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Wed, Oct 16 8:12pm

0 High Paying Dividend

These are dividend stocks that pay greater than 4% annual dividend yield.

Noteworthy events last week, this week and next week.

Sun, Oct 6 - Sat, Oct 12

Study the past if you would define the future.
Confucius

All Time Highs 52 Week Highs 52 Week Lows Earnings Annoucements Ex-Dividend Dates

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 Ex-Dividend Dates

Sun, Oct 20 - Sat, Oct 26

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

Earnings Annoucements Ex-Dividend Dates
21013996


High Paying Dividend

XOM $68.23 1.19 (1.71%)
Exxon Mobil exxonmobil
NYSE: XOM $304 Billion Large-Cap. Dow Industrial. S&P 500. Oil, Gas & Coal industry. 5 Year Return 25%. 1 Year Return 16%. 2019 YTD Return 2%. Negative 5 year, 1 year & YTD returns. You may want to avoid this one until things turn around. Check out some Uptrending symbols instead. 5.1% dividend yield. 138 total dividend payments. Dividend Aristocrat25+ consecutive years of increasing dividends. Dogs Of The Dow. Earnings in 15 days on Fri, Nov 1. (Use the Earnings tab below to add this date to your calendar.) Compare CVX vs XOM.

XOM Profile

Market Cap 304 Billion
XOM Description

ExxonMobil is an integrated oil and gas company that explores for, produces, and refines oil around the world. In 2018, it produced 2.3 million barrels of liquids and 9.4 billion cubic feet of natural gas per day. At the end of 2018, reserves were 24.3 billion barrels of oil equivalent (including 4.2 billion for equity companies), 65% of which are liquids. The company is the world's largest refiner with a total global refining capacity of 4.7 million barrels of oil per day and one of the world's largest manufacturers of commodity and specialty chemicals. It operates its business divisions in North and South America, Europe, the Middle East, North and sub-Saharan Africa, and the Asia-Pacific.


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XOM Earnings

EPS 0.73 P/E Ratio 16.53
Previous Fri, Aug 2, 2019
Latest Fri, Nov 1, 2019 (In 16 days)

XOM Dividend

Yield 5.10% / $3.48
Ex-Date Mon, Aug 12, 2019 (65 days ago)
Pay Date Tue, Sep 10, 2019
History 138 Payments (Quarterly)

XOM Charts

52 Week Low $64.65 set on Wed, Dec 26, 2018
$64.65
1 Year
$83.75
Dec 26, 2018
Nov 8, 2018


T $37.79 0.11 (0.29%)
AT&T ATT
NYSE: T $283 Billion Large-Cap. S&P 500. Telecom industry. 5 Year Return 11%. 1 Year Return 16%. 2019 YTD Return 28%. 5.4% dividend yield. 141 total dividend payments. Dividend Aristocrat25+ consecutive years of increasing dividends. Earnings in 6 days on Wed, Oct 23. (Use the Earnings tab below to add this date to your calendar.) Compare T vs VZ.

T Profile

Market Cap 283 Billion
T Description

Wireless communication remains AT&T's largest business, contributing nearly 40% of revenue. As the second- largest U.S. wireless carrier, AT&T connects more than 100 million devices, including 63 million postpaid and 16 million prepaid phone customers. The consumer and entertainment segment (about 25% of revenue) includes the consumer fixed-line and DirecTV satellite television businesses, serving 24 million television and 14 million Internet access customers. WarnerMedia now contributes a bit less than 20% of revenue with media assets that include HBO, the Turner cable networks, and the Warner Brothers studios. Fixed-line business communications (14%), Latin American satellite television (2%), and Mexican wireless services (1%) constitute the remainder of the firm.


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T Earnings

EPS 0.51 P/E Ratio 10.75
Previous Wed, Jul 24, 2019
Latest Wed, Oct 23, 2019 (In 7 days)

T Dividend

Yield 5.40% / $2.04
Ex-Date Wed, Oct 9, 2019 (7 days ago)
Pay Date Fri, Nov 1, 2019
History 141 Payments (Quarterly)

T Charts

$26.80
1 Year
$38.75
Dec 26, 2018
Sep 11, 2019


VZ $60.29 0.26 (0.43%)
Verizon verizon
NYSE: VZ $249 Billion Large-Cap. Dow Industrial. S&P 500. Telecom industry. 5 Year Return 25%. 1 Year Return 12%. 2019 YTD Return 8%. 4.1% dividend yield. 137 total dividend payments. Dogs Of The Dow. Earnings in 8 days on Fri, Oct 25. (Use the Earnings tab below to add this date to your calendar.) Compare T vs VZ.

VZ Profile

Market Cap 249 Billion
VZ Description

Verizon is now primarily a wireless business (70% of revenue and nearly all operating income). It serves about 89 million postpaid and 4 million prepaid phone customers and connects another 24 million data devices, like tablets, via its nationwide network, making it the largest U.S. wireless carrier. Fixed-line telecom operations include local networks (12% of revenue) in the Northeast, which reach about 25 million homes and businesses, and nationwide enterprise services (10%). Recent investments, including fiber network construction, have supported the wireless business in addition to expanding traditional fixed-line capabilities. Verizon Media Group, the online media and advertising firm formed with the acquisitions of AOL and Yahoo, provides the remainder of revenue.


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VZ Earnings

EPS 0.95 P/E Ratio 15.44
Previous Thu, Aug 1, 2019
Latest Fri, Oct 25, 2019 (In 9 days)

VZ Dividend

Yield 4.08% / $2.46
Ex-Date Wed, Oct 9, 2019 (7 days ago)
Pay Date Fri, Nov 1, 2019
History 137 Payments (Quarterly)

VZ Charts

$52.28
1 Year
$61.58
Jan 30, 2019
Nov 20, 2018


CVX $115.11 1.20 (1.03%)
Chevron Chevron
NYSE: CVX $230 Billion Large-Cap. Dow Industrial. S&P 500. Oil, Gas & Coal industry. 5 Year Return 3%. 1 Year Return 2%. 2019 YTD Return 4%. 4.1% dividend yield. 143 total dividend payments. Dividend Aristocrat25+ consecutive years of increasing dividends. Dogs Of The Dow. Earnings in 15 days on Fri, Nov 1. (Use the Earnings tab below to add this date to your calendar.) Compare CVX vs XOM.

CVX Profile

Market Cap 230 Billion
CVX Description

Chevron is an integrated energy company with exploration, production, and refining operations worldwide. Chevron is the second-largest oil company in the United States with production of 2.9 million of barrels of oil equivalent a day, including 6.9 million cubic feet a day of natural gas and 1.8 million of barrels of liquids a day. Production activities take place in North America, South America, Europe, Africa, Asia, and Australia. Its refineries are in the United States, South Africa, and Asia for total refining capacity of 1.6 million barrels of oil a day. Proven reserves at year-end 2018 stood at 12.1 billion barrels of oil equivalent, including 6.8 billion barrels of liquids and 31.6 trillion cubic feet of natural gas.


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CVX Earnings

EPS 2.28 P/E Ratio 15.60
Previous Fri, Aug 2, 2019
Latest Fri, Nov 1, 2019 (In 16 days)

CVX Dividend

Yield 4.14% / $4.76
Ex-Date Fri, Aug 16, 2019 (61 days ago)
Pay Date Tue, Sep 10, 2019
History 143 Payments (Quarterly)

CVX Charts

$100.22
1 Year
$127.34
Dec 26, 2018
Apr 8, 2019


WFC $49.59 0.52 (1.04%)
Wells Fargo WellsFargo
NYSE: WFC $215 Billion Large-Cap. S&P 500. Banking industry. 5 Year Return 2%. 1 Year Return 9%. 2019 YTD Return 6%. 4.1% dividend yield. 137 total dividend payments. Since Earnings 1%. Compare BAC vs WFC.

WFC Profile

Market Cap 215 Billion
WFC Description

Wells Fargo is one of the largest banks in the United States, with approximately $1.9 trillion in balance sheet assets. The company is split into three segments for reporting purposes: community banking; wholesale banking; and wealth and investment management. The community banking segment serves consumers and small businesses with products including deposit accounts, credit and debit cards, and student, mortgage, and home equity loans. Wholesale banking includes corporate and commercial real estate lending, asset-based lending and trade financing, merchant services, and capital markets businesses. Wealth and investment management includes advisory, brokerage, retirement, and trust services. The bulk of Wells' lending takes place in the U.S.


