Channels

Sat, Oct 19 12:47am

Retail Consumer Staples Industry

WMT $119.14 0.70 (0.58%)
Wal-Mart Stores Walmart
NYSE: WMT $330 Billion Large-Cap. Dow Industrial. S&P 500. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 59%. 1 Year Return 23%. 2019 YTD Return 28%. This is Uptrending. A good sign. 1.8% dividend yield. 141 total dividend payments. Dividend Aristocrat. 25+ consecutive years of increasing dividends. Earnings in 26 days on Thu, Nov 14. (Use the Earnings tab below to add this date to your calendar.) Compare TGT vs WMT.

WMT Profile

Market Cap 330 Billion
WMT Description

America's largest retailer by sales, Walmart operates over 11,300 stores under 58 banners, selling a variety of general merchandise and grocery items. Its home market accounted for 76% of sales in fiscal 2019, with Mexico and Central America (6%), the United Kingdom (6%), and Canada (4%) its largest external markets. In the United States, around 56% of sales come from grocery, 33% from general merchandise, and 11% from health and wellness items. The company operates several e-commerce properties apart from its eponymous site, including Flipkart, Jet.com, and shoes.com (it also owns a roughly 10% stake in Chinese online retailer JD.com). Combined, e-commerce accounted for about 5% of fiscal 2019 sales.


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WMT Earnings

EPS 1.27 P/E Ratio 45.32
Previous Thu, Aug 15, 2019
Latest Thu, Nov 14, 2019 (In 26 days)

WMT Dividend

Yield 1.78% / $2.12
Ex-Date Thu, Dec 5, 2019 (In 47 days)
Pay Date Thu, Jan 2, 2020
History 141 Payments (Quarterly)

WMT Charts

All Time High $120.71 set on Fri, Oct 11, 2019.
$85.78
1 Year
$120.71
Dec 24, 2018
Oct 11, 2019



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COST $302.86 0.46 (0.15%)
Costco Wholesale costcocanada
NASDAQ: COST $128 Billion Large-Cap. Nasdaq 100. S&P 500. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 136%. 1 Year Return 32%. 2019 YTD Return 48%. 0.9% dividend yield. 66 total dividend payments. Since Earnings 6%.

COST Profile

Market Cap 128 Billion
COST Description

The leading warehouse club, Costco has 762 stores worldwide (at the end of fiscal 2018), with most of its sales derived in the United States (72%) and Canada (15%) and a sizable presence in Mexico, the United Kingdom, and Japan. It sells memberships which allow customers to shop in its warehouse stores, which feature low prices on a limited product assortment. Costco mainly caters to individual shoppers, but roughly 20% of paid members carry business memberships. Food and sundries accounted for 41% of fiscal 2018 sales, with ancillary businesses (such as fuel and pharmacy) 18%, hardlines 16%, fresh food 14%, and softlines 11%. Costco's warehouses average around 145,000 square feet; nearly 75% of its locations offer fuel. About 4% of Costco's global sales come from the e-commerce channel.


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COST Earnings

EPS 2.49 P/E Ratio 31.95
Previous Thu, May 30, 2019
Latest Thu, Oct 3, 2019 (16 days ago) Price +6.23%

COST Dividend

Yield 0.86% / $2.60
Ex-Date Thu, Aug 29, 2019 (51 days ago)
Pay Date Fri, Sep 13, 2019
History 66 Payments (Quarterly)

COST Charts

All Time High $307.34 set on Mon, Sep 9, 2019.
$189.51
1 Year
$307.34
Dec 26, 2018
Sep 9, 2019



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CVS $66.16 0.34 (0.51%)
CVS Health CVSHealth
NYSE: CVS $83 Billion Large-Cap. S&P 500. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 19%. 1 Year Return 11%. 2019 YTD Return 1%. 3.0% dividend yield. 136 total dividend payments. Current Ex-Date in 4 days on Wed, Oct 23. (Use the Dividend tab below to add this date to your calendar.) Wed, Oct 23. Earnings in 18 days on Wed, Nov 6. (Use the Earnings tab below to add this date to your calendar.) Compare CVS vs WBA.

