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Wed, Oct 16 8:16pm

0 High PE

The Price To Earnings Ratio is significantly HIGHER than the average of the S&P 500. Investors who are bullish believe a high p/e is justified and the stock price will continue to increase. Bearish investors believe a high p/e ratio isn't sustainable especially in the event of bad news or a market downturn.

Noteworthy events last week, this week and next week.

Sun, Oct 13 - Sat, Oct 19

The pessimist sees difficulty in every opportunity. The optimist sees opportunity in every difficulty.
Winston Churchill

All Time Highs 52 Week Highs 52 Week Lows Earnings Annoucements

Sun, Oct 20 - Sat, Oct 26

The best way to predict the future is to create it.
Abraham Lincoln

Earnings Annoucements
1387


BRK.B $209.29 0.09 (0.04%)
Berkshire Hathaway Class B BHHSRealEstate
NYSE: BRK.B $517 Billion Large-Cap. S&P 500. Insurance industry. 5 Year Return 53%. 1 Year Return 1%. 2019 YTD Return 3%. Earnings in 15 days on Fri, Nov 1. (Use the Earnings tab below to add this date to your calendar.)

BRK.B Profile

Market Cap 517 Billion
BRK.B Description

Berkshire Hathaway is a holding company with a wide array of subsidiaries engaged in diverse activities. The firm's core business segment is insurance, run primarily through Geico, Berkshire Hathaway Reinsurance Group and Berkshire Hathaway Primary Group. Berkshire has used the excess cash thrown off from these and its other operations over the years to acquire Burlington Northern Santa Fe (railroad), Berkshire Hathaway Energy (utilities and energy distributors), and the firms that make up its manufacturing, service, and retailing operations (which include five of Berkshire's largest noninsurance pretax earnings generators: Precision Castparts, Lubrizol, Clayton Homes, Marmon and IMC/ISCAR). The conglomerate is unique in that it is run on a completely decentralized basis.


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BRK.B Earnings

EPS 5.74 P/E Ratio 124.90
Previous Sat, Aug 3, 2019
Latest Fri, Nov 1, 2019 (In 16 days)

BRK.B Dividend

Yield --
Ex-Date --
Pay Date --
History --

BRK.B Charts

All Time High $224.07 set on Wed, Oct 10, 2018.
$210.12
1 Year
$223.59
Dec 4, 2018
Dec 3, 2018


CSCO $46.79 0.43 (0.93%)
Cisco Systems Cisco
NASDAQ: CSCO $212 Billion Large-Cap. Dow Industrial. Nasdaq 100. S&P 500. Hardware industry. 5 Year Return 101%. 1 Year Return 2%. 2019 YTD Return 9%. 3.0% dividend yield. 35 total dividend payments. Dogs Of The Dow. Earnings in 27 days on Wed, Nov 13. (Use the Earnings tab below to add this date to your calendar.) "Possible" Death Cross (bearish) chart pattern.

CSCO Profile

Market Cap 212 Billion
CSCO Description

Cisco Systems Inc is the world's largest hardware and software supplier within the networking solutions sector. The infrastructure platforms group includes hardware and software products for switching, routing, data center, and wireless applications. Its applications portfolio contains collaboration, analytics, and Internet of Things products. The security segment contains Cisco's firewall and software-defined security products. Services are Cisco's technical support and advanced services offerings. The company's wide array of hardware is complemented with solutions for software-defined networking, analytics, and intent-based networking. In collaboration with Cisco's initiative on growing software and services, its revenue model is focused on increasing subscriptions and recurring sales.


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CSCO Earnings

EPS 0.52 P/E Ratio 153.13
Previous Wed, Aug 14, 2019
Latest Wed, Nov 13, 2019 (In 28 days)

CSCO Dividend

Yield 2.99% / $1.40
Ex-Date Thu, Oct 3, 2019 (13 days ago)
Pay Date Wed, Oct 23, 2019
History 35 Payments (Quarterly)

CSCO Charts

$40.25
1 Year
$58.26
Dec 24, 2018
Jul 16, 2019


CRM $146.97 5.77 (3.78%)
salesforce.com salesforce
NYSE: CRM $135 Billion Large-Cap. S&P 500. Software industry. 5 Year Return 164%. 1 Year Return 0%. 2019 YTD Return 8%. Compare CRM vs ORCL.

CRM Profile

Market Cap 135 Billion
CRM Description

Salesforce.com provides enterprise cloud computing solutions, including Sales Cloud, the company's main customer relationship management software-as-a-service product. Salesforce.com also offers Service Cloud for customer support, Marketing Cloud for digital marketing campaigns, Commerce Cloud as an e-commerce engine, the Salesforce Platform, which allows enterprises to build applications, and other solutions, such as MuleSoft for data integration.


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CRM Earnings

EPS 0.12 P/E Ratio 151.76
Previous Thu, Aug 22, 2019
Latest Tue, Nov 26, 2019 (In 41 days)

CRM Dividend

Yield --
Ex-Date --
Pay Date --
History --

CRM Charts

$113.60
1 Year
$167.56
Nov 20, 2018
Apr 29, 2019


CCI $134.69 0.04 (0.03%)
Crown Castle International
NYSE: CCI $57 Billion Large-Cap. S&P 500. Real Estate industry. 5 Year Return 67%. 1 Year Return 26%. 2019 YTD Return 27%. This is Uptrending. A good sign. 3.3% dividend yield. 23 total dividend payments. Earnings Today.

CCI Profile

Market Cap 57 Billion
CCI Description

Crown Castle owns and leases roughly 40,000 cell towers in the United States. It also owns more than 65,000 route miles of fiber. It leases space on its towers to wireless service providers, who install equipment on the towers to support their wireless networks. The company's fiber is primarily leased by wireless service providers to set up small cell network infrastructure and by enterprises for their internal connection needs. Crown Castle's towers and fiber are predominantly located in the largest U.S. cities. The company has a very concentrated customer base, with more than 70% of its revenue coming from the big four U.S. mobile carriers. Crown Castle operates as a real estate investment trust (REIT).


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CCI Earnings

EPS 0.52 P/E Ratio 108.54
Previous Wed, Jul 17, 2019
Latest Wed, Oct 16, 2019 Today

CCI Dividend

Yield 3.34% / $4.50
Ex-Date Thu, Sep 12, 2019 (34 days ago)
Pay Date Mon, Sep 30, 2019
History 23 Payments (Quarterly)

CCI Charts

$103.21
1 Year
$149.47
Dec 26, 2018
Sep 4, 2019


AIG $54.34 0.34 (0.62%)
American International Group
NYSE: AIG $49 Billion Large-Cap. S&P 500. Insurance industry. 5 Year Return 7%. 1 Year Return 10%. 2019 YTD Return 37%. 2.4% dividend yield. 117 total dividend payments. Earnings in 13 days on Wed, Oct 30. (Use the Earnings tab below to add this date to your calendar.)

AIG Profile

Market Cap 49 Billion
AIG Description

American International Group is one of the largest insurance and financial services firms in the world and has a global footprint. It operates through a wide range of subsidiaries that provide property, casualty, and life insurance. Its revenue is split roughly evenly between commercial and consumer lines.


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AIG Earnings

EPS 1.26 P/E Ratio 1145.00
Previous Wed, Aug 7, 2019
Latest Wed, Oct 30, 2019 (In 14 days)

AIG Dividend

Yield 2.36% / $1.28
Ex-Date Mon, Sep 16, 2019 (30 days ago)
Pay Date Mon, Sep 30, 2019
History 117 Payments (Quarterly)

AIG Charts

$36.16
1 Year
$58.66
Dec 10, 2018
Sep 19, 2019


TRI $66.25 0.06 (0.09%)
Thomson Reuters
NYSE: TRI $34 Billion Large-Cap. Brokers & Exchanges industry. 5 Year Return 70%. 1 Year Return 28%. 2019 YTD Return 39%. 2.2% dividend yield. 122 total dividend payments. Earnings in 14 days on Thu, Oct 31. (Use the Earnings tab below to add this date to your calendar.)

TRI Profile

Market Cap 34 Billion
TRI Description

Thomson Reuters is the result of the $17.6 billion megamerger of Canada's Thomson and the United Kingdom's Reuters Group in 2008 and the 2018 carve-out of its finance and risk business, Refinitiv, in which it holds a 45% stake. Since the divestiture, the company is more concentrated on selling its flagship legal data and software, WestLaw, and its tax accounting software, OneSource. In addition, the company does hold a significant investment in the publicly traded Tradeweb, which operates a fixed income exchange.


