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Wed, Oct 16 9:23pm

0 Mid-Cap Stocks

Mid-Caps have a market capitalization between $2 billion and $10 billion. So they are bigger than a small cap but not a large cap yet. Some investors research mid caps with the hope future growth, increased profits and market share. This is sometimes referred to as being in "the middle of their growth curve".

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
78116197


Mid-Cap Stocks

RGA $156.71 0.35 (0.22%)
Reinsurance Group of America Inc
NYSE: RGA $10 Billion Mid-Cap. Insurance industry. 5 Year Return 106%. 1 Year Return 14%. 2019 YTD Return 12%. 1.8% dividend yield. 55 total dividend payments. Earnings in 13 days on Wed, Oct 30. (Use the Earnings tab below to add this date to your calendar.)

RGA Profile

Market Cap 10 Billion
RGA Description

Reinsurance Group of America Inc is an insurance holding company with operations in the United States, Latin America, Canada, Europe, Africa, Asia and Australia. The core products and services include life reinsurance, living benefits reinsurance, group reinsurance, health reinsurance, financial solutions, facultative underwriting, and product development. The company's operations are divided into traditional and nontraditional businesses. Traditional reinsurance includes individual and group life and health, disability, and critical illness reinsurance. Nontraditional reinsurance includes longevity reinsurance, asset-intensive reinsurance, and financial reinsurance.


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RGA Earnings

EPS 3.23 P/E Ratio 5.25
Previous Mon, Jul 29, 2019
Latest Wed, Oct 30, 2019 (In 14 days)

RGA Dividend

Yield 1.79% / $2.80
Ex-Date Wed, Aug 7, 2019 (70 days ago)
Pay Date Thu, Aug 29, 2019
History 55 Payments (Quarterly)

RGA Charts

All Time High $165.12 set on Wed, Nov 29, 2017.
$127.84
1 Year
$163.46
Oct 24, 2018
Jul 29, 2019


BIO $337.60 3.09 (0.92%)
Bio-Rad Laboratories Inc
NYSE: BIO $10 Billion Mid-Cap. Medical Diagnostics & Research industry. 5 Year Return 0%. 1 Year Return 0%. 2019 YTD Return 0%. Earnings in 21 days on Thu, Nov 7. (Use the Earnings tab below to add this date to your calendar.)

BIO Profile

Market Cap 10 Billion
BIO Description

Bio-Rad Laboratories manufactures and supplies systems used to separate and analyze chemical and biological materials to life sciences and healthcare companies. The firm has two business segments: life science and clinical diagnostics. The life sciences segment manufactures reagents and laboratory instruments used by researchers, food producers, and pharmaceutical manufacturers. The clinical diagnostics segment generates over half of the firm's revenue and creates tests systems, informatics systems, test kits, and specialized quality controls for diagnostic labs. It also sells in vitro diagnostic tests to clinical laboratories. Most of the firm's revenue is generated from the United States and Europe.


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BIO Earnings

EPS 20.08 P/E Ratio 25.69
Previous Thu, Aug 1, 2019
Latest Thu, Nov 7, 2019 (In 22 days)

BIO Dividend

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

BIO Charts

All Time High $348.39 set on Mon, Sep 23, 2019.
$319.26
1 Year
$348.39
Oct 8, 2019
Sep 23, 2019


GLPG $161.68 0.51 (0.31%)
Galapagos NV - American Depositary Shares
NASDAQ: GLPG $10 Billion Mid-Cap. Biotech & Pharma industry. 5 Year Return 220%. 1 Year Return 56%. 2019 YTD Return 79%. Earnings in 8 days on Fri, Oct 25. (Use the Earnings tab below to add this date to your calendar.)

GLPG Profile

Market Cap 10 Billion
GLPG Description

Galapagos NV is a clinical-stage biotechnology company, involved in the discovery and development of small-molecule medicines. The company's product candidate portfolio includes Filgotinib, a JAK1 inhibitor to treat rheumatoid arthritis, Crohn's disease, and ulcerative colitis; novel therapies in cystic fibrosis (a chronic disease that affects the lungs and digestive system); GLPG1690, a selective autotaxin inhibitor with potential application in idiopathic pulmonary disease; GLPG1972 to treat osteoarthritis; and MOR106 to treat atopic dermatitis.


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GLPG Earnings

EPS -0.86 P/E Ratio 0.00
Previous Thu, Jul 25, 2019
Latest Fri, Oct 25, 2019 (In 9 days)

GLPG Dividend

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

GLPG Charts

$85.00
1 Year
$191.63
Dec 27, 2018
Jul 22, 2019


WRK $36.31 0.06 (0.17%)
WestRock Co
NYSE: WRK $10 Billion Mid-Cap. S&P 500. Containers & Packaging industry. 5 Year Return 38%. 1 Year Return 16%. 2019 YTD Return 7%. Negative 5 year, 1 year & YTD returns. You may want to avoid this one until things turn around. Check out some Uptrending symbols instead. 5.0% dividend yield. 103 total dividend payments. Earnings in 21 days on Thu, Nov 7. (Use the Earnings tab below to add this date to your calendar.)

WRK Profile

Market Cap 10 Billion
WRK Description

WestRock Co manufactures corrugated packaging and consumer packaging such as folding cartons and paperboard. After the merger of RockTenn and MeadWestvaco in fall 2015, WestRock became the largest North American producer of solid bleached sulfate and the second- largest producer of containerboard, which is used in the production of shipping containers.


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WRK Earnings

EPS 0.98 P/E Ratio 11.07
Previous Thu, Aug 1, 2019
Latest Thu, Nov 7, 2019 (In 22 days)

WRK Dividend

Yield 5.01% / $1.82
Ex-Date Thu, Aug 8, 2019 (69 days ago)
Pay Date Tue, Aug 20, 2019
History 103 Payments (Quarterly)

WRK Charts

$31.94
1 Year
$48.55
Aug 28, 2019
Dec 3, 2018


URI $121.67 0.99 (0.82%)
United Rentals Inc
NYSE: URI $10 Billion Mid-Cap. S&P 500. Industrial Services industry. 5 Year Return 18%. 1 Year Return 12%. 2019 YTD Return 15%. Earnings Today.

URI Profile

Market Cap 10 Billion
URI Description

United Rentals Inc is an equipment rental company operating in the United States of America and Canada. The company offers rentals of aerial work platforms, earth-moving equipment, forklifts, light towers and generators, plumbing equipment, pumps, power tools, trucks and trailers, and welders. It has two segments namely general rentals and trench, power and fluid solutions. The company generates majority of its revenue from renting equipment.


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URI Earnings

EPS 3.45 P/E Ratio 10.37
Previous Wed, Jul 17, 2019
Latest Wed, Oct 16, 2019 Today

URI Dividend

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

URI Charts

$94.28
1 Year
$142.69
Dec 26, 2018
May 1, 2019


FWONK $40.93 0.13 (0.32%)
Liberty Media Corporation - Series C Liberty Formula One Common Stock
NASDAQ: FWONK $10 Billion Mid-Cap. Entertainment industry. 5 Year Return 36%. 1 Year Return 19%. 2019 YTD Return 32%. Earnings in 28 days on Thu, Nov 14. (Use the Earnings tab below to add this date to your calendar.)

FWONK Profile

Market Cap 10 Billion
FWONK Description

Formula One Group controls the exclusive commercial and promotional rights to the FIA Formula One World Championship series, and the monetization of those rights is the primary business of the group. The firm is responsible for development and promotion of the Formula One race series in concert with its three partners: the FIA (the regulatory body), the teams that participate in the series, and the series' commercial partners, which include the race promoters, broadcasters, sponsors, and advertisers. Formula One Group is a subsidiary of Liberty Media Corporation, which purchased the firm in January 2017. Formula One stock is a tracking stock for the assets under Formula One Group with Liberty Media.