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WFC Earnings

EPS 1.31 P/E Ratio 10.53
Previous Tue, Jul 16, 2019
Latest Tue, Oct 15, 2019 (1 days ago) Price +0.65%

WFC Dividend

Yield 4.11% / $2.04
Ex-Date Thu, Aug 8, 2019 (69 days ago)
Pay Date Sun, Sep 1, 2019
History 137 Payments (Quarterly)

WFC Charts

$43.02
1 Year
$55.04
Dec 26, 2018
Dec 3, 2018


CHL $41.40 0.33 (0.79%)
China Mobile Limited
NYSE: CHL $175 Billion Large-Cap. Communication Services industry. 5 Year Return 31%. 1 Year Return 16%. 2019 YTD Return 13%. Negative 5 year, 1 year & YTD returns. You may want to avoid this one until things turn around. Check out some Uptrending symbols instead. 4.7% dividend yield. 39 total dividend payments. Paid Biannually.

CHL Profile

Market Cap 175 Billion
CHL Description

China Mobile is not only the largest telecom operator in China by the number of mobile subscribers (935 million), but also the largest in the world. It has 59% of the total wireless market in China and also has 43% of the fixed line broadband market. The firm is also now rolling out its 5G network.


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CHL Earnings

EPS 28.65 P/E Ratio 11.31
Previous --
Latest --

CHL Dividend

Yield 4.70% / $1.95
Ex-Date Wed, Aug 28, 2019 (49 days ago)
Pay Date Mon, Oct 7, 2019
History 39 Payments (Biannual)

CHL Charts

52 Week Low $39.77 set on Wed, Aug 14, 2019
$39.77
1 Year
$55.84
Aug 14, 2019
Mar 20, 2019


HSBC $38.66 0.06 (0.16%)
HSBC Holdings HSBC
NYSE: HSBC $156 Billion Large-Cap. Banking industry. 5 Year Return 23%. 1 Year Return 7%. 2019 YTD Return 5%. 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. 88 total dividend payments. Earnings in 18 days on Mon, Nov 4. (Use the Earnings tab below to add this date to your calendar.)

HSBC Profile

Market Cap 156 Billion
HSBC Description

Established in 1865 in Hong Kong, London-based HSBC is one of the largest banks in the world with 38 million customers worldwide. It operates across 3,800 offices in 66 countries globally. Key regions include Asia, Europe, the Middle East and North Africa, and North America. The two largest markets for the bank are the United Kingdom and Hong Kong. The bank provides retail and commercial banking, global banking and markets, and wealth management, among other services.


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HSBC Earnings

EPS 1.05 P/E Ratio 15.64
Previous Mon, Aug 5, 2019
Latest Mon, Nov 4, 2019 (In 19 days)

HSBC Dividend

Yield 5.17% / $2.00
Ex-Date Thu, Oct 10, 2019 (6 days ago)
Pay Date Wed, Nov 20, 2019
History 88 Payments (Quarterly)

HSBC Charts

52 Week Low $35.36 set on Wed, Aug 28, 2019
$35.36
1 Year
$44.93
Aug 28, 2019
May 3, 2019


TOT $51.10 0.07 (0.14%)
Total S.A. Total
NYSE: TOT $133 Billion Large-Cap. Oil, Gas & Coal industry. 5 Year Return 9%. 1 Year Return 17%. 2019 YTD Return 3%. Negative 5 year, 1 year & YTD returns. You may want to avoid this one until things turn around. Check out some Uptrending symbols instead. 5.5% dividend yield. 56 total dividend payments. Earnings in 8 days on Fri, Oct 25. (Use the Earnings tab below to add this date to your calendar.)

TOT Profile

Market Cap 133 Billion
TOT Description

Total is an integrated oil and gas company that explores for, produces, and refines oil around the world. In 2018, it produced 1.6 million barrels of liquids and 6.6 billion cubic feet of natural gas per day. At year-end 2018, reserves stood at 12.1 billion barrels of oil equivalent, 43% of which are liquids. The company operates refineries with capacity of 2.0 million barrels a day, primarily in Europe, distributes refined products in 65 countries, and manufactures commodity and specialty chemicals. It also holds a 19% interest in Russian oil company Novatek.


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TOT Earnings

EPS 1.01 P/E Ratio 13.29
Previous Thu, Jul 25, 2019
Latest Fri, Oct 25, 2019 (In 9 days)

TOT Dividend

Yield 5.49% / $2.95
Ex-Date Fri, Sep 21, 2018 (390 days ago)
Pay Date Fri, Oct 19, 2018
History 56 Payments (Quarterly)

TOT Charts

52 Week Low $47.70 set on Fri, Aug 16, 2019
$47.70
1 Year
$62.54
Aug 16, 2019
Oct 16, 2018


BP $37.21 0.15 (0.40%)
BP BP_America
NYSE: BP $130 Billion Large-Cap. Oil, Gas & Coal industry. 5 Year Return 10%. 1 Year Return 16%. 2019 YTD Return 4%. Negative 5 year, 1 year & YTD returns. You may want to avoid this one until things turn around. Check out some Uptrending symbols instead. 6.6% dividend yield. 117 total dividend payments. Earnings in 12 days on Tue, Oct 29. (Use the Earnings tab below to add this date to your calendar.)

BP Profile

Market Cap 130 Billion
BP Description

BP is an integrated oil and gas company that explores for, produces, and refines oil around the world. In 2018, it produced 2.2 million barrels of liquids and 7.7 billion cubic feet of natural gas per day, including volumes from its 20% ownership interest in Rosneft. At year-end 2018, reserves stood at 19.9 billion barrels of oil equivalent, 5% of which are liquids. The company operates refineries with a capacity of 1.9 million barrels of oil per day.


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BP Earnings

EPS 0.54 P/E Ratio 15.95
Previous Tue, Jul 30, 2019
Latest Tue, Oct 29, 2019 (In 13 days)

BP Dividend

Yield 6.61% / $2.46
Ex-Date Thu, Nov 8, 2018 (342 days ago)
Pay Date Fri, Dec 21, 2018
History 117 Payments (Quarterly)

BP Charts

52 Week Low $35.73 set on Thu, Aug 15, 2019
$35.73
1 Year
$45.38
Aug 15, 2019
Apr 8, 2019


BHP $48.17 0.51 (1.05%)
BHP Billiton Limited bhp
NYSE: BHP $129 Billion Large-Cap. Metals & Mining industry. 5 Year Return 14%. 1 Year Return 1%. 2019 YTD Return 1%. 6.5% dividend yield. 78 total dividend payments. Paid Biannually.

BHP Profile

Market Cap 129 Billion
BHP Description

BHP is a leading global diversified miner supplying iron ore, copper, oil, gas, and coal. A 2001 dual-listed merger of BHP Limited (now BHP Ltd.) and Billiton PLC (now BHP PLC) created the present-day BHP. Shareholders in each company have equivalent economic and voting rights in BHP as a whole. Major assets include Pilbara iron ore, Queensland coking coal, Escondida copper and conventional petroleum assets, principally in Australia and the Gulf of Mexico. Onshore U.S. oil and gas assets were sold in 2018.


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BHP Earnings

EPS 1.39 P/E Ratio 16.87
Previous --
Latest --

BHP Dividend

Yield 6.48% / $3.12
Ex-Date Thu, Sep 5, 2019 (41 days ago)
Pay Date Wed, Sep 25, 2019
History 78 Payments (Biannual)

BHP Charts

52 Week Low $43.65 set on Tue, Nov 27, 2018
$43.65
1 Year
$59.02
Nov 27, 2018
Jul 2, 2019


IBM $142.11 0.89 (0.62%)
International Business Machines IBM
NYSE: IBM $127 Billion Large-Cap. Dow Industrial. S&P 500. Technology Services industry. 5 Year Return 22%. 1 Year Return 6%. 2019 YTD Return 23%. 4.6% dividend yield. 135 total dividend payments. Dogs Of The Dow. Earnings Today. Compare HPE vs IBM.

IBM Profile

Market Cap 127 Billion
IBM Description

IBM is an IT behemoth with an operating history of more than a century. The company's offerings span a range of services, software, and hardware. IBM operates on a global scale, with operations in over 170 countries; it generates a little more than half of its revenue outside the Americas. The company has an entrenched position globally within the largest multinational firms, providing an end-to-end portfolio that helps enterprises plan, build, manage, and maintain IT infrastructure, platforms, applications, and services.