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TRI Earnings

EPS 0.38 P/E Ratio 221.93
Previous Thu, Aug 1, 2019
Latest Thu, Oct 31, 2019 (In 15 days)

TRI Dividend

Yield 2.17% / $1.44
Ex-Date Wed, Aug 21, 2019 (56 days ago)
Pay Date Mon, Sep 16, 2019
History 122 Payments (Quarterly)

TRI Charts

All Time High $71.28 set on Fri, Sep 6, 2019.
$46.45
1 Year
$71.28
Dec 26, 2018
Sep 6, 2019


IQV $144.83 1.73 (1.18%)
IQVIA Holdings
NYSE: IQV $30 Billion Large-Cap. S&P 500. Health Care Facilities & Services industry. 5 Year Return 39%. 1 Year Return 12%. 2019 YTD Return 27%. Earnings in 11 days on Mon, Oct 28. (Use the Earnings tab below to add this date to your calendar.)

IQV Profile

Market Cap 30 Billion
IQV Description

IQVIA is the result of the 2016 merger of Quintiles, a leading global contract research organization, and IMS Health, a leading healthcare data and analytics provider. The CRO segment focuses primarily on providing outsourced late-stage clinical trials for pharmaceutical, device, and diagnostic firms. The legacy IMS business provides aggregated information and technology services to clients in the healthcare industry, including pharmaceutical companies, providers, payers, and policymakers.


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IQV Earnings

EPS 0.31 P/E Ratio 107.27
Previous Wed, Jul 24, 2019
Latest Mon, Oct 28, 2019 (In 12 days)

IQV Dividend

Yield --
Ex-Date --
Pay Date --
History --

IQV Charts

$104.90
1 Year
$164.13
Dec 24, 2018
Jul 1, 2019


ALXN $99.51 5.30 (5.06%)
Alexion Pharmaceuticals
NASDAQ: ALXN $25 Billion Large-Cap. Nasdaq 100. S&P 500. Biotech & Pharma industry. 5 Year Return 40%. 1 Year Return 23%. 2019 YTD Return 1%. Earnings in 6 days on Wed, Oct 23. (Use the Earnings tab below to add this date to your calendar.)

ALXN Profile

Market Cap 25 Billion
ALXN Description

Alexion Pharmaceuticals specializes in developing and marketing drugs for rare, life-threatening medical conditions. Its blockbuster product, Soliris, is approved for paroxysmal nocturnal hemoglobinuria, atypical hemolytic uremic syndrome, and generalized myasthenia gravis. Next-generation Ultomiris was recently approved in paroxysmal nocturnal hemoglobinuria. Strensiq and Kanuma target other ultrarare metabolic diseases. Alexion's pipeline targets rare diseases with high unmet need and complement-mediated disorders.


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ALXN Earnings

EPS 2.05 P/E Ratio 392.83
Previous Wed, Jul 24, 2019
Latest Wed, Oct 23, 2019 (In 7 days)

ALXN Dividend

Yield --
Ex-Date --
Pay Date --
History --

ALXN Charts

52 Week Low $92.56 set on Mon, Dec 24, 2018
$92.56
1 Year
$141.86
Dec 24, 2018
Apr 10, 2019


SNPS $138.74 1.92 (1.36%)
Synopsys
NASDAQ: SNPS $21 Billion Large-Cap. Nasdaq 100. S&P 500. Software industry. 5 Year Return 267%. 1 Year Return 55%. 2019 YTD Return 65%.

SNPS Profile

Market Cap 21 Billion
SNPS Description

Synopsys was founded in December 1986 (was called Optimal Solutions until 1987) and is a market leader in electronic design automation, or EDA, software. EDA is used to automate the design and verification of integrated circuits or larger chip systems. The firm provides an end-to-end workflow of EDA products. In addition, the firm offers a broad set of design IP and leading software integrity tools that help customers develop secure, quality code. Historically, the firm's tools have been relied upon by semiconductor firms, but there has been a shift toward other non-traditional "systems" users (non-semiconductor firms interested in chip design) given the development of the Internet of Things, artificial intelligence, autonomous vehicles, and cloud computing.


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SNPS Earnings

EPS 0.67 P/E Ratio 234.97
Previous Wed, Aug 21, 2019
Latest Wed, Dec 4, 2019 (In 49 days)

SNPS Dividend

Yield --
Ex-Date --
Pay Date --
History --

SNPS Charts

All Time High $146.66 set on Fri, Sep 6, 2019.
$79.14
1 Year
$146.66
Dec 24, 2018
Sep 6, 2019


ATUS $29.44 0.72 (2.51%)
Altice USA
NYSE: ATUS $19 Billion Large-Cap. Communication Services industry. 5 Year Return 10%. 1 Year Return 58%. 2019 YTD Return 72%. Earnings in 18 days on Mon, Nov 4. (Use the Earnings tab below to add this date to your calendar.)

ATUS Profile

Market Cap 19 Billion
ATUS Description

Altice Europe acquired privately held U.S. cable company Suddenlink in 2015 and Cablevision in 2016. Suddenlink's networks provide television, Internet access, and phone services to roughly 3.5 million U.S. homes and businesses located primarily in smaller markets, with major clusters in Texas, West Virginia, Idaho, Arizona, and Louisiana. Cablevision provides comparable services to about 5.2 million homes and business exclusively in the New York City metro area. Altice Europe spun off Altice USA, which includes both the Suddenlink and Cablevision operations, to shareholders in 2018. Altice USA also owns News 12 Networks, which broadcasts local 24-hour news networks in New York, and i24News, a news operation focused on the Middle East and Israel.


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ATUS Earnings

EPS 0.13 P/E Ratio 777.67
Previous Wed, Jul 31, 2019
Latest Mon, Nov 4, 2019 (In 19 days)

ATUS Dividend

Yield --
Ex-Date --
Pay Date --
History --

ATUS Charts

$14.50
1 Year
$30.35
Oct 29, 2018
Sep 19, 2019


INCY $78.12 0.40 (0.51%)
Incyte
NASDAQ: INCY $17 Billion Large-Cap. Nasdaq 100. S&P 500. Biotech & Pharma industry. 5 Year Return 56%. 1 Year Return 20%. 2019 YTD Return 23%. Earnings in 12 days on Tue, Oct 29. (Use the Earnings tab below to add this date to your calendar.)

INCY Profile

Market Cap 17 Billion
INCY Description

Incyte focuses on the discovery and development of small-molecule drugs. The firm's lead drug, Jakafi, treats two types of rare blood cancer and graft versus host disease and is partnered with Novartis. Incyte's other marketed drugs include rheumatoid arthritis treatment Olumiant, which Eli Lilly licenses, and oncology drug Iclusig for chronic myeloid leukemia. Incyte's pipeline includes a broad array of oncology and autoimmune programs, including next-generation JAK inhibitor itacitinib.


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INCY Earnings

EPS 0.49 P/E Ratio 145.02
Previous Tue, Jul 30, 2019
Latest Tue, Oct 29, 2019 (In 13 days)

INCY Dividend

Yield --
Ex-Date --
Pay Date --
History --

INCY Charts

$57.00
1 Year
$89.30
Dec 24, 2018
Jun 24, 2019


TFX $323.29 5.26 (1.60%)
Teleflex
NYSE: TFX $16 Billion Large-Cap. S&P 500. Medical Equipment & Devices industry. 5 Year Return 204%. 1 Year Return 30%. 2019 YTD Return 28%. 0.4% dividend yield. 139 total dividend payments. Earnings in 21 days on Thu, Nov 7. (Use the Earnings tab below to add this date to your calendar.)

TFX Profile

Market Cap 16 Billion
TFX Description

Teleflex is a Wayne, Pennsylvania-based manufacturer of hospital supplies and medical devices primarily in the vascular access and surgical areas. The firm reports in eight primary segments: vascular North America (13% of 2018 sales), interventional North America (11%), anesthesia North America (8%), surgical North America (7%), Europe, Middle East, Africa (25%), Asia (12%), original-equipment manufacturing (8%), and all other (16%). Geographic exposure for the business is primarily in the U.S., which accounts for 60% of revenue, with international markets making up the remainder.


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TFX Earnings

EPS 1.81 P/E Ratio 179.22
Previous Thu, Aug 1, 2019
Latest Thu, Nov 7, 2019 (In 22 days)

TFX Dividend

Yield 0.42% / $1.36
Ex-Date Wed, Aug 14, 2019 (63 days ago)
Pay Date Mon, Sep 16, 2019
History 139 Payments (Quarterly)

TFX Charts

$226.02
1 Year
$373.90
Dec 24, 2018
Aug 20, 2019


COO $291.53 3.62 (1.23%)
Cooper Companies
NYSE: COO $15 Billion Large-Cap. S&P 500. Medical Equipment & Devices industry. 5 Year Return 95%. 1 Year Return 10%. 2019 YTD Return 16%. 0.0% dividend yield. 55 total dividend payments. Paid Biannually.

