H.B. Fuller Company (NYSE:FUL) stock observed trading -49.12% off 52-week high price. On the other end, the stock has been noted 12.58% away from low price over the last 52-weeks. The stock disclosed a move of -32.97% away from 50 day moving average and -41.60% away from 200 day moving average. Moving closer, we can see that shares have been trading -10.85% off 20-day moving average. It has market cap of $1.45B and dividend yield of 2.40%.
On April 2, 2020, H.B. Fuller Company (NYSE:FUL) notified that its Board of Directors declared a regular quarterly cash dividend of $0.1625 per share of common stock. The dividend is payable on April 30, 2020 to shareholders of record at the close of business on April 16, 2020. This represents a 1.6% increase over the prior quarterly dividend and marks the 51st consecutive year in which the Company has increased its dividend.
‘s announcement that we are increasing our dividend for the 51st consecutive year demonstrates our confidence in the resiliency of our cash flows, said Jim Owens, president and chief executive officer. As a global leader in adhesives, H.B. Fuller plays an important role in the supply of essential hygiene, health, and consumer products in the fight against COVID-19, and we are using our vast global resources to meet increased demand for these products. Our operating plans also anticipate negative impacts of the pandemic in other areas of our business. Reduced working capital, the diversity of our products and end markets, and our operating agility are expected to drive continued strong cash flow performance in 2020. We have more than adequate liquidity, and the fundamentals of our business strategy remain solidly intact.
The USA based company H.B. Fuller Company moved with change of 2.85% to $26.66 with the total traded volume of 608629 shares in recent session versus to an average volume of 514.70K. The stock was observed in the 5 days activity at -5.99%. The one month performance of stock was -34.46%. FUL’s shares are at -48.21% for the quarter and driving a -45.94% return over the course of the past year and is now at -48.30% since this point in 2018. Right now the stock beta is 1.69. The average volatility for the week and month was at 6.55% and 9.85% respectively. There are 54.40M shares outstanding and 51.01M shares are floated in market.