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FWONK Earnings

EPS -0.33 P/E Ratio 13.61
Previous Thu, Aug 8, 2019
Latest Thu, Nov 14, 2019 (In 29 days)

FWONK Dividend

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

FWONK Charts

All Time High $43.05 set on Mon, Sep 9, 2019.
$27.51
1 Year
$43.05
Dec 24, 2018
Sep 9, 2019


CMA $65.49 1.51 (2.25%)
Comerica Inc
NYSE: CMA $10 Billion Mid-Cap. S&P 500. Banking industry. 5 Year Return 52%. 1 Year Return 23%. 2019 YTD Return 6%. 4.1% dividend yield. 140 total dividend payments. Earnings Today.

CMA Profile

Market Cap 10 Billion
CMA Description

Comerica is a financial services company headquartered in Dallas. It has three major business segments: the business bank, the retail bank, and wealth management. Comerica is primarily focused on relationship-based commercial banking. In addition to Texas, Comerica Bank locations can be found in Arizona, California, Florida, and Michigan, with select businesses operating in several other states as well as in Canada and Mexico.


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CMA Earnings

EPS 1.95 P/E Ratio 11.68
Previous Wed, Jul 17, 2019
Latest Wed, Oct 16, 2019 Today

CMA Dividend

Yield 4.09% / $2.68
Ex-Date Thu, Sep 12, 2019 (34 days ago)
Pay Date Tue, Oct 1, 2019
History 140 Payments (Quarterly)

CMA Charts

$58.54
1 Year
$88.96
Aug 27, 2019
Feb 25, 2019


MLCO $20.72 0.13 (0.63%)
Melco Resorts and Entertainment Ltd
NASDAQ: MLCO $10 Billion Mid-Cap. Travel & Leisure industry. 5 Year Return 7%. 1 Year Return 12%. 2019 YTD Return 11%. 3.2% dividend yield. 24 total dividend payments. Earnings in 28 days on Thu, Nov 14. (Use the Earnings tab below to add this date to your calendar.)

MLCO Profile

Market Cap 10 Billion
MLCO Description

Melco Resorts is one of only six companies with a licence to operate casinos in Macau, the only region in China with legalised gambling. It operates Altira, a complex focused on VIP customers; City of Dreams, an integrated resort in Cotai serving both mass-market and premium-end patrons; and Mocha Clubs electronic gaming machines. The company also has a majority interest in Studio City, a new casino in Cotai that opened in October 2015, and City of Dreams Manila, which opened in the Philippines in February 2015.


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MLCO Earnings

EPS 0.22 P/E Ratio 35.82
Previous Wed, Jul 24, 2019
Latest Thu, Nov 14, 2019 (In 29 days)

MLCO Dividend

Yield 3.19% / $0.66
Ex-Date Fri, Aug 2, 2019 (75 days ago)
Pay Date Thu, Aug 15, 2019
History 24 Payments (Quarterly)

MLCO Charts

$15.33
1 Year
$26.97
Nov 8, 2018
Apr 29, 2019


NRG $39.52 0.14 (0.36%)
NRG Energy Inc
NYSE: NRG $10 Billion Mid-Cap. S&P 500. Utility industry. 5 Year Return 40%. 1 Year Return 5%. 2019 YTD Return 4%. 0.3% dividend yield. 29 total dividend payments. Earnings in 28 days on Thu, Nov 14. (Use the Earnings tab below to add this date to your calendar.)

NRG Profile

Market Cap 10 Billion
NRG Description

NRG Energy is one of the largest U.S. independent power producers, with 21 gigawatts of nuclear, coal, gas, and oil power generation capacity primarily in Texas and the eastern United States. NRG also is one of the largest retail energy providers in the U.S., with more than 3 million customers. In 2018, NRG divested its 47% stake in NRG Yield, among other renewable energy and conventional generation investments. NRG exited Chapter 11 bankruptcy as a stand-alone entity in December 2003.


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NRG Earnings

EPS 0.76 P/E Ratio 0.00
Previous Wed, Aug 7, 2019
Latest Thu, Nov 14, 2019 (In 29 days)

NRG Dividend

Yield 0.30% / $0.12
Ex-Date Wed, Jul 31, 2019 (77 days ago)
Pay Date Thu, Aug 15, 2019
History 29 Payments (Quarterly)

NRG Charts

$32.63
1 Year
$43.66
Aug 7, 2019
Mar 22, 2019


HSIC $62.45 0.61 (0.99%)
Henry Schein Inc
NASDAQ: HSIC $10 Billion Mid-Cap. Nasdaq 100. S&P 500. Health Care Facilities & Services industry. 5 Year Return 41%. 1 Year Return 8%. 2019 YTD Return 4%. Earnings in 19 days on Tue, Nov 5. (Use the Earnings tab below to add this date to your calendar.)

HSIC Profile

Market Cap 10 Billion
HSIC Description

Henry Schein is one of the largest wholesalers of dental and medical products in the United States. The firm has a focus on dental practice and medical products. It also offers dental practice management products that include software products, technical, financial, and educational services to thousands of dental practices throughout North America.


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HSIC Earnings

EPS 0.77 P/E Ratio 17.64
Previous Tue, Aug 6, 2019
Latest Tue, Nov 5, 2019 (In 20 days)

HSIC Dividend

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

HSIC Charts

52 Week Low $56.58 set on Thu, Mar 7, 2019
$56.58
1 Year
$72.81
Mar 7, 2019
Jun 18, 2019


TER $60.26 1.43 (2.32%)
Teradyne Inc
NASDAQ: TER $10 Billion Mid-Cap. Semiconductors industry. 5 Year Return 259%. 1 Year Return 77%. 2019 YTD Return 90%. 0.6% dividend yield. 22 total dividend payments. Earnings in 5 days on Tue, Oct 22. (Use the Earnings tab below to add this date to your calendar.)

TER Profile

Market Cap 10 Billion
TER Description

Teradyne Inc designs, develops and manufactures automatic test systems for use in semiconductors, wireless products, data storage, and electronic systems in the wireless, automotive, industrial, communications, aerospace, and defense industries. The company operates in four business segments organized by end market: semiconductor test, system test, wireless test, and industrial automation. Teradyne tests help improve and control product quality, measure performance, and increase yields. The firm generates revenue primarily in Taiwan, China, the United States, Japan, and South Korea, but has a presence in countries across the world.


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TER Earnings

EPS 0.57 P/E Ratio 34.43
Previous Tue, Jul 23, 2019
Latest Tue, Oct 22, 2019 (In 6 days)

TER Dividend

Yield 0.60% / $0.36
Ex-Date Tue, Sep 3, 2019 (43 days ago)
Pay Date Fri, Sep 27, 2019
History 22 Payments (Quarterly)

TER Charts

$28.73
1 Year
$62.09
Dec 26, 2018
Oct 15, 2019


IRM $32.71 0.08 (0.24%)
Iron Mountain Inc
NYSE: IRM $10 Billion Mid-Cap. S&P 500. Real Estate industry. 5 Year Return 1%. 1 Year Return 3%. 2019 YTD Return 2%. 7.5% dividend yield. 42 total dividend payments. Earnings in 14 days on Thu, Oct 31. (Use the Earnings tab below to add this date to your calendar.)

IRM Profile

Market Cap 10 Billion
IRM Description

Iron Mountain is a records management services provider. The firm is organized as an REIT. Most of its revenue comes from its storage business, with the rest coming from value-added services. Following the acquisition of former competitor Recall, the firm's geographic footprint reaches 53 countries in six continents. The firm primarily caters to enterprise clients in developed markets, but is shifting its mix toward emerging markets, middle markets, and government entities in the U.S., as well as its data center and fine arts storage business.


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IRM Earnings

EPS 0.32 P/E Ratio 27.44
Previous Thu, Aug 1, 2019
Latest Thu, Oct 31, 2019 (In 15 days)

IRM Dividend

Yield 7.47% / $2.44
Ex-Date Fri, Sep 13, 2019 (33 days ago)
Pay Date Wed, Oct 2, 2019
History 42 Payments (Quarterly)

IRM Charts

$29.28
1 Year
$37.32
Jul 31, 2019
Feb 1, 2019


WHR $159.54 0.92 (0.58%)
Whirlpool Corp
NYSE: WHR $10 Billion Mid-Cap. S&P 500. Home & Office Products industry. 5 Year Return 6%. 1 Year Return 47%. 2019 YTD Return 48%. 3.0% dividend yield. 141 total dividend payments. 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 5 days on Tue, Oct 22. (Use the Earnings tab below to add this date to your calendar.)