COO Profile

Market Cap 15 Billion
COO Description

Cooper Companies operates two units: CooperVision and CooperSurgical. Accounting for approximately 75% of total sales, CooperVision is the the second largest player in the oligopolistic contact lens market. Over 50% of CooperVision's sales are in international territories. The second unit, CooperSurgical, develops and manufactures diagnostic and surgical products for gynecologists and obstetricians, including the Paragard IUD, which Cooper acquired from Teva in 2017.


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COO Earnings

EPS 2.42 P/E Ratio 102.76
Previous Thu, Aug 29, 2019
Latest Thu, Dec 5, 2019 (In 50 days)

COO Dividend

Yield 0.02% / $0.06
Ex-Date Mon, Jul 22, 2019 (86 days ago)
Pay Date Wed, Aug 7, 2019
History 55 Payments (Biannual)

COO Charts

$228.65
1 Year
$344.32
Dec 24, 2018
Aug 13, 2019


UDR $49.34 0.79 (1.63%)
UDR
NYSE: UDR $14 Billion Large-Cap. New ALL-TIME HIGH today. S&P 500. Real Estate industry. 5 Year Return 73%. 1 Year Return 26%. 2019 YTD Return 29%. This is Uptrending. A good sign. 2.8% dividend yield. 141 total dividend payments. Earnings in 12 days on Tue, Oct 29. (Use the Earnings tab below to add this date to your calendar.)

UDR Profile

Market Cap 14 Billion
UDR Description

UDR is a real estate investment trust primarily engaged in the acquisition, management, and development of multifamily apartment communities in urban submarkets throughout the United States. UDR divides its real estate portfolio into West, Mid-Atlantic, Southeast, Northeast, and Southwest geographic segments. Cumulatively, the vast majority of the company's real estate assets are located in the western, mid-Atlantic, and northeastern areas of the U. .in terms of total value. The urban markets of metropolitan Washington D.C.; New York City; Orange County, California; and San Francisco, specifically, account for the majority of the value of UDR's real estate property portfolio. The company derives nearly all of its revenue in the form of rental income from leases.


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UDR Earnings

EPS 0.12 P/E Ratio 189.07
Previous Tue, Jul 30, 2019
Latest Tue, Oct 29, 2019 (In 13 days)

UDR Dividend

Yield 2.78% / $1.37
Ex-Date Wed, Oct 9, 2019 (7 days ago)
Pay Date Thu, Oct 31, 2019
History 141 Payments (Quarterly)

UDR Charts

$38.14
1 Year
$49.39
Dec 26, 2018
Today


CTXS $99.93 0.48 (0.48%)
Citrix Systems
NASDAQ: CTXS $13 Billion Large-Cap. Nasdaq 100. S&P 500. Software industry. 5 Year Return 94%. 1 Year Return 5%. 2019 YTD Return 2%. 1.4% dividend yield. 4 total dividend payments. Earnings in 7 days on Thu, Oct 24. (Use the Earnings tab below to add this date to your calendar.)

CTXS Profile

Market Cap 13 Billion
CTXS Description

Citrix Systems provides virtualization software, including Virtual Apps and Desktops for desktop virtualization and Citrix Virtual Apps for application virtualization. The company also provides Citrix Endpoint Management for mobile device management and Citrix ADC for application delivery and Citrix SD-WAN for routing, security, and WAN monitoring.


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CTXS Earnings

EPS 0.71 P/E Ratio 112.51
Previous Wed, Jul 24, 2019
Latest Thu, Oct 24, 2019 (In 8 days)

CTXS Dividend

Yield 1.40% / $1.40
Ex-Date Thu, Sep 5, 2019 (41 days ago)
Pay Date Fri, Sep 20, 2019
History 4 Payments (Quarterly)

CTXS Charts

$90.28
1 Year
$112.27
Aug 7, 2019
Nov 29, 2018


IT $145.68 0.07 (0.05%)
Gartner
NYSE: IT $12 Billion Large-Cap. S&P 500. Technology Services industry. 5 Year Return 98%. 1 Year Return 2%. 2019 YTD Return 16%. Earnings in 21 days on Thu, Nov 7. (Use the Earnings tab below to add this date to your calendar.)

IT Profile

Market Cap 12 Billion
IT Description

Based in Stamford, Conn., Gartner provides independent research and analysis on information technology and other related technology industries. Its research is delivered to clients' desktops in the form of reports, briefings and updates. Typical clients are chief information officers and other business executives who help plan a companies IT budget. Gartner also provides consulting services and hosted nearly 80 IT conferences across the globe in 2007.


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IT Earnings

EPS 1.15 P/E Ratio 120.25
Previous Tue, Jul 30, 2019
Latest Thu, Nov 7, 2019 (In 22 days)

IT Dividend

Yield --
Ex-Date --
Pay Date --
History 9 Payments (Quarterly)

IT Charts

$120.89
1 Year
$171.78
Dec 27, 2018
Jul 29, 2019


Y $770.25 7.65 (0.98%)
Alleghany
NYSE: Y $11 Billion Large-Cap. Insurance industry. 5 Year Return 84%. 1 Year Return 26%. 2019 YTD Return 25%. This is Uptrending. A good sign. Earnings in 19 days on Tue, Nov 5. (Use the Earnings tab below to add this date to your calendar.)

Y Profile

Market Cap 11 Billion
Y Description

Alleghany Corp is a property and casualty insurance company that owns and manages subsidiaries that operate reinsurance and insurance operations. The company also executes certain private capital investments. The company classifies its business into three reportable segments: reinsurance, insurance, and Alleghany Capital. These segments' underwriting activities are evaluated separately from investment and corporate activities. Reinsurance contracts are generally classified as a treaty or facultative contracts. Treaty reinsurance provides for the automatic reinsuring of all or a portion of a specified class of risk underwritten by the ceding company. Facultative reinsurance is geared toward individual risks.


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Y Earnings

EPS 20.46 P/E Ratio 236.47
Previous Tue, Aug 6, 2019
Latest Tue, Nov 5, 2019 (In 20 days)

Y Dividend

Yield --
Ex-Date --
Pay Date --
History 9 Payments (Quarterly)

Y Charts

All Time High $808.50 set on Tue, Oct 1, 2019.
$574.42
1 Year
$808.50
Oct 26, 2018
Oct 1, 2019


SJR $19.81 0.06 (0.30%)
Shaw Communications
NYSE: SJR $10 Billion Large-Cap. Communication Services industry. 5 Year Return 18%. 1 Year Return 4%. 2019 YTD Return 8%. 6.0% dividend yield. 216 total dividend payments. Paid Monthly. Current Ex-Date in 28 days on Thu, Nov 14. (Use the Dividend tab below to add this date to your calendar.) Thu, Nov 14. Earnings in 8 days on Fri, Oct 25. (Use the Earnings tab below to add this date to your calendar.)

SJR Profile

Market Cap 10 Billion
SJR Description

Shaw Communications is a cable company in western Canada, serving as one of the biggest providers of Internet, television, and landline telephone services in British Columbia, Alberta, Saskatchewan, Manitoba, and northern Ontario. In fiscal 2018, 82% of Shaw's total revenue resulted from this wireline business. Shaw is also now a national wireless service provider after acquiring Wind Mobile in 2016. Shaw has upgraded Wind's network, undertaken an aggressive pricing strategy, and significantly enhanced its spectrum holdings. As a smaller carrier, Shaw has favored bidding status in spectrum auctions, giving it a further boost in enhancing its wireless network. At the 2019 auction, Shaw added significant amounts of 600 MHz spectrum to the 700 MHz spectrum it is currently deploying.


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SJR Earnings

EPS 0.44 P/E Ratio 2540.39
Previous Thu, Jun 27, 2019
Latest Fri, Oct 25, 2019 (In 9 days)

SJR Dividend

Yield 5.98% / $1.19
Ex-Date Thu, Nov 14, 2019 (In 29 days)
Pay Date Thu, Nov 28, 2019
History 216 Payments (Monthly)

SJR Charts

$17.50
1 Year
$21.08
Dec 26, 2018
Apr 3, 2019


HNP $18.35 0.67 (3.52%)
Huaneng Power Intl Common Stock
NYSE: HNP $9 Billion Mid-Cap. Utility industry. 5 Year Return 60%. 1 Year Return 22%. 2019 YTD Return 26%. Negative 5 year, 1 year & YTD returns. You may want to avoid this one until things turn around. Check out some Uptrending symbols instead. 3.3% dividend yield. 20 total dividend payments. Paid Annually.