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IBM Earnings

EPS 2.82 P/E Ratio 14.80
Previous Wed, Jul 17, 2019
Latest Wed, Oct 16, 2019 Today

IBM Dividend

Yield 4.56% / $6.48
Ex-Date Thu, Aug 8, 2019 (69 days ago)
Pay Date Tue, Sep 10, 2019
History 135 Payments (Quarterly)

IBM Charts

$105.94
1 Year
$152.95
Dec 26, 2018
Aug 2, 2019


PM $79.10 0.78 (1.00%)
Philip Morris International InsidePMI
NYSE: PM $116 Billion Large-Cap. S&P 500. Tobacco industry. 5 Year Return 8%. 1 Year Return 6%. 2019 YTD Return 18%. 5.9% dividend yield. 46 total dividend payments. Earnings Tomorrow. Compare MO vs PM.

PM Profile

Market Cap 116 Billion
PM Description

Philip Morris International is a leading international tobacco company engaged in the manufacture and sale of cigarettes and other nicotine-containing products in markets outside the United States. Through multidisciplinary capabilities in product development, state-of-the-art facilities, and scientific substantiation, the company aims to ensure that its smoke-free products meet adult consumer preferences and rigorous regulatory requirements. Management's vision is that these products ultimately replace cigarettes.


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PM Earnings

EPS 1.49 P/E Ratio 19.61
Previous Thu, Jul 18, 2019
Latest Thu, Oct 17, 2019 Tomorrow

PM Dividend

Yield 5.92% / $4.68
Ex-Date Tue, Sep 24, 2019 (22 days ago)
Pay Date Fri, Oct 11, 2019
History 46 Payments (Quarterly)

PM Charts

$64.67
1 Year
$92.74
Dec 27, 2018
Mar 22, 2019


RY $80.95 0.08 (0.10%)
Royal Bank Of Canada RBC
NYSE: RY $113 Billion Large-Cap. Banking industry. 5 Year Return 16%. 1 Year Return 5%. 2019 YTD Return 17%. 5.2% dividend yield. 122 total dividend payments. Current Ex-Date in 6 days on Wed, Oct 23. (Use the Dividend tab below to add this date to your calendar.) Wed, Oct 23.

RY Profile

Market Cap 113 Billion
RY Description

Royal Bank of Canada is one of the two largest banks in Canada. It is a diversified financial services company, offering personal and commercial banking, wealth-management services, insurance, corporate banking, and capital markets services. The bank is concentrated in Canada, with additional operations in the U.S. and other countries.


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RY Earnings

EPS 2.23 P/E Ratio 12.16
Previous Wed, Aug 21, 2019
Latest Wed, Nov 27, 2019 (In 42 days)

RY Dividend

Yield 5.19% / $4.20
Ex-Date Wed, Oct 23, 2019 (In 7 days)
Pay Date Fri, Nov 22, 2019
History 122 Payments (Quarterly)

RY Charts

All Time High $87.10 set on Mon, Jan 22, 2018.
$65.76
1 Year
$81.61
Dec 26, 2018
Sep 30, 2019


BBL $41.57 0.46 (1.09%)
BHP Billiton plc Sponsored ADR bhp
NYSE: BBL $113 Billion Large-Cap. Metals & Mining industry. 5 Year Return 19%. 1 Year Return 0%. 2019 YTD Return 0%. 7.5% dividend yield. 46 total dividend payments. Paid Biannually.

BBL Profile

Market Cap 113 Billion
BBL Description

BHP is a leading global diversified miner supplying iron ore, copper, oil, gas, and coal. A 2001 dual-listed merger of BHP Limited (now BHP Ltd.) and Billiton PLC (now BHP PLC) created the present-day BHP. Shareholders in each company have equivalent economic and voting rights in BHP as a whole. Major assets include Pilbara iron ore, Queensland coking coal, Escondida copper and conventional petroleum assets, principally in Australia and the Gulf of Mexico. Onshore U.S. oil and gas assets were sold in 2018.


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BBL Earnings

EPS 1.39 P/E Ratio 14.98
Previous --
Latest --

BBL Dividend

Yield 7.51% / $3.12
Ex-Date Thu, Sep 5, 2019 (41 days ago)
Pay Date Wed, Sep 25, 2019
History 46 Payments (Biannual)

BBL Charts

52 Week Low $38.04 set on Tue, Nov 27, 2018
$38.04
1 Year
$51.87
Nov 27, 2018
Jul 2, 2019


TD $56.27 0.06 (0.11%)
Toronto Dominion Bank TDBank_US
NYSE: TD $103 Billion Large-Cap. Banking industry. 5 Year Return 19%. 1 Year Return 2%. 2019 YTD Return 12%. 5.3% dividend yield. 122 total dividend payments.

TD Profile

Market Cap 103 Billion
TD Description

Toronto-Dominion is one of Canada's two largest banks and operates three business segments: Canadian retail banking, U.S. retail banking, and wholesale banking. The bank's U.S. operations span from Maine to Florida, with a strong presence in the Northeast. It also has a 42% ownership stake in TD Ameritrade, a discount brokerage.


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TD Earnings

EPS 1.75 P/E Ratio 12.22
Previous Thu, Aug 29, 2019
Latest Thu, Dec 5, 2019 (In 50 days)

TD Dividend

Yield 5.26% / $2.96
Ex-Date Wed, Oct 9, 2019 (7 days ago)
Pay Date Thu, Oct 31, 2019
History 122 Payments (Quarterly)

TD Charts

$47.73
1 Year
$59.55
Dec 26, 2018
Jul 5, 2019


ABBV $74.75 0.25 (0.34%)
AbbVie abbvie
NYSE: ABBV $103 Billion Large-Cap. S&P 500. Biotech & Pharma industry. 5 Year Return 40%. 1 Year Return 19%. 2019 YTD Return 16%. 5.7% dividend yield. 28 total dividend payments. Dividend Aristocrat25+ consecutive years of increasing dividends. Earnings in 15 days on Fri, Nov 1. (Use the Earnings tab below to add this date to your calendar.) Compare ABBV vs ABT.

ABBV Profile

Market Cap 103 Billion
ABBV Description

AbbVie is a drug company with a strong exposure to immunology and oncology. The company's top drug, Humira, represents over half of the company's current profits. The company was spun off from Abbott in early 2013.


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ABBV Earnings

EPS 0.49 P/E Ratio 22.14
Previous Fri, Jul 26, 2019
Latest Fri, Nov 1, 2019 (In 16 days)

ABBV Dividend

Yield 5.73% / $4.28
Ex-Date Fri, Oct 11, 2019 (5 days ago)
Pay Date Fri, Nov 15, 2019
History 28 Payments (Quarterly)

ABBV Charts

$62.66
1 Year
$94.98
Aug 15, 2019
Dec 4, 2018


GSK $42.28 0.01 (0.02%)
GlaxoSmithKline
NYSE: GSK $102 Billion Large-Cap. Drug Manufacturers industry. 5 Year Return 3%. 1 Year Return 6%. 2019 YTD Return 12%. 4.4% dividend yield. 110 total dividend payments. Earnings in 13 days on Wed, Oct 30. (Use the Earnings tab below to add this date to your calendar.)

GSK Profile

Market Cap 102 Billion
GSK Description

In the pharmaceutical industry, GlaxoSmithKline ranks as one of the largest companies by total sales. The company wields its might across several therapeutic classes, including respiratory and antiviral, as well as vaccines and consumer healthcare products. Glaxo uses joint ventures to gain additional scale in certain markets like HIV and consumer products.


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GSK Earnings

EPS 0.39 P/E Ratio 40.40
Previous Wed, Jul 24, 2019
Latest Wed, Oct 30, 2019 (In 14 days)

GSK Dividend

Yield 4.41% / $1.86
Ex-Date Thu, Aug 8, 2019 (69 days ago)
Pay Date Thu, Oct 10, 2019
History 110 Payments (Quarterly)

GSK Charts

$36.41
1 Year
$43.22
Dec 6, 2018
Sep 30, 2019


RIO $50.52 0.88 (1.71%)
Rio Tinto
NYSE: RIO $91 Billion Large-Cap. Metals & Mining industry. 5 Year Return 1%. 1 Year Return 1%. 2019 YTD Return 7%. 6.0% dividend yield. 73 total dividend payments. Paid Biannually.