WHR Profile

Market Cap 10 Billion
WHR Description

Whirlpool Corp is a U.S.-based global manufacturer and marketer of major home appliances and related products. Its segments consist of North America, Europe/Middle East/Africa, Latin America, and Asia. Most of the company's sales occur in North America. Products are divided into various classes, including laundry appliances, refrigerators and freezers, cooking appliances, and other. The majority of revenue is derived from the laundry appliances and refrigerators and freezers classes. Whirlpool also sells its products to other manufacturers, distributors, and retailers for resale across its geographic segments. The company's major international brands include Whirlpool, KitchenAid, Maytag, Consul, Brastemp, and Jenn-Air.


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WHR Earnings

EPS 1.04 P/E Ratio 0.00
Previous Mon, Jul 22, 2019
Latest Tue, Oct 22, 2019 (In 6 days)

WHR Dividend

Yield 3.01% / $4.80
Ex-Date Thu, Nov 14, 2019 (In 29 days)
Pay Date Sun, Dec 15, 2019
History 141 Payments (Quarterly)

WHR Charts

$99.40
1 Year
$161.00
Dec 26, 2018
Oct 11, 2019


TYL $263.29 6.40 (2.37%)
Tyler Technologies Inc
NYSE: TYL $10 Billion Mid-Cap. Software industry. 5 Year Return 181%. 1 Year Return 19%. 2019 YTD Return 44%. Earnings in 13 days on Wed, Oct 30. (Use the Earnings tab below to add this date to your calendar.)

TYL Profile

Market Cap 10 Billion
TYL Description

Tyler Technologies provides a full suite of software solutions and services that address the needs of cities, counties, schools, courts, and other local government entities. The company's two core products are Munis, which is the core enterprise resource planning system, and Odyssey, which is the court management system. The company also provides a variety of add-on modules and offers outsourced property tax assessment services.


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TYL Earnings

EPS 0.83 P/E Ratio 59.37
Previous Wed, Jul 31, 2019
Latest Wed, Oct 30, 2019 (In 14 days)

TYL Dividend

Yield --
Ex-Date --
Pay Date --
History 2 Payments (Quarterly)

TYL Charts

All Time High $271.87 set on Tue, Oct 15, 2019.
$173.26
1 Year
$271.87
Dec 24, 2018
Oct 15, 2019


ASX $4.97 0.02 (0.40%)
ASE Technology Holding Co., Ltd. American Depositary Shares (each representing Two Common Shares)
NYSE: ASX $10 Billion Mid-Cap. Semiconductors industry. 5 Year Return 14%. 1 Year Return 19%. 2019 YTD Return 35%. 3.1% dividend yield. Paid Annually. Since Earnings 29%.

ASX Profile

Market Cap 10 Billion
ASX Description

ASE Technology Holding Co Ltd is a semiconductor assembly and testing firm. The company operates in segments: Packaging, Testing, and Electronic Manufacturing services. Of these, packaging services contributes the most revenue. It involves packaging bare semiconductors into completed semiconductors with improved electrical and thermal characteristics. The Testing Segment includes front-end engineering testing, wafer probing, and final testing services. In the EMS segment, the company designs, manufactures, and sells electronic components and telecommunication equipment motherboards. The company is based in Taiwan but garners over half its sales from firms in the United States.


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ASX Earnings

EPS 1.26 P/E Ratio 11.94
Previous --
Latest Wed, Jan 30, 2019 (259 days ago) Price +29.43%

ASX Dividend

Yield 3.14% / $0.00
Ex-Date --
Pay Date --
History 0 Payments (Quarterly)

ASX Charts

$3.46
1 Year
$4.98
Jan 7, 2019
Oct 14, 2019


BAH $70.99 0.07 (0.10%)
Booz Allen Hamilton Holding Corp
NYSE: BAH $10 Billion Mid-Cap. Business Services industry. 5 Year Return 180%. 1 Year Return 44%. 2019 YTD Return 60%. 1.1% dividend yield. 33 total dividend payments. Earnings in 15 days on Fri, Nov 1. (Use the Earnings tab below to add this date to your calendar.)

BAH Profile

Market Cap 10 Billion
BAH Description

Booz Allen Hamilton Holding Corp is a provider of management consulting services to the U.S. government. Other services offered include technology, such as cloud computing and cybersecurity consulting, and engineering consulting. The consulting services are focused on defense, intelligence, and civil markets. In addition to the U.S. government, Booz Allen Hamilton provides its management and technology consulting services to large corporations, institutions, and nonprofit organizations. The company assists clients in long-term engagements around the globe.


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BAH Earnings

EPS 0.83 P/E Ratio 20.40
Previous Mon, Jul 29, 2019
Latest Fri, Nov 1, 2019 (In 16 days)

BAH Dividend

Yield 1.07% / $0.76
Ex-Date Tue, Nov 13, 2018 (337 days ago)
Pay Date Fri, Nov 30, 2018
History 33 Payments (Quarterly)

BAH Charts

$43.24
1 Year
$78.01
Dec 26, 2018
Sep 5, 2019


PKI $81.69 0.47 (0.57%)
PerkinElmer Inc
NYSE: PKI $10 Billion Mid-Cap. S&P 500. Medical Equipment & Devices industry. 5 Year Return 5%. 1 Year Return 5%. 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. 0.3% dividend yield. 137 total dividend payments. Current Ex-Date in 0 days on Thu, Oct 17. (Use the Dividend tab below to add this date to your calendar.) Thu, Oct 17. Earnings in 13 days on Wed, Oct 30. (Use the Earnings tab below to add this date to your calendar.)

PKI Profile

Market Cap 10 Billion
PKI Description

PerkinElmer provides instruments, consumables, and services to the pharmaceutical, biomedical, chemical, environmental, and general industrial markets. The company operates in two segments: diagnostics, which includes prenatal screening and infectious disease testing, and discovery and analytical solutions, composed of life science, industrial, environmental, and food applications. PerkinElmer offers products and services ranging from genetic screening to environmental analytical tools.


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PKI Earnings

EPS 0.62 P/E Ratio 75.48
Previous Mon, Jul 29, 2019
Latest Wed, Oct 30, 2019 (In 14 days)

PKI Dividend

Yield 0.34% / $0.28
Ex-Date Thu, Oct 17, 2019 Tomorrow
Pay Date Fri, Nov 8, 2019
History 137 Payments (Quarterly)

PKI Charts

All Time High $87.63 set on Fri, Sep 20, 2019.
$78.35
1 Year
$87.63
Oct 8, 2019
Sep 20, 2019


UAA $20.25 0.15 (0.74%)
Under Armour Inc
NYSE: UAA $10 Billion Mid-Cap. S&P 500. Apparel & Textile Products industry. 5 Year Return 38%. 1 Year Return 6%. 2019 YTD Return 14%. Earnings in 12 days on Tue, Oct 29. (Use the Earnings tab below to add this date to your calendar.)

UAA Profile

Market Cap 10 Billion
UAA Description

Under Armour develops, markets, and distributes athletic apparel, footwear, and accessories in North America and other territories. Consumers of its apparel include professional and amateur athletes, sponsored college and professional teams, and people with active lifestyles. The company sells merchandise through wholesale and direct-to-consumer channels, including e-commerce and nearly 350 total factory house and brand house stores. Under Armour also operates digital fitness apps with more than 200 million users. The Baltimore-based company was founded in 1996.