HNP Profile

Market Cap 9 Billion

HNP Earnings

EPS 7.60 P/E Ratio 135.29
Previous --
Latest --

HNP Dividend

Yield 3.25% / $0.60
Ex-Date Tue, Jun 18, 2019 (120 days ago)
Pay Date Mon, Sep 9, 2019
History 20 Payments (Annually)

HNP Charts

52 Week Low $17.91 set on Wed, Oct 9, 2019
$17.91
1 Year
$26.76
Oct 9, 2019
Jan 24, 2019


OLED $172.84 0.28 (0.16%)
Universal Display Corp
NASDAQ: OLED $9 Billion Mid-Cap. Semiconductors industry. 5 Year Return 487%. 1 Year Return 46%. 2019 YTD Return 90%. 0.2% dividend yield. 9 total dividend payments. Earnings in 13 days on Wed, Oct 30. (Use the Earnings tab below to add this date to your calendar.)

OLED Profile

Market Cap 9 Billion
OLED Description

Universal Display Corp researches, develops, and manufactures organic light-emitting diode, or OLED, technologies for use in displays for mobile phones, tablets, televisions, wearables, personal computers, automotive interiors, and the solid-state lighting market. OLED technologies are an alternative to light-emitting diode, or LED, technologies, in the solid-state lighting market, and liquid crystal displays in the flat-panel-display market. A large majority of the firm's revenue is generated in South Korea, with the rest coming from Japan, Taiwan, the United States, and other countries across the world.


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OLED Earnings

EPS 0.92 P/E Ratio 133.31
Previous Thu, Aug 1, 2019
Latest Wed, Oct 30, 2019 (In 14 days)

OLED Dividend

Yield 0.23% / $0.40
Ex-Date Thu, Mar 14, 2019 (216 days ago)
Pay Date Fri, Mar 29, 2019
History 9 Payments (Quarterly)

OLED Charts

$78.78
1 Year
$230.32
Jan 3, 2019
Sep 6, 2019


PODD $155.61 0.19 (0.12%)
Insulet Corp
NASDAQ: PODD $9 Billion Mid-Cap. Medical Equipment & Devices industry. 5 Year Return 318%. 1 Year Return 68%. 2019 YTD Return 112%. Earnings in 19 days on Tue, Nov 5. (Use the Earnings tab below to add this date to your calendar.)

PODD Profile

Market Cap 9 Billion
PODD Description

Insulet was founded in 2000 with the goal of making continuous subcutaneous insulin infusion therapy for diabetes easier to use. The result was the Omnipod system, which consists of a small disposable insulin infusion device and a wireless personal diabetes manager that controls the dosage and has an integrated blood glucose meter. Since the Omnipod was approved by the U.S. Food and Drug Administration in 2005, approximately 140,000-145,000 insulin-dependent diabetics are using it worldwide.


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PODD Earnings

EPS 0.02 P/E Ratio 1648.60
Previous Mon, Aug 5, 2019
Latest Tue, Nov 5, 2019 (In 20 days)

PODD Dividend

Yield --
Ex-Date --
Pay Date --
History --

PODD Charts

All Time High $168.98 set on Mon, Sep 30, 2019.
$70.80
1 Year
$168.98
Jan 3, 2019
Sep 30, 2019


NBIX $93.75 0.26 (0.28%)
Neurocrine Biosciences Inc
NASDAQ: NBIX $9 Billion Mid-Cap. Biotech & Pharma industry. 5 Year Return 474%. 1 Year Return 18%. 2019 YTD Return 34%. Earnings in 18 days on Mon, Nov 4. (Use the Earnings tab below to add this date to your calendar.)

NBIX Profile

Market Cap 9 Billion
NBIX Description

Neurocrine Biosciences Inc is a research-based pharmaceutical company advancing drug candidates in the central nervous system and endocrine-related categories. The company's three late stage clinical programs are elagolix which is hormone releasing antagonist for women's health, opicapone which is an inhibitor for parkinson's patients, and ingrezza for tourette syndrome.


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NBIX Earnings

EPS 0.56 P/E Ratio 819.73
Previous Mon, Jul 29, 2019
Latest Mon, Nov 4, 2019 (In 19 days)

NBIX Dividend

Yield --
Ex-Date --
Pay Date --
History --

NBIX Charts

$64.72
1 Year
$116.48
Dec 12, 2018
Oct 19, 2018


AZPN $117.66 4.69 (3.83%)
Aspen Technology Inc
NASDAQ: AZPN $8 Billion Mid-Cap. Software industry. 5 Year Return 232%. 1 Year Return 13%. 2019 YTD Return 45%. Earnings in 13 days on Wed, Oct 30. (Use the Earnings tab below to add this date to your calendar.)

AZPN Profile

Market Cap 8 Billion
AZPN Description

Aspen Technology Inc provides process optimization software for companies in the energy, chemicals, engineering, and construction industries. Its products are designed to manage process design, operational performance, and supply chain planning. The firm has two business segments: subscription/software and services. The subscription and software segment generates most of its revenue from licenses for the firm's flagship aspenONE software. The services segment generates revenue by providing training and professional services to customers focused on implementing Aspen's technology. The firm has clients all over the world, but over half of the firm's revenue is generated in the United States and Europe.


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AZPN Earnings

EPS 1.51 P/E Ratio 104.75
Previous Wed, Aug 7, 2019
Latest Wed, Oct 30, 2019 (In 14 days)

AZPN Dividend

Yield --
Ex-Date --
Pay Date --
History --

AZPN Charts

$74.84
1 Year
$142.15
Nov 20, 2018
Aug 8, 2019


CDAY $46.20 3.55 (7.14%)
Ceridian HCM Holding Inc
NYSE: CDAY $8 Billion Mid-Cap. Software industry. 5 Year Return 48%. 1 Year Return 23%. 2019 YTD Return 37%. Earnings in 18 days on Mon, Nov 4. (Use the Earnings tab below to add this date to your calendar.)

CDAY Profile

Market Cap 8 Billion
CDAY Description

Ceridian HCM Holding Inc is a human capital management software company. Its flagship cloud (Human capital management) HCM platform provides human resources, payroll, benefits, workforce management, and talent management capabilities in a single solution. The platform helps to manage the entire employee lifecycle, from recruiting and onboarding to paying people and developing their careers. The company's only reportable segments are HCM. HCM includes both Cloud solutions, Dayforce and Powerpay, as well as our Bureau HCM solutions. It generates a majority of its revenue from the Cloud solution.


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CDAY Earnings

EPS 0.04 P/E Ratio 106.82
Previous Tue, Jul 30, 2019
Latest Mon, Nov 4, 2019 (In 19 days)

CDAY Dividend

Yield --
Ex-Date --
Pay Date --
History --

CDAY Charts

$31.39
1 Year
$58.95
Dec 20, 2018
Aug 23, 2019


AMH $25.75 0.13 (0.50%)
American Homes 4 Rent
NYSE: AMH $7 Billion Mid-Cap. REITs industry. 5 Year Return 55%. 1 Year Return 24%. 2019 YTD Return 32%. This is Uptrending. A good sign. 0.8% dividend yield. 24 total dividend payments. Earnings in 21 days on Thu, Nov 7. (Use the Earnings tab below to add this date to your calendar.)

AMH Profile

Market Cap 7 Billion
AMH Description

American Homes 4 Rent is a real estate investment trust primarily focused on acquiring, operating, and leasing single-family homes as rental properties throughout the United States. The company's real estate portfolio is largely comprised of single-family properties in urban markets in the Southern and Midwestern regions of the U.S. American Homes 4 Rent's land holdings also represent a sizable percentage of its total assets in terms of value. The company derives the vast majority of its income in the form of rental revenue from single-family properties through short-term or annual leases. The firm's largest geographical markets include Dallas, Texas; Indianapolis, Indiana; Atlanta, Georgia; and Charlotte, North Carolina in terms of the number of properties in each.


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AMH Earnings

EPS 0.08 P/E Ratio 291.38
Previous Mon, Jul 29, 2019
Latest Thu, Nov 7, 2019 (In 22 days)

AMH Dividend

Yield 0.78% / $0.20
Ex-Date Thu, Sep 12, 2019 (34 days ago)
Pay Date Mon, Sep 30, 2019
History 24 Payments (Quarterly)

AMH Charts

All Time High $26.40 set on Fri, Oct 11, 2019.
$18.91
1 Year
$26.40
Dec 26, 2018
Oct 11, 2019


BEP $41.76 0.51 (1.24%)
Brookfield Renewable Partners L.P.
NYSE: BEP $7 Billion Mid-Cap. Utility industry. 5 Year Return 38%. 1 Year Return 42%. 2019 YTD Return 59%. 4.7% dividend yield. 140 total dividend payments. Since Earnings 33%.