RIO Profile

Market Cap 91 Billion
RIO Description

Rio Tinto searches for and extracts a variety of minerals worldwide, with the heaviest concentrations in North America and Australia. Iron ore is the dominant commodity, with contributions from aluminium, copper, diamonds, energy products, gold, and industrial minerals. The 1995 merger of RTZ and CRA, via a dual-listed structure, created the present-day company. The two operate as a single business entity. Shareholders in each company have equivalent economic and voting rights.


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RIO Earnings

EPS 5.54 P/E Ratio 8.97
Previous --
Latest --

RIO Dividend

Yield 5.98% / $3.02
Ex-Date Thu, Aug 8, 2019 (69 days ago)
Pay Date Thu, Sep 19, 2019
History 73 Payments (Biannual)

RIO Charts

$44.62
1 Year
$64.02
Dec 10, 2018
Jul 2, 2019


BTI $34.54 0.06 (0.17%)
British American Tobacco Industries
NYSE: BTI $84 Billion Large-Cap. Tobacco industry. 5 Year Return 38%. 1 Year Return 20%. 2019 YTD Return 10%. 7.8% dividend yield. 82 total dividend payments.

BTI Profile

Market Cap 84 Billion
BTI Description

Following the acquisition of Reynolds American, British American Tobacco is neck-and-neck with Philip Morris International to be the largest listed global tobacco company--slightly larger than PMI on net revenue, but slightly smaller on volumes. British American's Global Drive Brands are Dunhill, Kent, Pall Mall, Lucky Strike, and Rothmans, and it also owns Newport and Camel in the U.S. The firm also sells vapor e-cigarettes, including its Vype brand, heated tobacco, with Glo, as well as roll- your-own and smokeless tobacco products. The company holds 31% of ITC Limited, the leading Indian cigarette maker.


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BTI Earnings

EPS 0.00 P/E Ratio 11.84
Previous --
Latest --

BTI Dividend

Yield 7.81% / $2.70
Ex-Date Thu, Dec 26, 2019 (In 71 days)
Pay Date Tue, Feb 11, 2020
History 82 Payments (Quarterly)

BTI Charts

$30.67
1 Year
$46.50
Dec 27, 2018
Oct 25, 2018


MO $43.51 0.08 (0.18%)
Altria Group
NYSE: MO $84 Billion Large-Cap. S&P 500. Tobacco industry. 5 Year Return 5%. 1 Year Return 28%. 2019 YTD Return 12%. Negative 5 year, 1 year & YTD returns. You may want to avoid this one until things turn around. Check out some Uptrending symbols instead. 7.7% dividend yield. 136 total dividend payments. Earnings in 14 days on Thu, Oct 31. (Use the Earnings tab below to add this date to your calendar.) Compare MO vs PM.

MO Profile

Market Cap 84 Billion
MO Description

Altria comprises Philip Morris USA, U.S. Smokeless Tobacco, John Middleton, Ste. Michelle Wine Estates, Nu Mark, and Philip Morris Capital. It holds a 10.2% interest in the world's largest brewer, Anheuser-Busch InBev. Through its tobacco subsidiaries, Altria holds the leading position in cigarettes and smokeless tobacco in the United States and the number-two spot in machine-made cigars. The company's Marlboro brand is the leading cigarette brand in the U.S. with a 40% share.


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MO Earnings

EPS 1.07 P/E Ratio 15.47
Previous Tue, Jul 30, 2019
Latest Thu, Oct 31, 2019 (In 15 days)

MO Dividend

Yield 7.72% / $3.36
Ex-Date Fri, Sep 13, 2019 (33 days ago)
Pay Date Thu, Oct 10, 2019
History 136 Payments (Quarterly)

MO Charts

52 Week Low $39.30 set on Thu, Sep 19, 2019
$39.30
1 Year
$66.04
Sep 19, 2019
Nov 9, 2018


SNP $58.63 0.48 (0.81%)
China Petroleum & Chemical
NYSE: SNP $75 Billion Large-Cap. Oil, Gas & Coal industry. 5 Year Return 31%. 1 Year Return 31%. 2019 YTD Return 18%. Negative 5 year, 1 year & YTD returns. You may want to avoid this one until things turn around. Check out some Uptrending symbols instead. 5.7% dividend yield. 37 total dividend payments. Paid Biannually. Earnings in 12 days on Tue, Oct 29. (Use the Earnings tab below to add this date to your calendar.)

SNP Profile

Market Cap 75 Billion
SNP Description

China Petroleum & Chemical, or Sinopec, is one of China's national oil companies and one of Asian's largest integrated oil companies in terms of revenue. Its income is derived primarily from refining and marketing of oil products and petrochemical production. Sinopec has China's largest petrol station network with over 30,000 stations and enjoys significant market share in petrochemicals. Established in 2000 by Sinopec Group, a state-owned enterprise and majority shareholder, the company also owns oil and gas assets in Shandong and Sichuan provinces. It has a smaller global upstream presence than peers PetroChina and CNOOC.


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SNP Earnings

EPS 13.80 P/E Ratio 10.05
Previous Wed, Aug 28, 2019
Latest Tue, Oct 29, 2019 (In 13 days)

SNP Dividend

Yield 5.73% / $3.36
Ex-Date Fri, Sep 6, 2019 (40 days ago)
Pay Date Thu, Oct 3, 2019
History 37 Payments (Biannual)

SNP Charts

52 Week Low $57.21 set on Wed, Aug 28, 2019
$57.21
1 Year
$88.70
Aug 28, 2019
Dec 3, 2018


WBK $19.73 0.06 (0.31%)
Westpac Banking
NYSE: WBK $71 Billion Large-Cap. Banking industry. 5 Year Return 33%. 1 Year Return 4%. 2019 YTD Return 13%. 6.9% dividend yield. 63 total dividend payments. Paid Biannually.

WBK Profile

Market Cap 71 Billion
WBK Description

Westpac is Australia's oldest bank and financial services group, with a significant franchise in Australia and New Zealand in the consumer, small business, corporate, and institutional sectors, in addition to its major presence in wealth management. Westpac is among a handful of banks around the globe currently retaining very high credit ratings, and ranks third in assets across the four major Australian banks. The bank benefits from a large national branch network and significant market share, particularly in home loans and retail deposits.


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WBK Earnings

EPS 0.00 P/E Ratio 11.29
Previous --
Latest --

WBK Dividend

Yield 6.86% / $1.35
Ex-Date Fri, Nov 9, 2018 (341 days ago)
Pay Date Mon, Dec 31, 2018
History 63 Payments (Biannual)

WBK Charts

$16.41
1 Year
$20.56
Dec 24, 2018
Sep 12, 2019


ENB $35.68 0.01 (0.03%)
Enbridge
NYSE: ENB $70 Billion Large-Cap. Oil, Gas & Coal industry. 5 Year Return 21%. 1 Year Return 10%. 2019 YTD Return 13%. 8.3% dividend yield. 138 total dividend payments. Earnings in 22 days on Fri, Nov 8. (Use the Earnings tab below to add this date to your calendar.)

ENB Profile

Market Cap 70 Billion
ENB Description

Enbridge is an energy generation, distribution, and transportation company in the U.S. and Canada. Its pipeline network consists of the Canadian Mainline system, regional oil sands pipelines, and natural gas pipelines. The company also owns and operates a regulated natural gas utility and Canada's largest natural gas distribution company. Additionally, Enbridge generates renewable and alternative energy with 2,000 megawatts of capacity.


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ENB Earnings

EPS 0.86 P/E Ratio 47.89
Previous Fri, Aug 2, 2019
Latest Fri, Nov 8, 2019 (In 23 days)

ENB Dividend

Yield 8.27% / $2.95
Ex-Date Thu, Feb 14, 2019 (244 days ago)
Pay Date Fri, Mar 1, 2019
History 138 Payments (Quarterly)

ENB Charts

$28.82
1 Year
$38.04
Dec 26, 2018
May 28, 2019


MUFG $5.06 0.00 (0.00%)
Mitsubishi UFJ Financial Group
NYSE: MUFG $68 Billion Large-Cap. Banking industry. 5 Year Return 4%. 1 Year Return 18%. 2019 YTD Return 2%. 4.0% dividend yield. 66 total dividend payments. Paid Biannually.