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UAA Earnings

EPS -0.04 P/E Ratio 0.00
Previous Tue, Jul 30, 2019
Latest Tue, Oct 29, 2019 (In 13 days)

UAA Dividend

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

UAA Charts

$16.52
1 Year
$27.72
Dec 26, 2018
Jul 24, 2019


TTD $195.84 16.16 (7.62%)
The Trade Desk Inc
NASDAQ: TTD $10 Billion Mid-Cap. Software industry. 5 Year Return 551%. 1 Year Return 53%. 2019 YTD Return 69%. Earnings in 28 days on Thu, Nov 14. (Use the Earnings tab below to add this date to your calendar.)

TTD Profile

Market Cap 10 Billion
TTD Description

The Trade Desk Inc is engaged in providing a technology platform for ad buyers. It provides a self-service platform that enables clients to purchase and manage data-driven digital advertising campaigns using their own teams. The Company platform allows clients to manage integrated advertising campaigns across various advertising formats, including display, video and social, and on a multitude of devices, including computers, mobile devices and connected TV, an approach that it refers to as omnichannel.


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TTD Earnings

EPS 0.63 P/E Ratio 81.74
Previous Thu, Aug 8, 2019
Latest Thu, Nov 14, 2019 (In 29 days)

TTD Dividend

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

TTD Charts

$102.35
1 Year
$289.51
Dec 24, 2018
Aug 9, 2019


PHM $38.23 0.92 (2.47%)
PulteGroup Inc
NYSE: PHM $10 Billion Mid-Cap. New 52 WEEK HIGH today. S&P 500. Home & Office Products industry. 5 Year Return 110%. 1 Year Return 68%. 2019 YTD Return 46%. This is Uptrending. A good sign. 1.2% dividend yield. 110 total dividend payments. Earnings in 5 days on Tue, Oct 22. (Use the Earnings tab below to add this date to your calendar.) Compare LEN vs DHI vs PHM vs TOL.

PHM Profile

Market Cap 10 Billion
PHM Description

PulteGroup is one of the largest homebuilders in the United States, operating in 44 markets across 24 states. The company mainly builds single-family detached homes (85% of unit sales) and offers products to entry-level, move-up, and active-adult buyers. PulteGroup offers homebuyers mortgage financing and title agency services through its financial services segment. The company is headquartered in Atlanta.


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PHM Earnings

EPS 0.86 P/E Ratio 8.69
Previous Tue, Jul 23, 2019
Latest Tue, Oct 22, 2019 (In 6 days)

PHM Dividend

Yield 1.15% / $0.44
Ex-Date Tue, Sep 17, 2019 (29 days ago)
Pay Date Thu, Oct 3, 2019
History 110 Payments (Quarterly)

PHM Charts

$20.64
1 Year
$38.32
Oct 23, 2018
Today


DVA $57.01 0.29 (0.51%)
DaVita HealthCare Partners Inc
NYSE: DVA $10 Billion Mid-Cap. S&P 500. Health Care Facilities & Services industry. 5 Year Return 22%. 1 Year Return 17%. 2019 YTD Return 10%. Earnings in 20 days on Wed, Nov 6. (Use the Earnings tab below to add this date to your calendar.)

DVA Profile

Market Cap 10 Billion
DVA Description

DaVita is the largest provider of dialysis services in the U.S., boasting market share levels that eclipse 35% measured by both patients and clinics. The firm operates 2,905 facilities worldwide, with 2,664 in the United States, and treats over 225,000 patients globally each year. Management began to build out a fledgling international business in 2011, but we anticipate this business will need to continue to expand before it garners the scale needed to earn attractive returns. Government payers dominate dialysis reimbursement--DaVita receives approximately 69% of U.S. sales at Medicare and Medicaid reimbursement rates, with the remaining 31% coming from commercial insurers.


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DVA Earnings

EPS 1.64 P/E Ratio 16.88
Previous Thu, Aug 1, 2019
Latest Wed, Nov 6, 2019 (In 21 days)

DVA Dividend

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

DVA Charts

$43.40
1 Year
$79.11
May 31, 2019
Nov 7, 2018


MTN $229.96 3.62 (1.60%)
Vail Resorts Inc
NYSE: MTN $10 Billion Mid-Cap. Travel & Leisure industry. 5 Year Return 179%. 1 Year Return 10%. 2019 YTD Return 8%. 3.1% dividend yield. 33 total dividend payments.

MTN Profile

Market Cap 10 Billion
MTN Description

Vail Resorts Inc Bhd is a resorts and casinos company that operates mountain resorts and ski areas. The company has three business segments that include Mountain, Lodging, and Real Estate. The Mountain segment operates numerous ski resort properties that offer a variety of winter and summer activities, such as skiing, snowboarding, snowshoeing, hiking, and mountain biking. The Lodging segment owns and operates hotels and condominiums. The Real Estate segment owns, develops, and leases real estate, typically near its other properties. The company generates the vast majority of its revenue within the United States.


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MTN Earnings

EPS -2.22 P/E Ratio 33.84
Previous Thu, Sep 26, 2019
Latest Fri, Dec 6, 2019 (In 51 days)

MTN Dividend

Yield 3.06% / $7.04
Ex-Date Tue, Mar 26, 2019 (204 days ago)
Pay Date Thu, Apr 11, 2019
History 33 Payments (Quarterly)

MTN Charts

$179.60
1 Year
$286.40
Jan 17, 2019
Dec 3, 2018


ALNY $81.67 0.82 (1.01%)
Alnylam Pharmaceuticals Inc
NASDAQ: ALNY $10 Billion Mid-Cap. Biotech & Pharma industry. 5 Year Return 5%. 1 Year Return 1%. 2019 YTD Return 12%. Earnings in 20 days on Wed, Nov 6. (Use the Earnings tab below to add this date to your calendar.)

ALNY Profile

Market Cap 10 Billion
ALNY Description

Alnylam Pharmaceuticals is a leader in the study of RNA interference and is attempting to harness this mechanism to create a new class of drugs. In addition to FDA-approved patisiran (Onpattro) for amyloidosis, Alnylam has partnered several pipeline candidates in rare genetic diseases, liver diseases, and other indications as well. Up-front fees from research partnerships with firms such as Regeneron, Sanofi, and The Medicines Company have boosted Alnylam's cash levels, and the company stands to see additional milestones and royalties from drugs commercialized under collaboration partnerships.


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ALNY Earnings

EPS -2.02 P/E Ratio 0.00
Previous Tue, Aug 6, 2019
Latest Wed, Nov 6, 2019 (In 21 days)

ALNY Dividend

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

ALNY Charts

$60.27
1 Year
$96.08
Dec 24, 2018
Apr 1, 2019


AVY $114.08 0.46 (0.40%)
Avery Dennison Corp
NYSE: AVY $10 Billion Mid-Cap. S&P 500. Chemicals industry. 5 Year Return 165%. 1 Year Return 15%. 2019 YTD Return 27%. 2.0% dividend yield. 136 total dividend payments. Earnings in 5 days on Tue, Oct 22. (Use the Earnings tab below to add this date to your calendar.)

AVY Profile

Market Cap 10 Billion
AVY Description

Avery Dennison manufactures pressure-sensitive materials, merchandise tags, and labels. The company also runs a specialty converting business that produces radio-frequency identification inlays and labels. Avery Dennison draws a significant amount of revenue from outside the United States, with international operations accounting for the majority of total sales.


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AVY Earnings

EPS 1.70 P/E Ratio 21.98
Previous Tue, Jul 23, 2019
Latest Tue, Oct 22, 2019 (In 6 days)

AVY Dividend

Yield 2.03% / $2.32
Ex-Date Tue, Sep 3, 2019 (43 days ago)
Pay Date Wed, Sep 18, 2019
History 136 Payments (Quarterly)

AVY Charts

All Time High $123.67 set on Wed, Jan 31, 2018.
$82.89
1 Year
$120.65
Dec 26, 2018
Jul 5, 2019


AFG $102.23 0.23 (0.22%)
American Financial Group Inc
NYSE: AFG $10 Billion Mid-Cap. Insurance industry. 5 Year Return 81%. 1 Year Return 0%. 2019 YTD Return 14%. 1.8% dividend yield. 135 total dividend payments. Earnings in 12 days on Tue, Oct 29. (Use the Earnings tab below to add this date to your calendar.)