BEP Profile

Market Cap 7 Billion
BEP Description

Brookfield Renewable Partners LP is a renewable power generating company. It owns a portfolio of renewable power generating facilities is spread across North America, Latin America, and Europe. It operates renewable power generating assets, which include conventional hydroelectric facilities and wind facilities located in North America, Latin America, and Europe. Its operations are segmented by the type of power generation Hydroelectric, Wind, solar, storage and Other, which includes Biomass and Co-gen with Hydroelectric and Wind further segmented by geography North America, Colombia, Brazil, Europe and Other.


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BEP Earnings

EPS 0.05 P/E Ratio 242.08
Previous Wed, Oct 31, 2018
Latest Thu, May 2, 2019 (167 days ago) Price +33.16%

BEP Dividend

Yield 4.69% / $1.96
Ex-Date Thu, Nov 29, 2018 (321 days ago)
Pay Date Mon, Dec 31, 2018
History 140 Payments (Quarterly)

BEP Charts

All Time High $42.50 set on Wed, Oct 9, 2019.
$24.51
1 Year
$42.50
Dec 24, 2018
Oct 9, 2019


RP $61.40 0.59 (0.95%)
RealPage Inc
NASDAQ: RP $6 Billion Mid-Cap. Software industry. 5 Year Return 277%. 1 Year Return 4%. 2019 YTD Return 30%. Earnings in 21 days on Thu, Nov 7. (Use the Earnings tab below to add this date to your calendar.)

RP Profile

Market Cap 6 Billion
RP Description

RealPage Inc. is a provider of on-demand software and software-enabled solutions for the rental housing industry. Its customers include single family, multifamily, and vacation rental units, and large property management companies. Its solutions include marketing, pricing, leasing, accounting, purchasing, and other property operation capabilities. The RealPage platform hosts applications that enable property owners and managers to improve pricing methodologies, improve collections, and integrate business processes. The company derives revenue from on-demand and on-premises software solutions and professional services. All of the firm's revenue is generated in the United States.


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RP Earnings

EPS 0.16 P/E Ratio 164.79
Previous Thu, Aug 1, 2019
Latest Thu, Nov 7, 2019 (In 22 days)

RP Dividend

Yield --
Ex-Date --
Pay Date --
History --

RP Charts

All Time High $66.25 set on Mon, Oct 1, 2018.
$42.90
1 Year
$65.92
Nov 20, 2018
Apr 30, 2019


INXN $86.48 1.03 (1.21%)
InterXion Holding NV
NYSE: INXN $6 Billion Mid-Cap. New ALL-TIME HIGH today. Online Media industry. 5 Year Return 236%. 1 Year Return 38%. 2019 YTD Return 65%. Earnings in 21 days on Thu, Nov 7. (Use the Earnings tab below to add this date to your calendar.)

INXN Profile

Market Cap 6 Billion
INXN Description

InterXion Holding NV is a provider of carrier and cloud neutral colocation data center services in Europe. The company's data centers act as content, cloud and connectivity hubs that facilitate the processing, storage, sharing and distribution of data, content, applications and media between carriers and customers, creating an environment that it refers to as a community of interest. InterXion is a core offerer of carrier and cloud neutral colocation services including space, power, cooling and a physically secure environment in which to house its customers' computing, network, storage and IT infrastructure. The company operates through two geographical segments the first being France, Germany, The Netherlands and UK and second being rest of Europe.


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INXN Earnings

EPS 0.12 P/E Ratio 141.63
Previous Wed, Aug 7, 2019
Latest Thu, Nov 7, 2019 (In 22 days)

INXN Dividend

Yield --
Ex-Date --
Pay Date --
History --

INXN Charts

$50.05
1 Year
$86.59
Dec 26, 2018
Today


SYNH $55.29 0.46 (0.84%)
Syneos Health, Inc. - Class A Common Stock
NASDAQ: SYNH $6 Billion Mid-Cap. Medical Diagnostics & Research industry. 5 Year Return 34%. 1 Year Return 19%. 2019 YTD Return 40%. Earnings in 19 days on Tue, Nov 5. (Use the Earnings tab below to add this date to your calendar.)

SYNH Profile

Market Cap 6 Billion
SYNH Description

Syneos is a global contract research and outsourced commercialization organization that provides services to pharmaceutical and biotechnology firms. Its clinical solutions segment offers early- to late-stage clinical trial support that ranges from specialized staffing models to strategic partnerships that oversee nearly all aspects of a drug program, while the company's commercialization solutions includes outsourced sales, consulting, public relations, and advertising services.


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SYNH Earnings

EPS 0.11 P/E Ratio 216.91
Previous Tue, Aug 6, 2019
Latest Tue, Nov 5, 2019 (In 20 days)

SYNH Dividend

Yield --
Ex-Date --
Pay Date --
History --

SYNH Charts

All Time High $56.34 set on Mon, Feb 25, 2019.
$36.27
1 Year
$56.34
Dec 24, 2018
Feb 25, 2019


NYT $28.69 0.00 (0.00%)
New York Times Co
NYSE: NYT $5 Billion Mid-Cap. Publishing industry. 5 Year Return 134%. 1 Year Return 9%. 2019 YTD Return 31%. 0.7% dividend yield. 118 total dividend payments. Earnings in 21 days on Thu, Nov 7. (Use the Earnings tab below to add this date to your calendar.) "Possible" Death Cross (bearish) chart pattern.

NYT Profile

Market Cap 5 Billion
NYT Description

New York Times Company is an American media company known for publishing its flagship newspaper, The New York Times. The company also operates the International New York Times newspaper, as well as digital properties such as nytimes and various smartphone applications. Circulation of The New York Times is the source of revenue for the company, followed by print and digital advertising and its paid digital-only subscription to The New York Times. The company has a daily print circulation of over 500,000 and 1,000,000 on Sundays. The source of growth for The New York Times is its digital subscription service, which has over 1,000,000 paid users.


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NYT Earnings

EPS 0.15 P/E Ratio 317.25
Previous Wed, Aug 7, 2019
Latest Thu, Nov 7, 2019 (In 22 days)

NYT Dividend

Yield 0.70% / $0.20
Ex-Date Tue, Oct 1, 2019 (15 days ago)
Pay Date Thu, Oct 17, 2019
History 118 Payments (Quarterly)

NYT Charts

$21.34
1 Year
$36.25
Jan 3, 2019
Jul 31, 2019


PEN $146.19 0.70 (0.48%)
Penumbra Inc
NYSE: PEN $5 Billion Mid-Cap. Medical Equipment & Devices industry. 5 Year Return 254%. 1 Year Return 3%. 2019 YTD Return 19%. Earnings in 18 days on Mon, Nov 4. (Use the Earnings tab below to add this date to your calendar.)

PEN Profile

Market Cap 5 Billion
PEN Description

Penumbra Inc develops and manufactures medical devices for the neurovascular and peripheral vascular markets. Its products are primarily sold to hospitals and are developed for use by specialist physicians. The neurovascular product category contributes to the majority of revenue. Within the neurovascular business, the firm offers products for the neurovascular access, ischemic stroke, neurovascular embolization, and neurosurgical tool markets. In the peripheral vascular business, the firm sells devices related to peripheral embolization and peripheral thrombectomy. Penumbra generates the majority of its revenue in the United States.


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PEN Earnings

EPS 0.48 P/E Ratio 792.72
Previous Tue, Aug 6, 2019
Latest Mon, Nov 4, 2019 (In 19 days)

PEN Dividend

Yield --
Ex-Date --
Pay Date --
History --

PEN Charts

$110.84
1 Year
$185.70
Dec 24, 2018
Jul 25, 2019


HR $33.52 0.11 (0.33%)
Healthcare Realty Trust Inc
NYSE: HR $4 Billion Mid-Cap. REITs industry. 5 Year Return 34%. 1 Year Return 19%. 2019 YTD Return 21%. 3.6% dividend yield. 105 total dividend payments. Earnings in 18 days on Mon, Nov 4. (Use the Earnings tab below to add this date to your calendar.)

HR Profile

Market Cap 4 Billion
HR Description

Healthcare Realty Trust Inc is a healthcare facility real estate investment trust. The company focuses on owning, leasing, and managing outpatient facilities and other healthcare properties. The company considers merger and acquisition investment as a component of its operational growth strategy. It works with developers that have strong ties to a local health system and physicians. The company works to invest in outpatient facilities that are integral to a hospital's operations. It generates all of its revenue in the United States.