CVS Profile

Market Cap 83 Billion
CVS Description

Following its acquisition of Aetna, CVS Health now provides a more integrated healthcare services offering for its members. Legacy CVS combined both the largest pharmacy benefit manager, processing nearly 1.9 billion adjusted claims annually, and a sizable retail pharmacy boasting nearly 9,800 pharmacy locations nationwide. Adding a managed care organization with roughly 22 million members puts the firm on stronger footing within the payer industry and positions it to better lower overall costs for its clients.


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CVS Earnings

EPS 1.49 P/E Ratio 24.21
Previous Wed, Aug 7, 2019
Latest Wed, Nov 6, 2019 (In 18 days)

CVS Dividend

Yield 3.02% / $2.00
Ex-Date Wed, Oct 23, 2019 (In 4 days)
Pay Date Mon, Nov 4, 2019
History 136 Payments (Quarterly)

CVS Charts

$51.72
1 Year
$82.15
May 17, 2019
Nov 14, 2018



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TGT $112.81 0.42 (0.37%)
Target
NYSE: TGT $56 Billion Large-Cap. New ALL-TIME HIGH today. S&P 500. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 87%. 1 Year Return 38%. 2019 YTD Return 70%. 2.3% dividend yield. 136 total dividend payments. Dividend Aristocrat. 25+ consecutive years of increasing dividends. Compare TGT vs WMT.

TGT Profile

Market Cap 56 Billion
TGT Description

With 1,844 stores (as of the end of fiscal 2018), Target is a leading American general merchandise retailer, offering a variety of products across several categories, including beauty and household essentials (24% of fiscal 2018 sales), apparel and accessories (20%), food and beverage (20%), home furnishings and décor (19%), and hardlines (17%). Most of Target's stores are large-format, averaging around 130,000 square feet. The company has a significant e-commerce presence, deriving around 7% of sales from the channel. In addition to its namesake stores, Target owns Shipt, an online same-day delivery platform. After it exited Canada in 2015, virtually all of Target's revenue is generated from the United States.


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TGT Earnings

EPS 1.83 P/E Ratio 11.11
Previous Wed, Aug 21, 2019
Latest Tue, Nov 19, 2019 (In 31 days)

TGT Dividend

Yield 2.34% / $2.64
Ex-Date Tue, Nov 19, 2019 (In 31 days)
Pay Date Tue, Dec 10, 2019
History 136 Payments (Quarterly)

TGT Charts

All Time High $113.74 set on Fri, Oct 18, 2019.
$60.15
1 Year
$113.74
Dec 24, 2018
Today



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WBA $55.30 0.64 (1.14%)
Walgreens Boots Alliance
NASDAQ: WBA $52 Billion Large-Cap. Dow Industrial. Nasdaq 100. S&P 500. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 8%. 1 Year Return 29%. 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. 3.3% dividend yield. 140 total dividend payments. Dividend Aristocrat. 25+ consecutive years of increasing dividends. Earnings in 9 days on Mon, Oct 28. (Use the Earnings tab below to add this date to your calendar.) Compare CVS vs WBA.

WBA Profile

Market Cap 52 Billion
WBA Description

Walgreens Boots Alliance (WBA) operates over 15,000 locations in 50 states and 25 countries. The core defensive positioning is primarily around the pharmacy that are placed in high traffic locations. Currently, the company has the largest retail pharmacy market share (around 20%, excluding mail) which provides significant cost advantages and scale. Annually, the company generates over $140 billion in revenue consisting of U.S. retail pharmacy (around 75%), International pharmacy (around 10%) and pharmaceutical wholesale (around 20%). WBA has established strategic partnerships to offer incremental services to increase average revenue per customer and has an equity stakes in AmerisourceBergen (26%) and Sinopharm Holding Guoda Drugstores Co, Ltd (40%).


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WBA Earnings

EPS 1.13 P/E Ratio 10.29
Previous Thu, Jun 27, 2019
Latest Mon, Oct 28, 2019 (In 9 days)

WBA Dividend

Yield 3.31% / $1.83
Ex-Date Mon, Aug 19, 2019 (61 days ago)
Pay Date Thu, Sep 12, 2019
History 140 Payments (Quarterly)

WBA Charts

$49.03
1 Year
$86.31
Aug 28, 2019
Dec 4, 2018



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DG $164.41 1.54 (0.95%)
Dollar General
NYSE: DG $41 Billion Large-Cap. New ALL-TIME HIGH today. S&P 500. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 167%. 1 Year Return 50%. 2019 YTD Return 53%. This is Uptrending. A good sign. 0.8% dividend yield. 19 total dividend payments. Compare DG vs DLTR.