AFG Profile

Market Cap 10 Billion
AFG Description

American Financial Group Inc is a holding company that is engaged primarily in property and casualty insurance services. The company has a focus on specialized commercial products for businesses. American also has annuity operations that are focused on sales of traditional fixed and fixed-indexed annuities in the education, bank, and individual markets. American's insurance operations are conducted through the Great American Insurance Group. The group writes business in all 50 of the United States, primarily through independent agents and brokers.


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AFG Earnings

EPS 2.34 P/E Ratio 12.87
Previous Tue, Aug 6, 2019
Latest Tue, Oct 29, 2019 (In 13 days)

AFG Dividend

Yield 1.76% / $1.80
Ex-Date Fri, Oct 11, 2019 (5 days ago)
Pay Date Fri, Oct 25, 2019
History 135 Payments (Quarterly)

AFG Charts

$84.18
1 Year
$109.80
Dec 26, 2018
Sep 19, 2019


DXC $27.87 1.13 (3.90%)
DXC Technology Co
NYSE: DXC $10 Billion Mid-Cap. S&P 500. Technology Services industry. 5 Year Return 53%. 1 Year Return 69%. 2019 YTD Return 49%. Negative 5 year, 1 year & YTD returns. You may want to avoid this one until things turn around. Check out some Uptrending symbols instead. 3.0% dividend yield. 41 total dividend payments. Earnings in 19 days on Tue, Nov 5. (Use the Earnings tab below to add this date to your calendar.)

DXC Profile

Market Cap 10 Billion
DXC Description

DXC Technology is a vendor-independent IT services provider that started trading in April 2017. DXC was created via the amalgamation of Computer Sciences Corporation, or CSC, and Hewlett Packard Enterprise's Services business. The combined company has enviable global scale, with annual revenue of around $25 billion, over 170,000 employees, operations across 70 countries, and broad industry exposure. In addition, the firm has roughly 6,000 clients, of which over 200 are within the Fortune 500.


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DXC Earnings

EPS 0.61 P/E Ratio 8.61
Previous Thu, Aug 8, 2019
Latest Tue, Nov 5, 2019 (In 20 days)

DXC Dividend

Yield 3.01% / $0.84
Ex-Date Tue, Dec 3, 2019 (In 48 days)
Pay Date Tue, Jan 14, 2020
History 41 Payments (Quarterly)

DXC Charts

52 Week Low $26.02 set on Tue, Oct 8, 2019
$26.02
1 Year
$90.31
Oct 8, 2019
Oct 17, 2018


CGC $19.73 0.37 (1.84%)
Canopy Growth Corporation Common Stock
NYSE: CGC $10 Billion Mid-Cap. Drug Manufacturers industry. 5 Year Return 1,089%. 1 Year Return 61%. 2019 YTD Return 32%. Earnings in 27 days on Wed, Nov 13. (Use the Earnings tab below to add this date to your calendar.)

CGC Profile

Market Cap 10 Billion
CGC Description

Canopy Growth, headquartered in Smiths Falls, Canada, cultivates and sells medicinal and recreational cannabis, and hemp, through a portfolio of brands that include Tweed, Spectrum Therapeutics, and CraftGrow. Although it primarily operates in Canada, Canopy has distribution and production licenses in more than a dozen countries to drive expansion in global medical cannabis and also holds an option to acquire Acreage Holdings upon U.S. federal cannabis legalization.


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CGC Earnings

EPS -3.70 P/E Ratio 0.00
Previous Wed, Aug 14, 2019
Latest Wed, Nov 13, 2019 (In 28 days)

CGC Dividend

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

CGC Charts

52 Week Low $17.89 set on Mon, Oct 14, 2019
$17.89
1 Year
$52.87
Oct 14, 2019
Oct 17, 2018


VER $9.71 0.02 (0.21%)
VEREIT Inc
NYSE: VER $9 Billion Mid-Cap. REITs industry. 5 Year Return 11%. 1 Year Return 34%. 2019 YTD Return 14%. 5.7% dividend yield. 55 total dividend payments. Earnings in 20 days on Wed, Nov 6. (Use the Earnings tab below to add this date to your calendar.)

VER Profile

Market Cap 9 Billion
VER Description

VEREIT Inc is a real estate investment trust primarily involved in the ownership of property located in the U.S. and Canada. VEREIT organizes its operations through the Real Estate Investment segment. The company derives the vast majority of its income from its Real Estate Investment division in the form of rental income from long-term leases. This business unit owns and manages a real estate portfolio that is fairly evenly diversified between retail, restaurant, office, and industrial properties. A sizable amount of the company's total rental income is derived from customers in the casual dining restaurant and manufacturing industries.


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VER Earnings

EPS 0.27 P/E Ratio 0.00
Previous Wed, Aug 7, 2019
Latest Wed, Nov 6, 2019 (In 21 days)

VER Dividend

Yield 5.66% / $0.55
Ex-Date Thu, Mar 28, 2019 (202 days ago)
Pay Date Mon, Apr 15, 2019
History 55 Payments (Quarterly)

VER Charts

$6.96
1 Year
$10.13
Dec 26, 2018
Sep 26, 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


WTR $45.42 0.43 (0.96%)
Aqua America Inc
NYSE: WTR $9 Billion Mid-Cap. Utility industry. 5 Year Return 89%. 1 Year Return 22%. 2019 YTD Return 38%. 2.1% dividend yield. 139 total dividend payments. Earnings in 18 days on Mon, Nov 4. (Use the Earnings tab below to add this date to your calendar.)

WTR Profile

Market Cap 9 Billion
WTR Description

Aqua America Inc is a U.S.-based holding company for regulated utilities providing water or wastewater services to states in the Midwest, East, and South. Aqua America's services include operating and maintenance contracts with municipal authorities, water repair services, and building water systems. The company derives the majority of its revenue from Pennsylvania, where it is headquartered. The firm derives the majority of its revenue from water services and secondarily from wastewater services. Aqua America has a diversified customer base, deriving most of its revenue from residential customers. The company also sells to commercial, fire protection, industrial, and wastewater customers.


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WTR Earnings

EPS 0.25 P/E Ratio 24.04
Previous Tue, Aug 6, 2019
Latest Mon, Nov 4, 2019 (In 19 days)

WTR Dividend

Yield 2.06% / $0.94
Ex-Date Thu, Aug 15, 2019 (62 days ago)
Pay Date Sun, Sep 1, 2019
History 139 Payments (Quarterly)

WTR Charts

All Time High $45.87 set on Mon, Oct 14, 2019.
$32.09
1 Year
$45.87
Nov 15, 2018
Oct 14, 2019


LII $241.73 0.57 (0.24%)
Lennox International Inc
NYSE: LII $9 Billion Mid-Cap. Industrial Products industry. 5 Year Return 217%. 1 Year Return 20%. 2019 YTD Return 12%. 1.3% dividend yield. 81 total dividend payments. Earnings in 4 days on Mon, Oct 21. (Use the Earnings tab below to add this date to your calendar.) "Possible" Death Cross (bearish) chart pattern.

LII Profile

Market Cap 9 Billion
LII Description

Lennox International manufactures and distributes residential and commercial heating, ventilation, air conditioning, and refrigeration products to replacement (74% of sales) and new construction (26% of sales) markets. In fiscal 2018 (adjusted for refrigeration divestitures), residential HVAC was 60% of sales, commercial HVAC was 25%, and refrigeration accounted for the remaining 15% of sales. The company goes to market with multiple brands, but Lennox is the company's flagship HVAC brand. The Texas-based company generated 93% of adjusted 2018 sales in North America.