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HR Earnings

EPS 0.03 P/E Ratio 296.80
Previous Tue, Jul 30, 2019
Latest Mon, Nov 4, 2019 (In 19 days)

HR Dividend

Yield 3.58% / $1.20
Ex-Date Wed, Aug 14, 2019 (63 days ago)
Pay Date Fri, Aug 30, 2019
History 105 Payments (Quarterly)

HR Charts

$27.04
1 Year
$34.39
Nov 2, 2018
Oct 7, 2019


AZUL $36.82 0.07 (0.19%)
Azul SA
NYSE: AZUL $4 Billion Mid-Cap. Airlines industry. 5 Year Return 71%. 1 Year Return 62%. 2019 YTD Return 28%. Earnings in 28 days on Thu, Nov 14. (Use the Earnings tab below to add this date to your calendar.)

AZUL Profile

Market Cap 4 Billion
AZUL Description

Azul SA is primarily involved in the air transportation services in Brazil. It offers airline passenger and cargo services. It operates daily flights departing from Fort Lauderdale and Orlando also it schedules flights more than 100 destinations through Brazil. The main assets generating revenue of the group are its aircraft, from which revenue is generated in Brazil. Other revenues are basically derived from cargo operations, interest on installment sales, luggage fares, excess luggage, penalties for cancellation of tickets, and all items are directly attributed to air transport services.


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AZUL Earnings

EPS 1.23 P/E Ratio 1204.76
Previous Thu, Aug 8, 2019
Latest Thu, Nov 14, 2019 (In 29 days)

AZUL Dividend

Yield --
Ex-Date --
Pay Date --
History --

AZUL Charts

$21.46
1 Year
$43.14
Oct 17, 2018
Aug 9, 2019


RGEN $77.77 1.45 (1.83%)
Repligen Corp
NASDAQ: RGEN $4 Billion Mid-Cap. Biotech & Pharma industry. 5 Year Return 246%. 1 Year Return 35%. 2019 YTD Return 50%. Earnings in 21 days on Thu, Nov 7. (Use the Earnings tab below to add this date to your calendar.)

RGEN Profile

Market Cap 4 Billion
RGEN Description

Repligen Corp is a bioprocessing company that develops, produces and commercializes innovative biologic drugs. The company's customers include life science companies, global biopharmaceutical companies, and contract manufacturers worldwide. Repligen markets its products globally through a direct commercial organization in the U.S., Europe, and Asia, as well as through strategic partners in select markets. The majority of the company's revenue is generated in the United States.


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RGEN Earnings

EPS 0.17 P/E Ratio 119.64
Previous Thu, Aug 1, 2019
Latest Thu, Nov 7, 2019 (In 22 days)

RGEN Dividend

Yield --
Ex-Date --
Pay Date --
History --

RGEN Charts

$48.26
1 Year
$99.25
Dec 24, 2018
Aug 1, 2019


ANGI $6.87 0.08 (1.18%)
ANGI Homeservices Inc
NASDAQ: ANGI $4 Billion Mid-Cap. Online Media industry. 5 Year Return 18%. 1 Year Return 65%. 2019 YTD Return 56%. Negative 5 year, 1 year & YTD returns. You may want to avoid this one until things turn around. Check out some Uptrending symbols instead. Earnings in 20 days on Wed, Nov 6. (Use the Earnings tab below to add this date to your calendar.)

ANGI Profile

Market Cap 4 Billion
ANGI Description

ANGI Homeservices Inc operates a local services consumer review service and e-commerce marketplace in the United States. The company has two geographical segments namely North America which includes the operations of HomeAdvisor, Angie's List, Handy, mHelpDesk and HomeStars. Its Europe segment includes Travaux, MyHammer, MyBuilder, Werkspot, and Instapro. The company generates maximum revenue from the North America segment.


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ANGI Earnings

EPS 0.01 P/E Ratio 104.40
Previous Wed, Aug 7, 2019
Latest Wed, Nov 6, 2019 (In 21 days)

ANGI Dividend

Yield --
Ex-Date --
Pay Date --
History --

ANGI Charts

52 Week Low $6.51 set on Tue, Oct 8, 2019
$6.51
1 Year
$22.83
Oct 8, 2019
Nov 8, 2018


SHAK $90.44 0.06 (0.07%)
Shake Shack Inc
NYSE: SHAK $4 Billion Mid-Cap. Gaming, Lodging & Restaurants industry. 5 Year Return 97%. 1 Year Return 49%. 2019 YTD Return 103%. Earnings in 18 days on Mon, Nov 4. (Use the Earnings tab below to add this date to your calendar.)

SHAK Profile

Market Cap 4 Billion
SHAK Description

Shake Shack Inc is a roadside burger stands. It is serving a classic American menu of premium burgers, hot dogs, crispy chicken, frozen custard, crinkle cut fries, shakes, beer, wine and more. The company's burgers are made with a whole-muscle blend of all-natural, hormone and antibiotic-free Angus beef, ground fresh daily, cooked to order and served on a non-genetically modified organism (GMO) potato bun. Its menu focuses on food and beverages, crafted from a range of classic American foods. The company serves draft Root Beer, seasonal freshly-squeezed lemonade, organic fresh brewed iced tea, cold brew coffee, organic apple juice, and Shack20 bottled water. Its menu focuses on food and beverages, crafted from a range of classic American foods.


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SHAK Earnings

EPS 0.30 P/E Ratio 115.10
Previous Mon, Aug 5, 2019
Latest Mon, Nov 4, 2019 (In 19 days)

SHAK Dividend

Yield --
Ex-Date --
Pay Date --
History --

SHAK Charts

$40.67
1 Year
$105.84
Dec 26, 2018
Sep 5, 2019


SWCH $14.89 0.63 (4.06%)
Switch Inc
NYSE: SWCH $4 Billion Mid-Cap. Software industry. 5 Year Return 29%. 1 Year Return 64%. 2019 YTD Return 112%. 0.8% dividend yield. 6 total dividend payments. Earnings in 26 days on Tue, Nov 12. (Use the Earnings tab below to add this date to your calendar.)

SWCH Profile

Market Cap 4 Billion
SWCH Description

Switch Inc is a US-based technology infrastructure company. It is engaged in designing, constructing and operating hyperscale data centers. The company has developed patented technologies which have redefined data center space and cooling, allowing customers to deploy high density and scalable IT architectures to support demanding and critical workloads. Switch owns and operates primary campus locations, called Primes such as Vegas, Nevada; The Citadel Campus near Reno, Nevada; and The Pyramid Campus in Grand Rapids, Michigan.


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SWCH Earnings

EPS 0.02 P/E Ratio 121.44
Previous Wed, Aug 7, 2019
Latest Tue, Nov 12, 2019 (In 27 days)

SWCH Dividend

Yield 0.79% / $0.12
Ex-Date Fri, Mar 22, 2019 (208 days ago)
Pay Date Thu, Apr 4, 2019
History 6 Payments (Quarterly)

SWCH Charts

$6.39
1 Year
$16.95
Dec 17, 2018
Sep 6, 2019


AAXN $51.89 1.43 (2.68%)
Axon Enterprise, Inc. - Common Stock
NASDAQ: AAXN $4 Billion Mid-Cap. Aerospace & Defense industry. 5 Year Return 125%. 1 Year Return 16%. 2019 YTD Return 15%. Earnings in 19 days on Tue, Nov 5. (Use the Earnings tab below to add this date to your calendar.)

AAXN Profile

Market Cap 4 Billion
AAXN Description

Axon Enterprise Inc is in the development, manufacture, and sale of Conducted Electric Weapons designed for use by law enforcement, corrections, military forces, private security personnel and by private individuals for personal defense. It is also engaged in developing, manufacturing and selling of connected wearable on-officer cameras as well as developing and selling cloud-based digital evidence management software.


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AAXN Earnings

EPS 0.01 P/E Ratio 108.51
Previous Thu, Aug 8, 2019
Latest Tue, Nov 5, 2019 (In 20 days)

AAXN Dividend

Yield --
Ex-Date --
Pay Date --
History --

AAXN Charts

$39.43
1 Year
$74.93
Dec 24, 2018
Jun 24, 2019


ACIW $31.30 0.01 (0.03%)
ACI Worldwide Inc
NASDAQ: ACIW $4 Billion Mid-Cap. Software industry. 5 Year Return 76%. 1 Year Return 17%. 2019 YTD Return 15%. Since Earnings 4%.