DG Profile

Market Cap 41 Billion
DG Description

A leading American discount retailer, Dollar General operates over 15,000 stores in 44 states, selling branded and private-label products across a wide variety of categories. In fiscal 2018, 78% of net sales came from consumables (including paper and cleaning products, packaged and perishable food, tobacco, and health and beauty items), 12% from seasonal merchandise (such as toys, greeting cards, decorations, and gardening supplies), 6% from home products (for example, kitchen supplies, small appliances, and cookware), and 5% from basic apparel. Stores average roughly 7,400 square feet, and about 75% of Dollar General locations are in towns of 20,000 or fewer people. The firm emphasizes value, with more than 80% of its items sold at $5 or less, mostly using an everyday low price strategy.


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DG Earnings

EPS 1.65 P/E Ratio 15.73
Previous Thu, Aug 29, 2019
Latest Tue, Dec 3, 2019 (In 45 days)

DG Dividend

Yield 0.78% / $1.28
Ex-Date Mon, Oct 7, 2019 (12 days ago)
Pay Date Tue, Oct 22, 2019
History 19 Payments (Quarterly)

DG Charts

$98.08
1 Year
$164.97
Dec 24, 2018
Today



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DLTR $116.98 0.39 (0.33%)
Dollar Tree
NASDAQ: DLTR $26 Billion Large-Cap. New ALL-TIME HIGH today. Nasdaq 100. S&P 500. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 104%. 1 Year Return 38%. 2019 YTD Return 28%. Compare DG vs DLTR.

DLTR Profile

Market Cap 26 Billion
DLTR Description

Dollar Tree operates discount stores in the United States and Canada, including over 7,000 shops under its namesake banner and more than 8,200 Family Dollar locations. The eponymous chain features branded and private-label products at a fixed $1 price point (CAD 1.25 in Canada). About 49% of Dollar Tree stores' fiscal 2018 sales came from consumables (including food, health and beauty, and household paper and cleaning products), 47% from variety items (including toys and housewares), and 5% from seasonal and holiday merchandise. Family Dollar features branded and private-label goods at prices generally ranging from $1 to $10, with consumables constituting 76% of fiscal 2018 sales, seasonal and electronic items (including prepaid phones and toys) 9%, home products 8%, and basic apparel 6%.


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DLTR Earnings

EPS 0.76 P/E Ratio 11.54
Previous Thu, Aug 29, 2019
Latest Thu, Dec 5, 2019 (In 47 days)

DLTR Dividend

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

DLTR Charts

All Time High $118.04 set on Fri, Oct 18, 2019.
$81.02
1 Year
$118.04
Nov 27, 2018
Today



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KR $23.94 0.49 (2.01%)
Kroger
NYSE: KR $20 Billion Large-Cap. S&P 500. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 9%. 1 Year Return 13%. 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. 2.7% dividend yield. 67 total dividend payments. Current Ex-Date in 26 days on Thu, Nov 14. (Use the Dividend tab below to add this date to your calendar.) Thu, Nov 14.

KR Profile

Market Cap 20 Billion
KR Description

Kroger is the leading American grocer, with 2,764 supermarkets operating under several banners throughout the country as of the end of fiscal 2018. Around 82% of stores have pharmacies, while over half also sell fuel. The company also operated more than 300 fine jewelry stores at the end of fiscal 2018. Kroger features a leading private-label offering and manufactures around a third of its own-brand units (and 43% of its grocery own-label assortment) itself, in 37 food production plants nationwide. Kroger is a top-two grocer in 46 of the 52 major markets in which it operates along with 54 of its 73 secondary markets (as of the end of fiscal 2017, according to IRI data cited by the company). Virtually all of Kroger's sales come from the United States.


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KR Earnings

EPS 0.37 P/E Ratio 6.77
Previous Thu, Sep 12, 2019
Latest Thu, Dec 5, 2019 (In 47 days)

KR Dividend

Yield 2.67% / $0.64
Ex-Date Thu, Nov 14, 2019 (In 26 days)
Pay Date Sun, Dec 1, 2019
History 67 Payments (Quarterly)

KR Charts

$20.70
1 Year
$31.98
Jul 23, 2019
Nov 12, 2018



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BURL $202.45 0.10 (0.05%)
Burlington Stores
NYSE: BURL $13 Billion Large-Cap. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 426%. 1 Year Return 30%. 2019 YTD Return 26%.

