|Day's Range||281.00 - 343.00|
|52 Week Range||281.00 - 1,280.00|
|PE Ratio (TTM)||N/A|
|Dividend & Yield||N/A (N/A)|
|1y Target Est||N/A|
Calumet Specialty Products Partners’ implied volatility was 55.1% on May 4, 2017—about 5.5% more than its 15-day average.
From April 3, 2017, to April 11, 2017, BP (BP) stock rose by 2.8%—the steepest rise among peers ExxonMobil (XOM), Chevron (CVX), and Royal Dutch Shell (RDS.A).
The average forward EV-to-EBITDA multiple and average PE multiple of integrated energy stocks are 6.6x and 17.6x, respectively.