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Earnings Calendar

There are 15 symbols in this channel.

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1 of 15

British American Tobacco Industries
BTI
36.05 0.07 (0.2%)

Market Cap: 82.7 Billion

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NYSE: BTI $80 Billion Large-Cap. Consumer Staples Sector. Tobacco Industry. 5 Year Return 35%. 1 Year Return 0%. 2020 YTD Return 18%. Negative 5 year, 1 year & YTD returns. 7.7% dividend yield. 86 total dividend payments. Since Earnings 0%.

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2 of 15

Toronto Dominion Bank
TD
45.81 0.21 (0.5%)

Market Cap: 82.6 Billion

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NYSE: TD $82 Billion Large-Cap. Financials Sector. Banking Industry. 5 Year Return 18%. 1 Year Return 21%. 2020 YTD Return 20%. 7.0% dividend yield. 126 total dividend payments. Current Ex-Date in 14 days on Thu, Oct 8. Thu, Oct 8. Since Earnings 0%.

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3 of 15

VMware
VMW
141.65 1.27 (0.9%)

Market Cap: 59.5 Billion

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NYSE: VMW $59 Billion Large-Cap. Technology Sector. Software Industry. 5 Year Return 76%. 1 Year Return 5%. 2020 YTD Return 11%. Since Earnings 0%.

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4 of 15

PagSeguro Digital Ltd
PAGS
37.30 0.93 (2.6%)

Market Cap: 12.2 Billion

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NYSE: PAGS $12 Billion Large-Cap. Technology Sector. Software Industry. 5 Year Return 24%. 1 Year Return 20%. 2020 YTD Return 3%. Since Earnings 20%.

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5 of 15

WPP plc American Depositary Shares
WPP
37.77 0.72 (1.9%)

Market Cap: 9.3 Billion

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NYSE: WPP $9 Billion Mid-Cap. Consumer Discretionary Sector. Advertising & Marketing Services Industry. 5 Year Return 436%. 1 Year Return 41%. 2020 YTD Return 49%. 3.7% dividend yield. 63 total dividend payments. Paid Biannually. Current Ex-Date in 14 days on Thu, Oct 8. Thu, Oct 8. Since Earnings 12%.

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6 of 15

EQM Midstream Partners LP
EQM
21.43 0.00 (0.0%)

Market Cap: 4.3 Billion

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NYSE: EQM $4 Billion Mid-Cap. Energy Sector. Oil, Gas & Coal Industry. 5 Year Return 68%. 1 Year Return 31%. 2020 YTD Return 28%. Negative 5 year, 1 year & YTD returns. 7.2% dividend yield. 31 total dividend payments. Since Earnings 27%.

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7 of 15

The Stars Group Inc. - Common Stock
TSG
27.31 1.80 (6.2%)

Market Cap: 4.0 Billion

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NASDAQ: TSG $4 Billion Mid-Cap. Consumer Discretionary Sector. Travel & Leisure Industry. 5 Year Return 49%. 1 Year Return 82%. 2020 YTD Return 3%. Since Earnings 13%.

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8 of 15

Ra Pharmaceuticals Inc
RARX
48.00 0.01 (0.0%)

Market Cap: 2.3 Billion

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NASDAQ: RARX $2 Billion Mid-Cap. Health Care Sector. Biotech & Pharma Industry. 5 Year Return 269%. 1 Year Return 96%. 2020 YTD Return 2%. Since Earnings 3%.

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9 of 15

Big Lots Inc
BIG
46.53 0.86 (1.9%)

Market Cap: 1.8 Billion

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NYSE: BIG $2 Million Small-Cap. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 7%. 1 Year Return 85%. 2020 YTD Return 60%. 2.7% dividend yield. 27 total dividend payments. Since Earnings 21%.

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10 of 15

Whiting Petroleum Corp
WLL
17.79 0.17 (1.0%)

Market Cap: 1.6 Billion

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NYSE: WLL $2 Million Small-Cap. Energy Sector. Oil, Gas & Coal Industry. 5 Year Return 74%. 1 Year Return 94%. 2020 YTD Return 137%. Since Earnings 1,441%.

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Symbol Price Day $Δ Day %Δ Market Cap Dividend Rate YTD %Δ 1Y %Δ 5Y %Δ
Symbol Price Day $Δ Day %Δ Market Cap Dividend Rate YTD %Δ 1Y %Δ 5Y %Δ

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Ex-Dates 1

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Symbol Ex-Date Industry
BIG 2020-09-10 Thu, Sep 10, 2020 Retail Consumer Staples
Symbol Ex-Date Industry

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