Long
CXW

CXW double bottom, break h-line bullish

RLopez RLopez CXW, D, Long ,
CXW: long term Investment? Double bottom
25 0 2
CXW, D Long
long term Investment? Double bottom

Financials OK, over 36 weeks decline, good dividend with no cuts, earnings OK with consistent estimate beats. I see a double bottom with a good risk reward ratio for a long term investment unless it breaks below $24.00 or cuts its dividends. 41% decline since March 2015. This is a REIT

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