Carnival

CCL 15.07
1.33 (9.7%)

Open: 14.55 High: 15.09 Low: 14.17

9 x 15.07 = 135.63
x $15.07 =

NYSE: CCL $14 Billion Large-Cap. S&P 500. Consumer Discretionary Sector. Gaming, Lodging & Restaurants Industry. 5 Year Return 72%. 1 Year Return 70%. 2020 YTD Return 72%. Negative 5 year, 1 year & YTD returns. 14.2% dividend yield. 129 total dividend payments. Since Earnings 3%. Compare & Contrast CCL vs NCLH vs RCL.

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52WL $7.80

The 52 Week Low is $7.80 set on Thu, Apr 2, 2020.

52WH $51.94

The 52 Week High is $51.94 set on Fri, Jan 17, 2020.

ATH $72.10

The All-Time High is $72.10 set on Mon, Jan 29, 2018.

52 Week Range

$7.80
$51.94
Apr 2, 2020
Jan 17, 2020

Earnings

-6.07

Earnings Per Share

12.24

Price To Earnings Ratio


Q1 Earnings for Jan, Feb & Mar

Fri, Apr 3, 2020

Since Q1 Earnings Report

CCL 89.1%


Q2 Earnings for Apr, May & Jun

Fri, Jul 10, 2020

Since Q2 Earnings Report

CCL 3.4%

Dividends

13.27

Dividend Yield

2.00

Dividend Rate

Thu, Feb 20, 2020

Ex-Dividend Date

Fri, Mar 13, 2020

Dividend Payment Date

Quarterly

Dividend Frequency

129

Dividend History

Profile

Carnival trades on the NYSE. CCL's market cap is 12.5 Billion.

Carnival is the largest global cruise company, with more than 100 ships on the seas at the end of 2019. Its portfolio of brands includes Carnival Cruise Lines, Holland America, Princess Cruises, and Seabourn in North America; P&O Cruises and Cunard Line in the United Kingdom; Aida in Germany; Costa Cruises in Southern Europe; and P&O Cruises in Australia. Carnival also owns Holland America Princess Alaska Tours in Alaska and the Canadian Yukon. Carnival's brands attracted about 13 million guests in 2019.

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