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LII Earnings

EPS 2.83 P/E Ratio 27.00
Previous Mon, Jul 22, 2019
Latest Mon, Oct 21, 2019 (In 5 days)

LII Dividend

Yield 1.27% / $3.08
Ex-Date Mon, Sep 30, 2019 (16 days ago)
Pay Date Tue, Oct 15, 2019
History 81 Payments (Quarterly)

LII Charts

$177.36
1 Year
$298.49
Oct 22, 2018
Jul 16, 2019


KL $44.18 0.35 (0.80%)
Kirkland Lake Gold Ltd. Common Shares
NYSE: KL $9 Billion Mid-Cap. Metals & Mining industry. 5 Year Return 288%. 1 Year Return 106%. 2019 YTD Return 69%. 0.4% dividend yield. 8 total dividend payments. Earnings in 12 days on Tue, Oct 29. (Use the Earnings tab below to add this date to your calendar.)

KL Profile

Market Cap 9 Billion
KL Description

Kirkland Lake Gold Ltd is a Canada-based gold producer. The company operates in one segment consisting of a mining and milling operation. Its operations consist of the Macassa Mine and Mill and four contiguous formerly producing gold mining properties. The principal product from the mining operations of the company is the sale of gold dore bars. The company also owns five former high-grade gold mines within the Kirkland Lake camp. The company currently operates the Macassa Mine Complex, and the Holt, Holloway, Fosterville Mine and Taylor mines.


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KL Earnings

EPS 0.50 P/E Ratio 24.28
Previous Tue, Jul 30, 2019
Latest Tue, Oct 29, 2019 (In 13 days)

KL Dividend

Yield 0.36% / $0.16
Ex-Date Thu, Mar 28, 2019 (202 days ago)
Pay Date Fri, Apr 12, 2019
History 8 Payments (Quarterly)

KL Charts

$18.12
1 Year
$51.08
Nov 14, 2018
Sep 4, 2019


ALLE $103.41 1.62 (1.59%)
Allegion PLC
NYSE: ALLE $9 Billion Mid-Cap. S&P 500. Electrical Equipment industry. 5 Year Return 121%. 1 Year Return 23%. 2019 YTD Return 28%. 1.0% dividend yield. 23 total dividend payments. Earnings in 7 days on Thu, Oct 24. (Use the Earnings tab below to add this date to your calendar.)

ALLE Profile

Market Cap 9 Billion
ALLE Description

Allegion is a global security products company with a portfolio of leading brands, such as Schlage, Von Duprin, and LCN. The Ireland-domiciled company was created via a spin-off transaction from Ingersoll-Rand in December 2013. In fiscal 2018, Allegion generated 73% of sales in the Americas, 22% of sales in Europe, the Middle East, India, and Africa, and 5% of sales in Asia-Pacific. The company mainly competes with Swedish-based Assa Abloy AB, Switzerland-based Dormakaba, and U.S.-based Spectrum Brands.


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ALLE Earnings

EPS 1.17 P/E Ratio 20.72
Previous Thu, Jul 25, 2019
Latest Thu, Oct 24, 2019 (In 8 days)

ALLE Dividend

Yield 1.04% / $1.08
Ex-Date Fri, Sep 13, 2019 (33 days ago)
Pay Date Mon, Sep 30, 2019
History 23 Payments (Quarterly)

ALLE Charts

All Time High $111.99 set on Mon, Jul 1, 2019.
$74.83
1 Year
$111.99
Dec 26, 2018
Jul 1, 2019


LN $36.33 0.22 (0.60%)
LINE Corp
NYSE: LN $9 Billion Mid-Cap. Software industry. 5 Year Return 13%. 1 Year Return 0%. 2019 YTD Return 6%.

LN Profile

Market Cap 9 Billion
LN Description

Line is the leading mobile messaging app in Japan, Taiwan, and Thailand, and also has a strong following in Indonesia. As at the end of 2018, the company had 164 million monthly active users in four major countries, and in particular, it had established a dominant position in Japan, Taiwan, and Thailand. The company is focusing on adding new applications and advertising services to increase monetization, in order to leverage its established user base. Approximately 75% of revenue is from the domestic market.


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LN Earnings

EPS -68.19 P/E Ratio 0.00
Previous --
Latest --

LN Dividend

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

LN Charts

$27.04
1 Year
$39.28
Jun 17, 2019
Feb 1, 2019


MHK $125.55 0.54 (0.43%)
Mohawk Industries Inc
NYSE: MHK $9 Billion Mid-Cap. S&P 500. Home & Office Products industry. 5 Year Return 3%. 1 Year Return 19%. 2019 YTD Return 6%. Earnings in 7 days on Thu, Oct 24. (Use the Earnings tab below to add this date to your calendar.)

MHK Profile

Market Cap 9 Billion
MHK Description

Mohawk Industries manufactures a wide range of flooring products, including carpets, rugs, ceramic tile, laminate, wood, luxury vinyl tile, and vinyl flooring. The Georgia-based company has grown from a U.S.-focused carpeting manufacturer to a leading global player in the diversified flooring market. Mohawk operates three reporting segments: global ceramic ($5.2 billion of sales in 2018), North America flooring ($3.9 billion), and rest of the world flooring ($3.7 billion). The company generates over 60% of its sales in the United States.


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MHK Earnings

EPS 2.80 P/E Ratio 11.47
Previous Thu, Jul 25, 2019
Latest Thu, Oct 24, 2019 (In 8 days)

MHK Dividend

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

MHK Charts

$108.93
1 Year
$156.75
Aug 16, 2019
Oct 17, 2018


FWONA $38.89 0.18 (0.46%)
Liberty Media Corporation - Series A Liberty Formula One Common Stock
NASDAQ: FWONA $9 Billion Mid-Cap. Entertainment industry. 5 Year Return 27%. 1 Year Return 19%. 2019 YTD Return 30%. Since Earnings 20%.

FWONA Profile

Market Cap 9 Billion
FWONA Description

Formula One Group controls the exclusive commercial and promotional rights to the FIA Formula One World Championship series, and the monetization of those rights is the primary business of the group. The firm is responsible for development and promotion of the Formula One race series in concert with its three partners: the FIA (the regulatory body), the teams that participate in the series, and the series' commercial partners, which include the race promoters, broadcasters, sponsors, and advertisers. Formula One Group is a subsidiary of Liberty Media Corporation, which purchased the firm in January 2017. Formula One stock is a tracking stock for the assets under Formula One Group with Liberty Media.


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FWONA Earnings

EPS -0.33 P/E Ratio 13.08
Previous --
Latest Thu, Nov 8, 2018 (342 days ago) Price +19.92%

FWONA Dividend

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

FWONA Charts

All Time High $40.81 set on Thu, Sep 12, 2019.
$26.63
1 Year
$40.81
Dec 26, 2018
Sep 12, 2019


NICE $149.68 3.11 (2.04%)
NICE Ltd
NASDAQ: NICE $9 Billion Mid-Cap. Software industry. 5 Year Return 280%. 1 Year Return 41%. 2019 YTD Return 40%. Earnings in 28 days on Thu, Nov 14. (Use the Earnings tab below to add this date to your calendar.)

NICE Profile

Market Cap 9 Billion
NICE Description

Nice is an enterprise software company that operates in two segments: customer engagement and financial crime and compliance. The company develops on-premises and cloud software based on data analytics. In customer engagement, Nice uses its software to offer services in both workforce engagement management and contact center infrastructure, serving both niches. WEM products optimize call center efficiency, using data for call volume forecasting and scheduling. Nice's CCI products are cloud-based infrastructure products for back-end call routing. In financial crime and compliance, Nice sells anti-money-laundering, risk management, and fraud prevention software products.


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NICE Earnings

EPS 0.68 P/E Ratio 53.06
Previous Thu, Aug 8, 2019
Latest Thu, Nov 14, 2019 (In 29 days)

NICE Dividend

Yield --
Ex-Date --
Pay Date --
History 16 Payments (Quarterly)

NICE Charts

All Time High $155.76 set on Thu, Aug 1, 2019.
$100.54
1 Year
$155.76
Oct 29, 2018
Aug 1, 2019


NOV $21.01 0.20 (0.94%)
National Oilwell Varco Inc
NYSE: NOV $9 Billion Mid-Cap. S&P 500. Oil, Gas & Coal industry. 5 Year Return 70%. 1 Year Return 50%. 2019 YTD Return 19%. Negative 5 year, 1 year & YTD returns. You may want to avoid this one until things turn around. Check out some Uptrending symbols instead. 1.0% dividend yield. 41 total dividend payments. Earnings in 11 days on Mon, Oct 28. (Use the Earnings tab below to add this date to your calendar.)