ACIW Profile

Market Cap 4 Billion
ACIW Description

ACI Worldwide develops, markets, and installs a portfolio of software products primarily focused on facilitating electronic payments. The firm also leverages its distribution network in the Americas; Europe, the Middle East, and Africa, or EMEA; and Asia-Pacific regions to sell software developed by third parties. ACI software products process payment transactions for retail banking clients, billers such as utilities and healthcare providers, and community banks and credit unions. ACI's customers are financial institutions all over the world, but most of the revenue is generated in the United States and EMEA regions.


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ACIW Earnings

EPS 0.05 P/E Ratio 236.92
Previous Thu, May 9, 2019
Latest Thu, Aug 8, 2019 (69 days ago) Price +3.81%

ACIW Dividend

Yield --
Ex-Date --
Pay Date --
History --

ACIW Charts

$24.02
1 Year
$35.86
Oct 29, 2018
May 1, 2019


MUR $19.14 0.57 (2.89%)
Murphy Oil Corp
NYSE: MUR $3 Billion Mid-Cap. Oil, Gas & Coal industry. 5 Year Return 63%. 1 Year Return 45%. 2019 YTD Return 20%. Negative 5 year, 1 year & YTD returns. You may want to avoid this one until things turn around. Check out some Uptrending symbols instead. 5.2% dividend yield. 146 total dividend payments. Earnings in 14 days on Thu, Oct 31. (Use the Earnings tab below to add this date to your calendar.)

MUR Profile

Market Cap 3 Billion
MUR Description

Murphy is an independent exploration and production company developing unconventional resources in the United States and Canada. At the end of 2018, the company reported net proven reserves of 816 million barrels of oil equivalent. Consolidated production averaged 172 thousand barrels of oil equivalent per day in 2018, at a ratio of 59% oil and natural gas liquids and 41% natural gas.


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MUR Earnings

EPS 0.55 P/E Ratio 238.08
Previous Thu, Aug 8, 2019
Latest Thu, Oct 31, 2019 (In 15 days)

MUR Dividend

Yield 5.22% / $1.00
Ex-Date Fri, Nov 15, 2019 (In 30 days)
Pay Date Mon, Dec 2, 2019
History 146 Payments (Quarterly)

MUR Charts

$17.04
1 Year
$35.76
Aug 27, 2019
Oct 16, 2018


WTM $1,074.05 6.25 (0.59%)
White Mountains Insurance Group Ltd
NYSE: WTM $3 Billion Mid-Cap. Insurance industry. 5 Year Return 69%. 1 Year Return 22%. 2019 YTD Return 26%. This is Uptrending. A good sign. 0.1% dividend yield. 74 total dividend payments. Paid Annually. Since Earnings 20%.

WTM Profile

Market Cap 3 Billion
WTM Description

White Mountains Insurance Group Ltd is a financial service holding company with primary business interests in property and casualty insurance and reinsurance. Business activity of the firm is operated through HG Global/BAM, NSM, MediaAlpha and Other Operations. The NSM segment consists of specialty property and casualty insurance. The HG Global/BAM segment offers insurance on municipal bonds issued to finance public purposes. The MediaAlpha segment develops transparent platforms for the buying and selling of insurance and other vertical-specific performance media, such as clicks, calls, and leads; It enables transparent and real-time transactions between advertisers and publishers. The Other Operations segment provides investment management services of assets under management.


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WTM Earnings

EPS 6.44 P/E Ratio 107.90
Previous Mon, Nov 5, 2018
Latest Wed, Feb 6, 2019 (252 days ago) Price +20.18%

WTM Dividend

Yield 0.09% / $1.00
Ex-Date Fri, Mar 15, 2019 (215 days ago)
Pay Date Wed, Mar 27, 2019
History 74 Payments (Annually)

WTM Charts

All Time High $1104.14 set on Fri, Aug 9, 2019.
$832.88
1 Year
$1,104.14
Dec 24, 2018
Aug 9, 2019


NUVA $63.70 0.07 (0.11%)
NuVasive Inc
NASDAQ: NUVA $3 Billion Mid-Cap. Medical Equipment & Devices industry. 5 Year Return 85%. 1 Year Return 8%. 2019 YTD Return 31%. Earnings in 12 days on Tue, Oct 29. (Use the Earnings tab below to add this date to your calendar.)

NUVA Profile

Market Cap 3 Billion
NUVA Description

NuVasive Inc is a medical-device company focused on minimally invasive surgical products and integrated solutions for spine surgery. The firm's spine surgery products contribute the majority of revenue. Its key offering is the maximum access surgery minimally disruptive surgical platform, which minimizes soft-tissue disruption and contact with critical nerves and maximizes visualization during spine fusion surgery. NuVasive also develops biologics used to aid in the spinal fusion or bone-healing processes, such as a collagen-based synthetic bone substitute and synthetic bone-graft material. NuVasive generates the majority of its revenue in the United States.


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NUVA Earnings

EPS 0.29 P/E Ratio 131.71
Previous Tue, Jul 30, 2019
Latest Tue, Oct 29, 2019 (In 13 days)

NUVA Dividend

Yield --
Ex-Date --
Pay Date --
History --

NUVA Charts

$43.51
1 Year
$69.51
Jan 8, 2019
Oct 18, 2018


ICUI $152.89 0.50 (0.33%)
ICU Medical Inc
NASDAQ: ICUI $3 Billion Mid-Cap. New 52 WEEK LOW today. Medical Equipment & Devices industry. 5 Year Return 120%. 1 Year Return 45%. 2019 YTD Return 32%. Earnings in 28 days on Thu, Nov 14. (Use the Earnings tab below to add this date to your calendar.)

ICUI Profile

Market Cap 3 Billion
ICUI Description

ICU Medical is a California-based medical equipment company that offers infusion systems, administration sets and accessories, and IV fluids to acute care customers. Historically, the company had focused almost exclusively on the sale of administration sets and consumables, which changed following its 2017 acquisition of the Hospira Infusion Systems assets from Pfizer. The firm now earns revenue through four primary segments; infusion consumables (36% 2018 pro forma sales), IV solutions (33%), infusion systems (27%), and critical care (4%). The combined entity remains primarily U.S. focused, with roughly 75% of sales coming from domestic markets and the remaining 25% from international geographies.


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ICUI Earnings

EPS 1.11 P/E Ratio 166.76
Previous Wed, Aug 7, 2019
Latest Thu, Nov 14, 2019 (In 29 days)

ICUI Dividend

Yield --
Ex-Date --
Pay Date --
History --

ICUI Charts

52 Week Low $148.89 set on Wed, Oct 16, 2019
$148.89
1 Year
$284.69
Today
Oct 22, 2018


UNIT $7.81 0.00 (0.00%)
Uniti Group Inc. - Common Stock
NASDAQ: UNIT $3 Billion Mid-Cap. REITs industry. 5 Year Return 73%. 1 Year Return 61%. 2019 YTD Return 52%. Negative 5 year, 1 year & YTD returns. You may want to avoid this one until things turn around. Check out some Uptrending symbols instead. This is clearly Downtrending. Avoid for now. 2.6% dividend yield. 18 total dividend payments. Earnings in 21 days on Thu, Nov 7. (Use the Earnings tab below to add this date to your calendar.)

UNIT Profile

Market Cap 3 Billion

UNIT Earnings

EPS 0.21 P/E Ratio 290.50
Previous Thu, Aug 8, 2019
Latest Thu, Nov 7, 2019 (In 22 days)

UNIT Dividend

Yield 2.56% / $0.20
Ex-Date Fri, Sep 27, 2019 (19 days ago)
Pay Date Tue, Oct 15, 2019
History 18 Payments (Quarterly)

UNIT Charts

52 Week Low $6.93 set on Wed, Oct 2, 2019
$6.93
1 Year
$20.63
Oct 2, 2019
Oct 19, 2018


APPF $92.00 1.69 (1.80%)
AppFolio Inc
NASDAQ: APPF $3 Billion Mid-Cap. Software industry. 5 Year Return 548%. 1 Year Return 40%. 2019 YTD Return 56%. Earnings in 18 days on Mon, Nov 4. (Use the Earnings tab below to add this date to your calendar.)

APPF Profile

Market Cap 3 Billion
APPF Description

AppFolio Inc is a provider of industry-specific, cloud-based software solutions for small and medium-sized businesses (SMBs) in the property management and legal industries. Its property management software provides small and medium-sized property managers with an end-to-end solution to their business needs. The company's products include cloud-based property management software (Appfolio Property Manager); rental syndication and lead tracking software (Rentlinx); and cloud-based legal practice management software (Mycase). It also offers value-added services, such as Website design and electronic payment services. Business activity of the firm is primarily functioned through the United States and it derives revenue from the source of subscription fees.