MUFG Profile

Market Cap 68 Billion
MUFG Description

Mitsubishi UFJ Financial Group Inc is the largest bank in Japan in terms of market capitalization and assets with an 8.8% share of all domestic loans as of December 2018. It is the largest non-Chinese bank group globally and has a balance sheet slightly larger than those of JPMorgan Chase and HSBC Holdings. MUFG's operations in Japan accounted for 60% of its preprovision operating profit in the year ended March 2019, with the U.S. contributing 14%. In the U.S., MUFG's wholly owned Union Bank subsidiary is among the top 20 lenders by deposits, while 77%-owned Bank of Ayudhya ranks fifth in Thailand and 94%-owned Danamon has a similar rank in Indonesia. A 24% stake in Morgan Stanley contributes a significant amount of MUFG's bottom line via equity-method earnings.


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MUFG Earnings

EPS 30.26 P/E Ratio 6.11
Previous --
Latest --

MUFG Dividend

Yield 4.03% / $0.20
Ex-Date Thu, Mar 28, 2019 (202 days ago)
Pay Date Tue, Jul 9, 2019
History 66 Payments (Biannual)

MUFG Charts

$4.49
1 Year
$6.19
May 16, 2019
Oct 17, 2018


CEO $151.08 0.07 (0.05%)
CNOOC Limited
NYSE: CEO $68 Billion Large-Cap. Oil, Gas & Coal industry. 5 Year Return 7%. 1 Year Return 20%. 2019 YTD Return 1%. 5.6% dividend yield. 42 total dividend payments. Paid Biannually.

CEO Profile

Market Cap 68 Billion
CEO Description

CNOOC is China's main offshore oil and gas exploration and production company. Through its parent company, it has exclusive rights to partner with foreign companies in offshore China projects. Production for 2018 averaged 1.3 million barrels of oil equivalent per day (81% oil), and year-end proven reserves were 4.96 billion barrels of oil equivalent, or boe, (72% oil). Assets outside China make up around 35% of production.


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CEO Earnings

EPS 0.00 P/E Ratio 14.95
Previous --
Latest --

CEO Dividend

Yield 5.57% / $8.41
Ex-Date Wed, Sep 11, 2019 (35 days ago)
Pay Date Wed, Oct 23, 2019
History 42 Payments (Biannual)

CEO Charts

52 Week Low $139.77 set on Tue, Aug 27, 2019
$139.77
1 Year
$193.66
Aug 27, 2019
Apr 22, 2019


BNS $57.37 0.13 (0.23%)
Bank Nova Scotia Halifax
NYSE: BNS $68 Billion Large-Cap. Banking industry. 5 Year Return 4%. 1 Year Return 3%. 2019 YTD Return 14%. 6.0% dividend yield. 118 total dividend payments. "Possible" Golden Cross (bullish) chart pattern.

BNS Profile

Market Cap 68 Billion
BNS Description

The Bank of Nova Scotia is known as Canada's "international bank" and is a global financial services provider. The bank has three business segments: Canadian banking, international banking, and global banking and markets. It is the third- largest bank in Canada. The bank's international operations span numerous countries and are more concentrated in Central and South America.


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BNS Earnings

EPS 1.51 P/E Ratio 10.77
Previous Tue, Aug 27, 2019
Latest Tue, Nov 26, 2019 (In 41 days)

BNS Dividend

Yield 5.98% / $3.40
Ex-Date Mon, Oct 1, 2018 (380 days ago)
Pay Date Mon, Oct 29, 2018
History 118 Payments (Quarterly)

BNS Charts

$48.34
1 Year
$57.72
Dec 26, 2018
Sep 27, 2019


SAN $4.26 0.01 (0.24%)
Banco Santander SA
NYSE: SAN $66 Billion Large-Cap. Banking industry. 5 Year Return 51%. 1 Year Return 13%. 2019 YTD Return 6%. Negative 5 year, 1 year & YTD returns. You may want to avoid this one until things turn around. Check out some Uptrending symbols instead. 10.2% dividend yield. 117 total dividend payments. Current Ex-Date in 13 days on Wed, Oct 30. (Use the Dividend tab below to add this date to your calendar.) Wed, Oct 30.

SAN Profile

Market Cap 66 Billion
SAN Description

Santander's focus is on retail and commercial banking. Latin America is geographically the largest operation, with Brazil by far the largest. Its continental European business is still mainly Iberian. Santander's U.K. presence is the result of the acquisition of building society Abbey. In the U.S., Santander operates a vehicle finance business and a Boston-based savings and loan association.


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SAN Earnings

EPS 0.08 P/E Ratio 10.16
Previous --
Latest --

SAN Dividend

Yield 10.24% / $0.44
Ex-Date Wed, Oct 30, 2019 (In 14 days)
Pay Date Fri, Nov 8, 2019
History 117 Payments (Quarterly)

SAN Charts

$3.65
1 Year
$5.25
Sep 3, 2019
Apr 17, 2019


EFA $66.14 0.10 (0.15%)
iShares MSCI EAFE ETF
AMEX: EFA $65 Billion Large-Cap. 5 Year Return 9%. 1 Year Return 3%. 2019 YTD Return 13%. 4.2% dividend yield. 3 total dividend payments. Paid Biannually.

EFA Profile

Market Cap 65 Billion

EFA Earnings

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

EFA Dividend

Yield 4.16% / $2.75
Ex-Date Mon, Jun 17, 2019 (121 days ago)
Pay Date Fri, Jun 21, 2019
History 3 Payments (Biannual)

EFA Charts

$56.77
1 Year
$66.99
Dec 26, 2018
May 3, 2019


EQNR $18.15 0.18 (0.98%)
Equinor ASA
NYSE: EQNR $64 Billion Large-Cap. Oil, Gas & Coal industry. 5 Year Return 22%. 1 Year Return 33%. 2019 YTD Return 16%. Negative 5 year, 1 year & YTD returns. You may want to avoid this one until things turn around. Check out some Uptrending symbols instead. 5.7% dividend yield. 39 total dividend payments. Earnings in 6 days on Wed, Oct 23. (Use the Earnings tab below to add this date to your calendar.)

EQNR Profile

Market Cap 64 Billion
EQNR Description

Equinor is a Norway-based integrated oil and gas company. It has been publicly listed since 2001, but the government retains a 67% stake. Operating primarily on the Norwegian Continental Shelf, the firm produced 2 million barrels of oil equivalent per day in 2018 (51% oil) and ended the year with 6.1 billion barrels of proven reserves (48% oil). Operations also include oil refineries and natural gas processing, marketing, and trading.


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EQNR Earnings

EPS 0.44 P/E Ratio 10.27
Previous Thu, Jul 25, 2019
Latest Wed, Oct 23, 2019 (In 7 days)

EQNR Dividend

Yield 5.73% / $1.04
Ex-Date Mon, Aug 19, 2019 (58 days ago)
Pay Date Wed, Aug 28, 2019
History 39 Payments (Quarterly)

EQNR Charts

$16.24
1 Year
$27.35
Aug 15, 2019
Oct 17, 2018


EPD $27.50 0.18 (0.65%)
Enterprise Products Partners LP
NYSE: EPD $63 Billion Large-Cap. Oil, Gas & Coal industry. 5 Year Return 27%. 1 Year Return 4%. 2019 YTD Return 10%. 6.3% dividend yield. 82 total dividend payments. Earnings in 11 days on Mon, Oct 28. (Use the Earnings tab below to add this date to your calendar.)

EPD Profile

Market Cap 63 Billion
EPD Description

Enterprise Products Partners is a master limited partnership that transports and processes natural gas, natural gas liquids, crude oil, refined products and petrochemicals. It is one of the largest midstream companies, with operations servicing most producing regions in the Lower 48 states. Enterprise is particularly dominant in the NGL market and is one of the few MLPs that provide midstream services across the full hydrocarbon value chain.


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EPD Earnings

EPS 0.55 P/E Ratio 15.73
Previous Wed, Jul 31, 2019
Latest Mon, Oct 28, 2019 (In 12 days)

EPD Dividend

Yield 6.33% / $1.74
Ex-Date Wed, Jan 30, 2019 (259 days ago)
Pay Date Fri, Feb 8, 2019
History 82 Payments (Quarterly)

EPD Charts

$23.33
1 Year
$30.87
Dec 26, 2018
Jul 23, 2019


VALE $11.21 0.23 (2.01%)
VALE S.A. American Depositary Shares
NYSE: VALE $63 Billion Large-Cap. Metals & Mining industry. 5 Year Return 2%. 1 Year Return 30%. 2019 YTD Return 17%. 5.8% dividend yield. 57 total dividend payments. Earnings in 6 days on Wed, Oct 23. (Use the Earnings tab below to add this date to your calendar.)