NOV Profile

Market Cap 9 Billion
NOV Description

National Oilwell Varco is a leading supplier of oil and gas drilling rig equipment and products, such as downhole tools, drill pipe, and well casing. The company operates on a global scale, with more than a thousand locations in six continents.


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NOV Earnings

EPS -14.11 P/E Ratio 0.00
Previous Mon, Jul 29, 2019
Latest Mon, Oct 28, 2019 (In 12 days)

NOV Dividend

Yield 0.95% / $0.20
Ex-Date Thu, Sep 12, 2019 (34 days ago)
Pay Date Fri, Sep 27, 2019
History 41 Payments (Quarterly)

NOV Charts

$18.05
1 Year
$42.39
Aug 15, 2019
Oct 17, 2018


BKI $62.07 0.55 (0.88%)
Black Knight, Inc. Common Stock
NYSE: BKI $9 Billion Mid-Cap. Software industry. 5 Year Return 48%. 1 Year Return 28%. 2019 YTD Return 38%. Earnings in 12 days on Tue, Oct 29. (Use the Earnings tab below to add this date to your calendar.)

BKI Profile

Market Cap 9 Billion
BKI Description

Black Knight Inc is a holding company whose subsidiaries are providers of integrated technology, workflow automation, and data and analytics to the mortgage industry. Its services include mortgage processing, real estate data, and analytics capabilities. Black Knight's business is organized in two segments: technology, which offers software and hosting solutions; and data and analytics, which offers solutions to support technology products. The technology segment derives revenue from mortgage processing, outsourced business processing services, and software-related services. The data and analytics segment derives revenue from data and valuation-related services. A large majority of the firm's revenue is generated in the United States.


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BKI Earnings

EPS 0.22 P/E Ratio 48.00
Previous Tue, Aug 6, 2019
Latest Tue, Oct 29, 2019 (In 13 days)

BKI Dividend

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

BKI Charts

All Time High $64.48 set on Fri, Sep 6, 2019.
$42.30
1 Year
$64.48
Nov 20, 2018
Sep 6, 2019


USFD $39.29 0.30 (0.76%)
US Foods Holding Corp
NYSE: USFD $9 Billion Mid-Cap. Retail Consumer Staples industry. 5 Year Return 58%. 1 Year Return 31%. 2019 YTD Return 24%. Earnings in 19 days on Tue, Nov 5. (Use the Earnings tab below to add this date to your calendar.)

USFD Profile

Market Cap 9 Billion
USFD Description

US Foods is the second-largest U.S. food-service distributor behind Sysco, holding 9% market share of the highly fragmented food-service distribution industry. US Foods distributes 400,000 food and nonfood products to the healthcare and hospitality industries (33% of revenue), independent restaurants (33%), and national restaurant chains, education, government, and grocers (33%). In addition to its delivery business, the firm has seven Chef'Store cash and carry stores. After Sysco's attempt to purchase US Foods failed to gain federal approval in 2015, US Foods entered the public market via an initial public offering.


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USFD Earnings

EPS 0.53 P/E Ratio 12.55
Previous Tue, Aug 6, 2019
Latest Tue, Nov 5, 2019 (In 20 days)

USFD Dividend

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

USFD Charts

$27.51
1 Year
$43.10
Nov 5, 2018
Sep 12, 2019


BYND $123.92 1.87 (1.53%)
Beyond Meat
NASDAQ: BYND $9 Billion Mid-Cap. Consumer Products industry. 5 Year Return 88%. 1 Year Return 88%. 2019 YTD Return 88%. Earnings in 18 days on Mon, Nov 4. (Use the Earnings tab below to add this date to your calendar.)

BYND Profile

Market Cap 9 Billion
BYND Description

Beyond Meat Inc is a food company based in the United States. It offers a portfolio of revolutionary plant-based meats. The company has developed three core plant-based product platforms including beef, pork and poultry. Its flagship product is The Beyond Burger, is designed to look, cook and taste like traditional ground beef. It generates revenues primarily from sales of its products, including The Beyond Burger, Beyond Sausage, Beyond Chicken and other plant-based meat products. Its customers include mainstream grocery, mass merchandiser and natural retailers, as well as restaurants and other foodservice outlets mainly in the United States.


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BYND Earnings

EPS -0.24 P/E Ratio 0.00
Previous Mon, Jul 29, 2019
Latest Mon, Nov 4, 2019 (In 19 days)

BYND Dividend

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

BYND Charts

$45.00
1 Year
$239.71
May 2, 2019
Jul 26, 2019


SEIC $58.79 0.75 (1.26%)
SEI Investments Co
NASDAQ: SEIC $9 Billion Mid-Cap. Asset Management industry. 5 Year Return 73%. 1 Year Return 5%. 2019 YTD Return 28%. 1.1% dividend yield. 63 total dividend payments. Paid Biannually. Earnings in 5 days on Tue, Oct 22. (Use the Earnings tab below to add this date to your calendar.)

SEIC Profile

Market Cap 9 Billion
SEIC Description

SEI Investments provides investment processing, management, and operations services to financial institutions, asset managers, asset owners, and financial advisors in four material segments: private banks, investment advisors, institutional investors, and investment managers. SEI also has a minority interest in LSV Asset Management, a value equity asset manager with over $96 billion in AUM. As of Dec. 31, 2018, SEI (including LSV) manages, administers, or advises on over $880 billion in assets.


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SEIC Earnings

EPS 0.83 P/E Ratio 16.31
Previous Wed, Jul 24, 2019
Latest Tue, Oct 22, 2019 (In 6 days)

SEIC Dividend

Yield 1.12% / $0.66
Ex-Date Wed, Dec 26, 2018 (294 days ago)
Pay Date Tue, Jan 8, 2019
History 63 Payments (Biannual)

SEIC Charts

$42.27
1 Year
$61.35
Dec 26, 2018
Sep 13, 2019


IONS $57.62 3.84 (6.25%)
Ionis Pharmaceuticals Inc
NASDAQ: IONS $9 Billion Mid-Cap. Biotech & Pharma industry. 5 Year Return 0%. 1 Year Return 22%. 2019 YTD Return 7%. Earnings in 19 days on Tue, Nov 5. (Use the Earnings tab below to add this date to your calendar.) "Possible" Death Cross (bearish) chart pattern.

IONS Profile

Market Cap 9 Billion
IONS Description

Ionis Pharmaceuticals is the leading developer of antisense technology to discover and develop novel drugs. Ionis' broad clinical and preclinical pipeline treats a wide variety of diseases, with an emphasis on cardiovascular, metabolic, severe, and rare diseases. Ionis sold rights to its first product, Kynamro, to Kastle Therapeutics after lackluster commercial success, but with partner Biogen brought its second drug, Spinraza for spinal muscular atrophy, to market. ATTR amyloidosis drug Tegsedi (inotersen) was approved in 2018 and cardiology drug Waylivra was approved in Europe in 2019.


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IONS Earnings

EPS -0.01 P/E Ratio 41.01
Previous Wed, Aug 7, 2019
Latest Tue, Nov 5, 2019 (In 20 days)

IONS Dividend

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

IONS Charts

$44.60
1 Year
$86.58
Oct 22, 2018
Apr 8, 2019


HII $215.01 1.82 (0.85%)
Huntington Ingalls Industries
NYSE: HII $9 Billion Mid-Cap. S&P 500. Aerospace & Defense industry. 5 Year Return 128%. 1 Year Return 8%. 2019 YTD Return 12%. 1.6% dividend yield. 28 total dividend payments. Earnings in 21 days on Thu, Nov 7. (Use the Earnings tab below to add this date to your calendar.)