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APPF Earnings

EPS 0.68 P/E Ratio 105.89
Previous Mon, Jul 29, 2019
Latest Mon, Nov 4, 2019 (In 19 days)

APPF Dividend

Yield --
Ex-Date --
Pay Date --
History --

APPF Charts

$51.15
1 Year
$109.89
Oct 30, 2018
Jun 21, 2019


PGRE $12.82 0.04 (0.31%)
Paramount Group Inc
NYSE: PGRE $3 Billion Mid-Cap. REITs industry. 5 Year Return 29%. 1 Year Return 12%. 2019 YTD Return 5%. 3.1% dividend yield. 20 total dividend payments. Earnings in 18 days on Mon, Nov 4. (Use the Earnings tab below to add this date to your calendar.)

PGRE Profile

Market Cap 3 Billion
PGRE Description

Paramount Group Inc is a real estate investment trust engaged in acquiring, managing, and redeveloping office properties in the central business district submarkets of New York City, Washington DC, and San Francisco. Most of the company's real estate portfolio is located in Manhattan, New York in terms of total square footage. Paramount Group derives nearly all of its revenue in the form of rental income from leasing its offices to tenants. The company's New York City assets generate the majority of its total revenue. Firms from the financial services, legal services, and technology and media industries are Paramount Group's major customers and contribute the majority of its total rental revenue.


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PGRE Earnings

EPS 0.01 P/E Ratio 351.75
Previous Wed, Jul 31, 2019
Latest Mon, Nov 4, 2019 (In 19 days)

PGRE Dividend

Yield 3.12% / $0.40
Ex-Date Fri, Sep 27, 2019 (19 days ago)
Pay Date Tue, Oct 15, 2019
History 20 Payments (Quarterly)

PGRE Charts

52 Week Low $12.18 set on Wed, Jan 2, 2019
$12.18
1 Year
$15.11
Jan 2, 2019
Jun 18, 2019


CCOI $56.45 0.45 (0.79%)
Cogent Communications Holdings Inc
NASDAQ: CCOI $3 Billion Mid-Cap. Communication Services industry. 5 Year Return 75%. 1 Year Return 9%. 2019 YTD Return 25%. 4.4% dividend yield. 31 total dividend payments. Earnings in 21 days on Thu, Nov 7. (Use the Earnings tab below to add this date to your calendar.)

CCOI Profile

Market Cap 3 Billion
CCOI Description

Cogent carries over one fifth of the world's Internet traffic over its network and is an Internet service provider for businesses. Cogent's corporate customers are in high-rise office buildings, and the firm provides them with two types of connections: dedicated Internet access, which connects them to the Internet, and virtual private networking, which offers an internal network for employees in different locations. Cogent's corporate customers are exclusively in North America and account for two thirds of the firm's revenue. Cogent's netcentric customers include Internet service providers and content providers, to which Cogent provides Internet transit. They hand traffic to Cogent in data centers and rely on Cogent to deliver it. About half of netcentric revenue is from outside the U.S.


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CCOI Earnings

EPS 0.16 P/E Ratio 139.21
Previous Thu, Aug 8, 2019
Latest Thu, Nov 7, 2019 (In 22 days)

CCOI Dividend

Yield 4.39% / $2.48
Ex-Date Thu, Aug 22, 2019 (55 days ago)
Pay Date Mon, Sep 9, 2019
History 31 Payments (Quarterly)

CCOI Charts

$42.40
1 Year
$64.24
Dec 24, 2018
Jul 31, 2019


GHDX $70.68 0.64 (0.90%)
Genomic Health Inc
NASDAQ: GHDX $3 Billion Mid-Cap. Medical Diagnostics & Research industry. 5 Year Return 118%. 1 Year Return 3%. 2019 YTD Return 14%. Earnings in 19 days on Tue, Nov 5. (Use the Earnings tab below to add this date to your calendar.)

GHDX Profile

Market Cap 3 Billion
GHDX Description

Genomic Health Inc is a healthcare company. It provides genomic-based diagnostic tests that address both the overtreatment and optimal treatment of early-stage cancer. Genomic offers the tissue-based invasive breast, DCIS, prostate, and colon Oncotype DX tests as clinical laboratory services. The company operates in one business segment, which primarily focuses on the development and global commercialization of genomic-based clinical laboratory services. Genomic derives most of its revenue from the United States.


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GHDX Earnings

EPS 0.43 P/E Ratio 142.82
Previous Mon, Jul 29, 2019
Latest Tue, Nov 5, 2019 (In 20 days)

GHDX Dividend

Yield --
Ex-Date --
Pay Date --
History --

GHDX Charts

$50.77
1 Year
$92.18
Jun 12, 2019
Nov 7, 2018


WING $89.02 0.60 (0.68%)
Wingstop Inc
NASDAQ: WING $3 Billion Mid-Cap. Gaming, Lodging & Restaurants industry. 5 Year Return 191%. 1 Year Return 20%. 2019 YTD Return 44%. 0.4% dividend yield. 10 total dividend payments. Earnings in 13 days on Wed, Oct 30. (Use the Earnings tab below to add this date to your calendar.)

WING Profile

Market Cap 3 Billion
WING Description

Wingstop Inc is a high-growth franchisor and operator of restaurants that specialize in cooked-to-order, hand-sauced and tossed chicken wings. The company dialect has 11 proprietary flavors, which range from extremely hot to mild, Atomic, Mango Habanero, Cajun, Original Hot, Louisiana Rub, Mild, Hickory Smoked BBQ, Lemon Pepper, Garlic Parmesan, Hawaiian, and Teriyaki.


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WING Earnings

EPS 0.17 P/E Ratio 106.79
Previous Thu, Aug 1, 2019
Latest Wed, Oct 30, 2019 (In 14 days)

WING Dividend

Yield 0.40% / $0.36
Ex-Date Tue, Mar 12, 2019 (218 days ago)
Pay Date Wed, Mar 27, 2019
History 10 Payments (Quarterly)

WING Charts

$56.95
1 Year
$107.43
Dec 24, 2018
Aug 23, 2019


CXP $20.30 0.02 (0.10%)
Columbia Property Trust Inc
NYSE: CXP $3 Billion Mid-Cap. REITs industry. 5 Year Return 18%. 1 Year Return 8%. 2019 YTD Return 8%. 3.9% dividend yield. 24 total dividend payments. Earnings in 7 days on Thu, Oct 24. (Use the Earnings tab below to add this date to your calendar.)

CXP Profile

Market Cap 3 Billion
CXP Description

Columbia Property Trust, Inc. is a real estate investment trust engaged in acquiring, developing, and leasing office properties in large metropolitan areas throughout the United States. In terms of total square footage, the company's real estate portfolio is primarily composed of offices in San Francisco, Atlanta, New York City, Cleveland, and Houston. Columbia Property also derives most of its total revenue in the form of rental income from these same cities. The company's largest office tenants are legal services firms, business services companies, depository institutions, and securities and commodities brokers. These industries contribute the majority of Columbia's total rent revenue.


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CXP Earnings

EPS 0.41 P/E Ratio 639.67
Previous Thu, Jul 25, 2019
Latest Thu, Oct 24, 2019 (In 8 days)

CXP Dividend

Yield 3.94% / $0.80
Ex-Date Fri, Aug 30, 2019 (47 days ago)
Pay Date Wed, Sep 18, 2019
History 24 Payments (Quarterly)

CXP Charts

$18.08
1 Year
$23.21
Dec 26, 2018
Feb 19, 2019


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Symbol Price Day Δ YTD Δ
AIG $54.34 -0.62% 37.15%
ALXN $99.51 -5.06% 1.49%
BRK.B $209.29 -0.04% 3.20%
CCI $134.69 0.03% 27.13%
CRM $146.97 -3.78% 8.42%
CSCO $46.79 0.93% 8.94%
CTXS $99.93 0.48% -2.23%
INCY $78.12 -0.51% 22.91%
MUR $19.14 -2.89% -20.48%
RHT $0.00 0.00% -100.00%
UDR $49.34 1.63% 28.52%
COO $291.53 -1.23% 16.32%
IT $145.68 -0.05% 15.76%
SNPS $138.74 -1.36% 65.07%
IQV $144.83 -1.18% 26.70%
AAXN $51.89 -2.68% 15.03%
ACBI $17.15 -0.06% 1.12%
ACIW $31.30 0.03% 15.33%
ALCO $33.92 -0.79% 14.02%
ALGR $10.13 0.20% 3.79%
ALRM $47.13 0.04% -9.47%
AMH $25.75 -0.50% 32.25%
ANGI $6.87 1.18% -56.46%
APPF $92.00 -1.80% 55.83%