VALE Profile

Market Cap 63 Billion
VALE Description

Vale is the world's largest iron ore miner and one of the largest diversified miners, along with BHP and Rio Tinto. Earnings are dominated by the bulk materials division, primarily iron ore and iron ore pellets, with minor contributions from iron ore proxies, including manganese and coal. The base metals division is much smaller, primarily consisting of nickel mines and smelters with a small contribution from copper.


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VALE Earnings

EPS -0.03 P/E Ratio 18.88
Previous Thu, Aug 1, 2019
Latest Wed, Oct 23, 2019 (In 7 days)

VALE Dividend

Yield 5.83% / $0.72
Ex-Date Fri, Aug 3, 2018 (439 days ago)
Pay Date Thu, Sep 27, 2018
History 82 Payments (Quarterly)

VALE Charts

52 Week Low $10.20 set on Mon, Aug 26, 2019
$10.20
1 Year
$16.02
Aug 26, 2019
Oct 17, 2018


D $81.80 0.42 (0.52%)
Dominion Resources
NYSE: D $63 Billion Large-Cap. Dow Utility. S&P 500. Utility industry. 5 Year Return 19%. 1 Year Return 13%. 2019 YTD Return 15%. 4.5% dividend yield. 135 total dividend payments. Earnings in 15 days on Fri, Nov 1. (Use the Earnings tab below to add this date to your calendar.)

D Profile

Market Cap 63 Billion
D Description

Based in Richmond, Virginia, Dominion Energy is an integrated energy company with approximately 31,000 megawatts of electric generation capacity; over 100,000 miles of natural gas transmission, distribution and gathering pipelines; and more than 93,000 miles of electric transmission and distribution lines. Dominion operates one of the nation's largest natural gas storage systems with over 1 trillion cubic feet of capacity, recently completed a liquefied natural gas export facility in Maryland, and is 48% owner of the under construction Atlantic Coast Pipeline.


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D Earnings

EPS 0.07 P/E Ratio 15.75
Previous Wed, Jul 31, 2019
Latest Fri, Nov 1, 2019 (In 16 days)

D Dividend

Yield 4.49% / $3.67
Ex-Date Thu, Sep 5, 2019 (41 days ago)
Pay Date Fri, Sep 20, 2019
History 135 Payments (Quarterly)

D Charts

All Time High $85.30 set on Mon, Dec 18, 2017.
$67.41
1 Year
$82.59
Jan 15, 2019
Oct 11, 2019


BX $46.81 0.28 (0.59%)
Blackstone Group LP
NYSE: BX $63 Billion Large-Cap. Asset Management industry. 5 Year Return 63%. 1 Year Return 30%. 2019 YTD Return 56%. 4.1% dividend yield. 47 total dividend payments. Earnings in 6 days on Wed, Oct 23. (Use the Earnings tab below to add this date to your calendar.)

BX Profile

Market Cap 63 Billion
BX Description

Blackstone Group Inc is an alternative asset manager with more than $350 billion in assets under management. Its alternative asset management businesses include investment vehicles focused on real estate, private equity, hedge fund solutions, credit, secondary funds of funds and multi-asset class strategies. The company is organized into four segments: Real Estate, Private Equity, Hedge Fund Solutions, and Credit. It generates maximum revenue from the Real Estate segment.


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BX Earnings

EPS 0.45 P/E Ratio 15.73
Previous Thu, Jul 18, 2019
Latest Wed, Oct 23, 2019 (In 7 days)

BX Dividend

Yield 4.10% / $1.92
Ex-Date Fri, Jul 26, 2019 (82 days ago)
Pay Date Mon, Aug 5, 2019
History 47 Payments (Quarterly)

BX Charts

$26.88
1 Year
$55.17
Dec 20, 2018
Sep 16, 2019


SO $61.09 0.39 (0.64%)
Southern Company
NYSE: SO $62 Billion Large-Cap. Dow Utility. S&P 500. Utility industry. 5 Year Return 32%. 1 Year Return 38%. 2019 YTD Return 40%. 4.1% dividend yield. 135 total dividend payments. Earnings in 13 days on Wed, Oct 30. (Use the Earnings tab below to add this date to your calendar.)

SO Profile

Market Cap 62 Billion
SO Description

The Southern Company is the second- largest utility in the United States by customer count, and its $55 billion rate base is one of the industry's largest. The company distributes electricity and natural gas to approximately 9 million customers in nine states. It also owns about 50 gigawatts of generating capacity, primarily for serving regulated customers in Georgia, Alabama, and Mississippi. Wholly owned unregulated Southern Power Company owns over 11 gigawatts of mostly renewable energy capacity and sells the electricity primarily under long-term power sales agreements. The solar and wind farms are located in Southern's regulated jurisdictions but also in Texas, California, and other western states.


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SO Earnings

EPS 0.86 P/E Ratio 19.81
Previous Wed, Jul 31, 2019
Latest Wed, Oct 30, 2019 (In 14 days)

SO Dividend

Yield 4.06% / $2.48
Ex-Date Fri, Aug 16, 2019 (61 days ago)
Pay Date Fri, Sep 6, 2019
History 135 Payments (Quarterly)

SO Charts

All Time High $62.36 set on Tue, Sep 24, 2019.
$42.50
1 Year
$62.36
Dec 26, 2018
Sep 24, 2019


GM $36.65 0.39 (1.08%)
General Motors
NYSE: GM $56 Billion Large-Cap. S&P 500. Automotive industry. 5 Year Return 21%. 1 Year Return 15%. 2019 YTD Return 9%. 4.2% dividend yield. 23 total dividend payments. Earnings in 13 days on Wed, Oct 30. (Use the Earnings tab below to add this date to your calendar.) Compare FORD vs GM vs TM vs TSLA.

GM Profile

Market Cap 56 Billion
GM Description

General Motors Co. emerged from the bankruptcy of General Motors Corp. (old GM) in July 2009. GM has eight brands and operates under three segments: GM North America, GM International, and GM Financial. The United States now has four brands instead of eight. The company remains the market leader in the U.S. with 17% share in 2018. GM Financial became the company's captive finance arm in October 2010 via the purchase of AmeriCredit.


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GM Earnings

EPS 1.68 P/E Ratio 7.22
Previous Thu, Aug 1, 2019
Latest Wed, Oct 30, 2019 (In 14 days)

GM Dividend

Yield 4.15% / $1.52
Ex-Date Thu, Sep 5, 2019 (41 days ago)
Pay Date Fri, Sep 20, 2019
History 23 Payments (Quarterly)

GM Charts

$30.56
1 Year
$41.90
Oct 24, 2018
Aug 1, 2019


E $30.42 0.14 (0.46%)
ENI S.p.A.
NYSE: E $56 Billion Large-Cap. Oil, Gas & Coal industry. 5 Year Return 27%. 1 Year Return 15%. 2019 YTD Return 3%. Negative 5 year, 1 year & YTD returns. You may want to avoid this one until things turn around. Check out some Uptrending symbols instead. 6.2% dividend yield. 38 total dividend payments. Paid Biannually. Earnings in 20 days on Wed, Nov 6. (Use the Earnings tab below to add this date to your calendar.)

E Profile

Market Cap 56 Billion
E Description

Eni is an integrated oil and gas company that explores for, produces, and refines oil around the world. In 2018, the company produced 0.9 million barrels of liquids and 4.6 billion cubic feet of natural gas per day. At year-end 2018, Eni held reserves of 6.8 billion barrels of oil equivalent, 52% of which are liquids. The Italian government has de facto control of Eni through a 30.1% stake in the company.


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E Earnings

EPS 0.24 P/E Ratio 9.15
Previous Fri, Jul 26, 2019
Latest Wed, Nov 6, 2019 (In 21 days)

E Dividend

Yield 6.15% / $1.87
Ex-Date Mon, May 20, 2019 (149 days ago)
Pay Date Thu, Jun 6, 2019
History 38 Payments (Biannual)

E Charts

52 Week Low $28.54 set on Tue, Aug 27, 2019
$28.54
1 Year
$36.34
Aug 27, 2019
Mar 20, 2019


VOD $20.58 0.04 (0.19%)
Vodafone Group Plc
NASDAQ: VOD $53 Billion Large-Cap. Telecom industry. 5 Year Return 32%. 1 Year Return 2%. 2019 YTD Return 4%. 4.5% dividend yield. 65 total dividend payments. Paid Biannually. "Possible" Golden Cross (bullish) chart pattern.

