Colony Capital Inc (NYSE:CLNY) traded with a cut of -0.08 points or -0.44% at $17.11 per share. As per the last available information, the stock aggregated $4.82 million in upticks and $2.57 million in downticks, keeping the net money flow capped at $2.25 million. The up/down ratio was found to be 1.88. For the week, the shares have seen a change of 0.32% in the share price.A block trade of $2.72 million in upticks and $0.85 million in downticks also took place during the day. The up/down ratio for the block stood at 3.2. The net money flow for this transaction was $1.87 million.
The stock has recorded a 20-day Moving Average of 5.26% and the 50-Day Moving Average is 4.86%. The company shares have dropped 29.33% in the past 52 Weeks. On June 23, 2015 The shares registered one year high of $24.69 and one year low was seen on February 11, 2016 at $15. The 50-day moving average is $17.85 and the 200 day moving average is recorded at $17.53. S&P 500 has rallied 1.93% during the last 52-weeks.
Colony Capital Inc (NYSE:CLNY): The stock opened at $17.19 on Tuesday but the bulls could not build on the opening and the stock topped out at $17.30 for the day. The stock traded down to $16.80 during the day, due to lack of any buying support eventually closed down at $16.84 with a loss of -1.98% for the day. The stock had closed at $17.18 on the previous day. The total traded volume was 3,211,400 shares.
Currently the company Insiders own 17.69% of Colony Capital Inc shares according to the proxy statements. Institutional Investors own 94.42% of Colony Capital Inc shares. On the companys insider trading activities, According to the information disclosed by the Securities and Exchange Commission in a Form 4 filing, the CEO of Colony Capital, Inc., Saltzman Richard B, had purchased 75,000 shares in a transaction dated on March 7, 2016. The transaction was executed at $16.5 per share with total amount equaling $1,237,500.
Colony Capital, Inc., formerly Colony Financial, Inc., is a diversified commercial real estate and investment management company that owns a portfolio of real estate equity and debt investments at risk-adjusted returns. The Company operates in four segments: real estate debt investments, which include originated and acquired commercial real estate debt, mortgage-backed securities, and other debt-related investments; a portfolio of light industrial real estate assets and associated operating platform acquired from Cobalt Capital Partners, L.P. and its affiliates; single-family residential rentals through its investment in CAH OP, and other real estate equity investments, which include real estate acquired in settlement of loans or from acquisition of operating properties, common equity in real estate or related companies, and certain preferred equity investments with profit participation meeting certain risk or return profiles.