BURL Profile

Market Cap 13 Billion
BURL Description

The third- largest American off-price apparel and home fashion retail firm, with 675 stores as of the end of fiscal 2018, Burlington Stores offers an assortment of products from over 5,000 brands through an everyday low price approach that undercuts conventional retailers' regular prices by up to 65%. The company focuses on providing a treasure hunt experience, with a quickly changing array of merchandise in a relatively low-frills shopping environment. In fiscal 2018, 23% of sales came from women's ready-to-wear apparel, 22% from accessories and footwear, 20% from menswear, 16% from youth apparel and baby, 15% from home décor, and 5% from coats. All sales come from the United States.


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BURL Earnings

EPS 1.28 P/E Ratio 26.51
Previous Thu, Aug 29, 2019
Latest Wed, Nov 27, 2019 (In 39 days)

BURL Dividend

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

BURL Charts

All Time High $209.36 set on Fri, Aug 30, 2019.
$136.30
1 Year
$209.36
Mar 15, 2019
Aug 30, 2019



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USFD $39.64 0.10 (0.25%)
US Foods Holding Corp
NYSE: USFD $9 Billion Mid-Cap. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 59%. 1 Year Return 29%. 2019 YTD Return 25%. Earnings in 17 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 17 days)

USFD Dividend

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

USFD Charts

All Time High $43.10 set on Thu, Sep 12, 2019.
$27.51
1 Year
$43.10
Nov 5, 2018
Sep 12, 2019



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CASY $164.42 0.74 (0.45%)
Casey's General Stores Inc
NASDAQ: CASY $6 Billion Mid-Cap. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 114%. 1 Year Return 30%. 2019 YTD Return 30%. 0.7% dividend yield. 114 total dividend payments. Since Earnings 3%.

CASY Profile

Market Cap 6 Billion
CASY Description

Casey's General Stores Inc owns and operates over 2,000 convenience stores in multiple Midwestern states of the U.S. The stores provide self-service gasoline, grocery items, and processed foods such as pizza, donuts, and sandwiches. Casey's operates its own distribution centres, delivering its in-store products and fuel supplies. The company owns of its real estate, including nearly all of the stores, the distribution centres, and some of its subsidiaries' facilities. More than half of the company's stores are located in areas with populations of fewer than 5,000 people.


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CASY Earnings

EPS 2.33 P/E Ratio 14.36
Previous Mon, Jun 10, 2019
Latest Mon, Sep 9, 2019 (40 days ago) Price -2.90%

CASY Dividend

Yield 0.71% / $1.16
Ex-Date Wed, Oct 31, 2018 (353 days ago)
Pay Date Thu, Nov 15, 2018
History 114 Payments (Quarterly)

CASY Charts

All Time High $173.31 set on Tue, Aug 20, 2019.
$116.23
1 Year
$173.31
Dec 11, 2018
Aug 20, 2019



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PFGC $42.98 0.11 (0.26%)
Performance Food Group Co
NYSE: PFGC $5 Billion Mid-Cap. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 124%. 1 Year Return 44%. 2019 YTD Return 36%. This is Uptrending. A good sign. Earnings in 18 days on Wed, Nov 6. (Use the Earnings tab below to add this date to your calendar.)

PFGC Profile

Market Cap 5 Billion
PFGC Description

Performance Food Group Co is the third- largest U.S. food-service distributor, with 6% market share and a heavy presence along the Eastern seaboard and in the Southeast. PFG's food-service business (59% of revenue) has its largest exposure to national and regional restaurant chains (50% of revenue), followed by independent restaurants (25%), retail and hospitality (7%), education (6%), and other (12%). The firm's Vistar segment is a national distributor of candy, snacks, and beverages to vending and office coffee service distributors, retailers, theaters, hotels, sporting arenas, and correctional facilities. After the April acquisition of Eby-Brown, a Midwest distributor of candy and snacks to the convenience store channel, the Vistar segment represents about 40% of company revenue.


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PFGC Earnings

EPS 0.61 P/E Ratio 24.81
Previous Wed, Aug 14, 2019
Latest Wed, Nov 6, 2019 (In 18 days)

PFGC Dividend

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

PFGC Charts

$28.28
1 Year
$47.26
Nov 5, 2018
Aug 30, 2019



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OLLI $63.54 0.38 (0.60%)
Ollie's Bargain Outlet Holdings Inc
NASDAQ: OLLI $4 Billion Mid-Cap. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 200%. 1 Year Return 28%. 2019 YTD Return 4%.