VOD Profile

Market Cap 53 Billion
VOD Description

With about 275 million wireless customers, Vodafone is one of the largest wireless carriers in the world. More recently, the firm has acquired cable operations and gained access to additional fixed-line networks, either building its own or gaining wholesale access. Vodafone is increasingly pushing converged services of wireless and fixed-line telephone services. Europe accounts for about three fourths of reported service revenue, with major operations in Germany (about 26% of total service revenue), the U.K. (15%), Italy (13%), and Spain (11%). Outside of Europe, 65%-owned Vodacom, which serves sub-Saharan Africa, is Vodafone's largest controlled subsidiary (12% of total service revenue). The firm also owns stakes in operations in India, Australia, and the Netherlands.


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VOD Earnings

EPS -2.43 P/E Ratio 0.00
Previous --
Latest --

VOD Dividend

Yield 4.51% / $0.93
Ex-Date Thu, Jun 6, 2019 (132 days ago)
Pay Date Fri, Aug 2, 2019
History 65 Payments (Biannual)

VOD Charts

$15.53
1 Year
$21.73
May 23, 2019
Nov 28, 2018


SLB $31.95 0.86 (2.62%)
Schlumberger Ltd
NYSE: SLB $52 Billion Large-Cap. S&P 500. Oil, Gas & Coal industry. 5 Year Return 66%. 1 Year Return 46%. 2019 YTD Return 14%. Negative 5 year, 1 year & YTD returns. You may want to avoid this one until things turn around. Check out some Uptrending symbols instead. 6.3% dividend yield. 136 total dividend payments. Earnings in 1 days on Fri, Oct 18. (Use the Earnings tab below to add this date to your calendar.)

SLB Profile

Market Cap 52 Billion
SLB Description

Schlumberger Ltd is the world's largest supplier of products and services to the oil and gas industry. The company operates its business via multiple groups: Reservoir Characterization, Drilling, Production, and Cameron. The firm is investing more than any other services firm to make its offerings more bundled, which it believes is likely to be one of the key industry trends during the next 10 years. Its efforts on this front are most visible via its Schlumberger Production Management (SPM) business, which now accounts for 10% of its revenue.


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SLB Earnings

EPS 0.36 P/E Ratio 0.00
Previous Fri, Jul 19, 2019
Latest Fri, Oct 18, 2019 (In 2 days)

SLB Dividend

Yield 6.26% / $2.00
Ex-Date Tue, Feb 12, 2019 (246 days ago)
Pay Date Fri, Apr 12, 2019
History 136 Payments (Quarterly)

SLB Charts

52 Week Low $30.65 set on Tue, Oct 8, 2019
$30.65
1 Year
$61.19
Oct 8, 2019
Oct 19, 2018


SPG $148.72 0.17 (0.11%)
Simon Property Group
NYSE: SPG $49 Billion Large-Cap. S&P 500. Real Estate industry. 5 Year Return 12%. 1 Year Return 14%. 2019 YTD Return 10%. Negative 5 year, 1 year & YTD returns. You may want to avoid this one until things turn around. Check out some Uptrending symbols instead. 5.7% dividend yield. 106 total dividend payments. Earnings in 7 days on Thu, Oct 24. (Use the Earnings tab below to add this date to your calendar.)

SPG Profile

Market Cap 49 Billion
SPG Description

Simon Property Group is the second- largest real estate investment trust in the United States. Its portfolio includes an interest in 207 properties: 107 traditional malls, 68 premium outlets, 14 Mills centers (a combination of a traditional mall, outlet center, and big-box retailers), four lifestyle centers, and 14 other retail properties. Simon's portfolio averaged $646 in sales per square foot over the past 12 months. The company also owns a 21% interest in Klepierre, a European retail company with investments in shopping centers in 16 countries, and joint venture interests in 27 premium outlets across 11 countries.


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SPG Earnings

EPS 1.60 P/E Ratio 24.87
Previous Wed, Jul 31, 2019
Latest Thu, Oct 24, 2019 (In 8 days)

SPG Dividend

Yield 5.65% / $8.40
Ex-Date Thu, Aug 15, 2019 (62 days ago)
Pay Date Fri, Aug 30, 2019
History 106 Payments (Quarterly)

SPG Charts

52 Week Low $145.28 set on Wed, Oct 9, 2019
$145.28
1 Year
$191.49
Oct 9, 2019
Dec 11, 2018


VWO $41.38 0.11 (0.27%)
Vanguard FTSE Emerging Markets ETF
AMEX: VWO $49 Billion Large-Cap. 5 Year Return 1%. 1 Year Return 7%. 2019 YTD Return 8%. 5.0% dividend yield. 7 total dividend payments.

VWO Profile

Market Cap 49 Billion

VWO Earnings

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

VWO Dividend

Yield 5.01% / $2.07
Ex-Date Tue, Sep 24, 2019 (22 days ago)
Pay Date Fri, Sep 27, 2019
History 7 Payments (Quarterly)

VWO Charts

$36.35
1 Year
$44.19
Oct 29, 2018
Apr 17, 2019


SU $29.90 0.13 (0.44%)
Suncor Energy
NYSE: SU $48 Billion Large-Cap. Oil, Gas & Coal industry. 5 Year Return 11%. 1 Year Return 17%. 2019 YTD Return 6%. 5.6% dividend yield. 102 total dividend payments. Earnings in 13 days on Wed, Oct 30. (Use the Earnings tab below to add this date to your calendar.)

SU Profile

Market Cap 48 Billion
SU Description

Suncor Energy is one of Canada's largest integrated energy companies, operating in western Canada, east coast Canada, the United States, and the North Sea. The upstream portfolio includes bitumen, synthetic crude, and conventional crude, which helps to offset higher-cost oil sands production. Suncor's upstream production is supported by its refining operations, which have a capacity of 462 thousand barrels a day. Production averaged 732 mb/d in 2018, and the company estimates that it holds approximately 7.5 billion barrels of proven and probable crude oil reserves.


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SU Earnings

EPS 1.74 P/E Ratio 22.18
Previous Wed, Jul 24, 2019
Latest Wed, Oct 30, 2019 (In 14 days)

SU Dividend

Yield 5.62% / $1.68
Ex-Date Fri, Mar 1, 2019 (229 days ago)
Pay Date Mon, Mar 25, 2019
History 102 Payments (Quarterly)

SU Charts

$25.81
1 Year
$37.12
Dec 26, 2018
Oct 16, 2018


SMFG $6.95 0.00 (0.00%)
Sumitomo Mitsui Financial Group
NYSE: SMFG $47 Billion Large-Cap. Banking industry. 5 Year Return 5%. 1 Year Return 13%. 2019 YTD Return 4%. 5.1% dividend yield. 23 total dividend payments. Paid Biannually.

SMFG Profile

Market Cap 47 Billion
SMFG Description

Sumitomo Mitsui Financial Group is roughly tied with Mizuho Financial Group for the status of Japan's second- largest bank after Mitsubishi UFJ Financial Group. As of March, its market share of domestic loans was 7.1%, compared with 8.7% for MUFG. It has a larger consumer finance business than the other two megabanks, owning 100% of the Promise business and controlling two major credit card players. It also controls one of Japan's largest leasing companies and SMBC Aviation Capital, one of the top five aircraft lessors globally. In securities, its SMBC Nikko unit is Japan's third- largest retail broker, although SMFG lags somewhat in institutional securities business and asset management, areas that it is working on strengthening.


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SMFG Earnings

EPS -13.69 P/E Ratio 7.06
Previous --
Latest --

SMFG Dividend

Yield 5.07% / $0.35
Ex-Date Thu, Mar 28, 2019 (202 days ago)
Pay Date Thu, Jul 11, 2019
History 23 Payments (Biannual)

SMFG Charts

52 Week Low $6.33 set on Mon, Dec 24, 2018
$6.33
1 Year
$8.08
Dec 24, 2018
Oct 17, 2018


TRP $51.19 0.20 (0.39%)
TransCanada
NYSE: TRP $46 Billion Large-Cap. Oil, Gas & Coal industry. 5 Year Return 9%. 1 Year Return 27%. 2019 YTD Return 38%. 5.9% dividend yield. 140 total dividend payments. Earnings in 21 days on Thu, Nov 7. (Use the Earnings tab below to add this date to your calendar.)