HII Profile

Market Cap 9 Billion
HII Description

Huntington Ingalls Industries Inc builds military ships and provides manufacturing and other services to the nuclear energy, oil, and gas markets. Additionally, the company builds and refuels aircraft carriers and submarines. The designing, building, and repairing of ships is primarily conducted through contracts with the United States government, principally the Department of Defense. Many of its products require life cycle support, and teams work together to plan and implement maintenance services. The maintenance may vary from standard repairs and refueling to more technical logistics and assessments. Oil, gas, and energy projects focus on providing management and consultation services to both the private industry and government.


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HII Earnings

EPS 3.07 P/E Ratio 12.78
Previous Thu, Aug 1, 2019
Latest Thu, Nov 7, 2019 (In 22 days)

HII Dividend

Yield 1.60% / $3.44
Ex-Date Thu, Aug 29, 2019 (48 days ago)
Pay Date Fri, Sep 13, 2019
History 28 Payments (Quarterly)

HII Charts

$173.80
1 Year
$242.05
Dec 24, 2018
Nov 8, 2018


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


TEVA $6.95 0.02 (0.29%)
Teva Pharmaceutical Industries Ltd (ADR) ADR
NYSE: TEVA $9 Billion Mid-Cap. Biotech & Pharma industry. 5 Year Return 86%. 1 Year Return 67%. 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. This is clearly Downtrending. Avoid for now. Earnings in 21 days on Thu, Nov 7. (Use the Earnings tab below to add this date to your calendar.)

TEVA Profile

Market Cap 9 Billion
TEVA Description

Teva Pharmaceutical Industries Ltd is the largest generic drug manufacturer in the world with more than 60 manufacturing and R&D facilities, headquartered in Israel. The company was formed in 1901 and has a portfolio of more than 3,500 medicines--roughly one out of nine generic prescriptions in the U.S. is filled with a Teva product. The company also develops branded pharmaceuticals in the central nervous system, oncology, and respiratory categories. Teva's generic drug sales represent about half of total revenue, with branded drug and distribution revenue making up the balance. Teva is an aggressive filer to bring generic drugs to market when brand patents expire and has the most generic products pending FDA approval.


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TEVA Earnings

EPS -0.63 P/E Ratio 0.00
Previous Wed, Aug 7, 2019
Latest Thu, Nov 7, 2019 (In 22 days)

TEVA Dividend

Yield --
Ex-Date --
Pay Date --
History 132 Payments (Quarterly)

TEVA Charts

$6.07
1 Year
$23.97
Aug 15, 2019
Nov 8, 2018


FICO $310.50 2.87 (0.92%)
Fair Isaac Corp
NYSE: FICO $9 Billion Mid-Cap. Software industry. 5 Year Return 469%. 1 Year Return 46%. 2019 YTD Return 67%. Earnings in 21 days on Thu, Nov 7. (Use the Earnings tab below to add this date to your calendar.)

FICO Profile

Market Cap 9 Billion
FICO Description

Fair Isaac Corp is a provider of business performance management solutions that allow corporations to automate and improve key decisions. The firm operates in three segments: applications, which includes preconfigured software for marketing, account origination, collections, and so on; scores, which primarily consists of business-to-business scoring solutions, including the FICO score; and tools, composed of analytic and decision management software. The company derives revenues from software license agreements and transaction-based fees. A majority of the firm's revenue is generated in the United States, and the rest from the United Kingdom and other countries.


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FICO Earnings

EPS 2.21 P/E Ratio 39.25
Previous Wed, Jul 31, 2019
Latest Thu, Nov 7, 2019 (In 22 days)

FICO Dividend

Yield --
Ex-Date --
Pay Date --
History 100 Payments (Biannual)

FICO Charts

$170.26
1 Year
$373.24
Dec 24, 2018
Sep 6, 2019


CACC $461.97 6.27 (1.34%)
Credit Acceptance Corp
NASDAQ: CACC $9 Billion Mid-Cap. Credit Services industry. 5 Year Return 269%. 1 Year Return 10%. 2019 YTD Return 19%. Earnings in 18 days on Mon, Nov 4. (Use the Earnings tab below to add this date to your calendar.)

CACC Profile

Market Cap 9 Billion
CACC Description

Credit Acceptance Corp is a consumer finance company that specializes in automobile loans. These loans are offered through a U.S. nationwide network of automobile dealers that benefit from sales of vehicles to consumers who could otherwise not obtain financing. The company also benefits from repeat and referral sales, and from sales to customers responding to advertisements for financing, but qualify for traditional financing. The company derives its revenue from finance charges, premiums earned on the reinsurance of vehicle service contracts, and other fees. Of these, financing charges, including servicing fees, are by far the largest source of revenue.


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CACC Earnings

EPS 8.68 P/E Ratio 15.54
Previous Tue, Jul 30, 2019
Latest Mon, Nov 4, 2019 (In 19 days)

CACC Dividend

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

CACC Charts

$356.12
1 Year
$509.99
Dec 26, 2018
Apr 30, 2019


SC $25.14 0.31 (1.22%)
Santander Consumer USA Holdings Inc
NYSE: SC $9 Billion Mid-Cap. Banking industry. 5 Year Return 44%. 1 Year Return 31%. 2019 YTD Return 41%. 3.5% 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.)

SC Profile

Market Cap 9 Billion
SC Description

Santander Consumer USA Holdings Inc is a US-based consumer finance company focused on vehicle finance and third-party servicing. Its core business is the indirect origination of retail installment contracts, principally through manufacturer-franchised dealers in connection with their sale of new and used vehicles to retail consumers. The company operates its business in one reportable segment i.e. Consumer Finance which includes vehicle financial products and services, including retail installment contracts, vehicle leases, and dealer loans, as well as financial products and services related to motorcycles, RVs, and marine vehicles. It also includes personal loan and point-of-sale financing operations. The company's revenue consists of lease payment received, installments and other income.


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SC Earnings

EPS 1.05 P/E Ratio 4.78
Previous Wed, Jul 24, 2019
Latest Wed, Oct 30, 2019 (In 14 days)

SC Dividend

Yield 3.50% / $0.88
Ex-Date Fri, Aug 2, 2019 (75 days ago)
Pay Date Thu, Aug 15, 2019
History 9 Payments (Quarterly)

SC Charts

$16.10
1 Year
$27.75
Dec 24, 2018
Jul 26, 2019


MGP $30.43 0.52 (1.74%)
MGM Growth Properties LLC
NYSE: MGP $9 Billion Mid-Cap. REITs industry. 5 Year Return 38%. 1 Year Return 9%. 2019 YTD Return 16%. 6.1% dividend yield. 12 total dividend payments. Earnings in 19 days on Tue, Nov 5. (Use the Earnings tab below to add this date to your calendar.)

MGP Profile

Market Cap 9 Billion
MGP Description

MGM Growth Properties LLC is a real estate investment trust engaged in owning, acquiring and leasing large-scale casino resort properties, including casino gaming, hotel, convention, dining, entertainment, retail and mixed-use facilities, and other resort amenities. The company's property portfolio consists of entertainment and gaming-related properties located on the Las Vegas Strip Mandalay Bay, The Mirage, Monte Carlo, New York-New York, Luxor and Excalibur, and The Park, a dining and entertainment complex located between New York-New York and Monte Carlo. It owns casino resort properties MGM Grand Detroit in Detroit, Michigan, Beau Rivage and Gold Strike Tunica, located in Mississippi, Borgata in Atlantic City, New Jersey, and MGM National Harbor in Prince George's County, Maryland.


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MGP Earnings

EPS 0.24 P/E Ratio 34.61
Previous Tue, Aug 6, 2019
Latest Tue, Nov 5, 2019 (In 20 days)

MGP Dividend

Yield 6.11% / $1.86
Ex-Date Thu, Mar 28, 2019 (202 days ago)
Pay Date Mon, Apr 15, 2019
History 12 Payments (Quarterly)

MGP Charts

All Time High $33.30 set on Tue, Apr 16, 2019.
$25.50
1 Year
$33.30
Dec 24, 2018
Apr 16, 2019