TRP Profile

Market Cap 46 Billion
TRP Description

TC Energy operates as an energy infrastructure company, consisting of pipeline and power generation assets in Canada, the United States, and Mexico. TC Energy's pipeline network consists of over 92,600 kilometers (57,500 miles) of natural gas pipeline, along with 4,900 kilometers (3,000) miles) from the Keystone Pipeline system. The company also owns or has interests in 11 power generation facilities with a capacity of 6,600 megawatts.


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TRP Earnings

EPS 1.21 P/E Ratio 14.66
Previous Thu, Aug 1, 2019
Latest Thu, Nov 7, 2019 (In 22 days)

TRP Dividend

Yield 5.86% / $3.00
Ex-Date Fri, Sep 27, 2019 (19 days ago)
Pay Date Thu, Oct 31, 2019
History 140 Payments (Quarterly)

TRP Charts

$34.58
1 Year
$52.69
Dec 26, 2018
Sep 4, 2019


KMI $20.02 0.16 (0.79%)
Kinder Morgan
NYSE: KMI $46 Billion Large-Cap. S&P 500. Oil, Gas & Coal industry. 5 Year Return 46%. 1 Year Return 12%. 2019 YTD Return 27%. 5.0% dividend yield. 34 total dividend payments. Earnings Today.

KMI Profile

Market Cap 46 Billion
KMI Description

Kinder Morgan is one of the largest midstream energy firm in North America with more than 84,000 miles of pipelines, most of it natural gas. The company is active in the transportation, storage and processing of natural gas, crude oil, refined products, and carbon dioxide and is the largest handler of ethanol in the country. The majority of Kinder Morgan's cash flows stem from fee-based contracts for handling, moving, and storing fossil-fuel products.


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KMI Earnings

EPS 0.23 P/E Ratio 29.98
Previous Wed, Jul 17, 2019
Latest Wed, Oct 16, 2019 Today

KMI Dividend

Yield 5.00% / $1.00
Ex-Date Tue, Jul 30, 2019 (78 days ago)
Pay Date Thu, Aug 15, 2019
History 34 Payments (Quarterly)

KMI Charts

$14.62
1 Year
$21.50
Dec 26, 2018
Jun 24, 2019


BMO $73.44 0.09 (0.12%)
Bank Of Montreal
NYSE: BMO $46 Billion Large-Cap. Banking industry. 5 Year Return 4%. 1 Year Return 8%. 2019 YTD Return 11%. 5.2% dividend yield. 118 total dividend payments.

BMO Profile

Market Cap 46 Billion
BMO Description

Bank of Montreal is a diversified financial-services provider based in North America, operating four business segments: Canadian P&C banking, U.S. P&C banking, wealth management, and capital markets. The bank's operations are primarily in Canada, with a material portion also within the U.S.


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BMO Earnings

EPS 2.34 P/E Ratio 12.63
Previous Tue, Aug 27, 2019
Latest Tue, Dec 3, 2019 (In 48 days)

BMO Dividend

Yield 5.23% / $3.84
Ex-Date Wed, Oct 31, 2018 (350 days ago)
Pay Date Tue, Nov 27, 2018
History 118 Payments (Quarterly)

BMO Charts

$62.79
1 Year
$80.16
Dec 26, 2018
Oct 17, 2018


LVS $57.41 0.10 (0.17%)
Las Vegas Sands
NYSE: LVS $46 Billion Large-Cap. Travel & Leisure industry. 5 Year Return 10%. 1 Year Return 0%. 2019 YTD Return 6%. 5.4% dividend yield. 32 total dividend payments. Earnings in 6 days on Wed, Oct 23. (Use the Earnings tab below to add this date to your calendar.)

LVS Profile

Market Cap 46 Billion
LVS Description

Las Vegas Sands is the world's largest operator of fully integrated resorts, featuring casino, hotel, entertainment, food and beverage, retail, and convention center operations. The company owns the Venetian Macao, Sands Macao, Sands Cotai Central Londoner, Four Seasons Hotel Macao, and Parisian in Macau, the Marina Bay Sands resort in Singapore, and the Venetian and Palazzo Las Vegas in the U.S. We expect Sands to open a fourth tower in Singapore in mid-2023 and estimate it will open a Japanese resort in 2025. The company generates 90% of its EBITDA from Asia, and its casino operations generate 70% of sales.


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LVS Earnings

EPS 1.24 P/E Ratio 22.22
Previous Wed, Jul 24, 2019
Latest Wed, Oct 23, 2019 (In 7 days)

LVS Dividend

Yield 5.36% / $3.08
Ex-Date Tue, Sep 17, 2019 (29 days ago)
Pay Date Thu, Sep 26, 2019
History 32 Payments (Quarterly)

LVS Charts

$47.39
1 Year
$69.60
Dec 24, 2018
Apr 18, 2019


ABB $18.86 0.08 (0.43%)
ABB
NYSE: ABB $43 Billion Large-Cap. Electrical Equipment industry. 5 Year Return 8%. 1 Year Return 12%. 2019 YTD Return 1%. Negative 5 year, 1 year & YTD returns. You may want to avoid this one until things turn around. Check out some Uptrending symbols instead. 4.2% dividend yield. 15 total dividend payments. Paid Annually. Since Earnings 2%.

ABB Profile

Market Cap 43 Billion
ABB Description

ABB is a global supplier of electrical equipment and automation products. Founded in the late 19th century, the company was created out of the merger of two old industrial companies--ASEA and BBC--and is now called Asea Brown Boveri Group, or ABB. The company is the number-one or number-two supplier in all of its core markets and the number-two robotic arm supplier globally. In automation, it offers a full suite of products for both discrete and process automation.


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ABB Earnings

EPS 0.03 P/E Ratio 19.01
Previous Thu, Oct 25, 2018
Latest Thu, Jul 25, 2019 (83 days ago) Price -2.38%

ABB Dividend

Yield 4.17% / $0.79
Ex-Date Mon, May 6, 2019 (163 days ago)
Pay Date Thu, Jun 13, 2019
History 15 Payments (Annually)

ABB Charts

52 Week Low $17.71 set on Wed, Aug 7, 2019
$17.71
1 Year
$21.50
Aug 7, 2019
Oct 16, 2018


BCE $48.91 0.11 (0.22%)
BCE
NYSE: BCE $43 Billion Large-Cap. Communication Services industry. 5 Year Return 17%. 1 Year Return 23%. 2019 YTD Return 23%. 6.5% dividend yield. 138 total dividend payments. Earnings in 14 days on Thu, Oct 31. (Use the Earnings tab below to add this date to your calendar.)

BCE Profile

Market Cap 43 Billion
BCE Description

BCE, through its Bell brand, is both a wireless and Internet service provider, offering wireless, broadband, television, and landline phone services in Canada. It is one of the big three national wireless carriers, with its nearly 10 million customers constituting about 30% of the market. It is also the ILEC (incumbent local exchange carrier--the legacy telephone provider) throughout much of the eastern half of Canada, including in the most populous Canadian provinces--Ontario and Quebec. Additionally, BCE has a media segment, which holds television, radio, and digital media assets. BCE licenses the Canadian rights to movie channels including HBO, Showtime, and Starz. In 2018, the wireline segment comprised 54% of total revenue, while wireless comprised 36%. Media provided the remainder.


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BCE Earnings

EPS 0.85 P/E Ratio 19.51
Previous Thu, Aug 1, 2019
Latest Thu, Oct 31, 2019 (In 15 days)

BCE Dividend

Yield 6.48% / $3.17
Ex-Date Fri, Sep 13, 2019 (33 days ago)
Pay Date Tue, Oct 15, 2019
History 138 Payments (Quarterly)

BCE Charts

$38.75
1 Year
$49.58
Oct 31, 2018
Oct 11, 2019


UBS $11.18 0.08 (0.71%)
UBS Group AG Registered Ordinary Shares
NYSE: UBS $42 Billion Large-Cap. Banking industry. 5 Year Return 29%. 1 Year Return 22%. 2019 YTD Return 11%. Negative 5 year, 1 year & YTD returns. You may want to avoid this one until things turn around. Check out some Uptrending symbols instead. 5.3% dividend yield. 20 total dividend payments. Paid Annually.