OLLI Profile

Market Cap 4 Billion
OLLI Description

Ollie's Bargain Outlet Holdings Inc is a retailer of brand name merchandise at drastically reduced prices. It offers customers a selection of brand name products, including housewares, food, books and stationery, bed and bath, floor coverings, toys, and hardware. It operates stores across the Eastern half of the United States. Its differentiated go-to-market strategy is characterized by a unique, fun and engaging treasure hunt shopping experience, compelling customer value proposition and witty, humorous in-store signage and advertising campaigns. These attributes have driven rapid growth and strong and consistent store performance for the company.


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OLLI Earnings

EPS 0.40 P/E Ratio 41.68
Previous Wed, Aug 28, 2019
Latest Tue, Dec 3, 2019 (In 45 days)

OLLI Dividend

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

OLLI Charts

52 Week Low $53.60 set on Tue, Oct 8, 2019
$53.60
1 Year
$103.03
Oct 8, 2019
May 28, 2019



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SFM $18.29 0.14 (0.76%)
Sprouts Farmers Market Inc
NASDAQ: SFM $2 Billion Mid-Cap. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 37%. 1 Year Return 33%. 2019 YTD Return 22%. Negative 5 year, 1 year & YTD returns. You may want to avoid this one until things turn around. Check out some Uptrending symbols instead. Earnings in 11 days on Wed, Oct 30. (Use the Earnings tab below to add this date to your calendar.)

SFM Profile

Market Cap 2 Billion
SFM Description

Sprouts is an American specialty grocer, offering a health-oriented assortment that focuses on fresh and naturally derived products. The firm's offerings are especially focused on produce, which constituted around 23% of sales in fiscal 2018. Founded in 2002, the chain is most heavily concentrated in California, which accounted for over one third of its 313 stores as of the end of fiscal 2018. All of the company's operations are in the United States, with its stores largely located in the southern half of the country. The firm sells slightly more than 20,000 products, with private-label products accounting for about 13% of sales in fiscal 2018. Perishable items accounted for 58% of fiscal 2018 sales.


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SFM Earnings

EPS 0.30 P/E Ratio 17.15
Previous Thu, Aug 1, 2019
Latest Wed, Oct 30, 2019 (In 11 days)

SFM Dividend

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

SFM Charts

$16.46
1 Year
$28.69
Aug 1, 2019
Nov 14, 2018



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PSMT $67.44 0.17 (0.25%)
Pricesmart Inc
NASDAQ: PSMT $2 Million Small-Cap. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 24%. 1 Year Return 15%. 2019 YTD Return 14%. 1.0% dividend yield. 26 total dividend payments. Paid Biannually. Since Earnings 26%.

PSMT Profile

Market Cap 2 Billion
PSMT Description

Pricesmart Inc is a company principally engaged in operating U.S.-style membership shopping warehouse clubs that offer consumer goods at low prices. The company is headquartered in San Diego, California, United States, and operates stores in Latin America and the Caribbean, with Central America contributing over half of its net warehouse club sales. The company's revenue consists of net warehouse club sales from merchandise sales, membership income from annual membership fees, export sales, and other income, with net warehouse club sales accounting for the majority of the company's total revenue.


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PSMT Earnings

EPS 0.46 P/E Ratio 28.32
Previous Tue, Apr 9, 2019
Latest Wed, Jul 10, 2019 (101 days ago) Price +25.56%

PSMT Dividend

Yield 1.04% / $0.70
Ex-Date Wed, Aug 14, 2019 (66 days ago)
Pay Date Fri, Aug 30, 2019
History 26 Payments (Biannual)

PSMT Charts

$48.06
1 Year
$82.44
May 31, 2019
Oct 25, 2018



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CORE $28.85 0.04 (0.14%)
Core-Mark Holding Co Inc
NASDAQ: CORE $2 Million Small-Cap. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 7%. 1 Year Return 24%. 2019 YTD Return 21%. 1.5% dividend yield. 32 total dividend payments. Earnings in 17 days on Tue, Nov 5. (Use the Earnings tab below to add this date to your calendar.) "Possible" Death Cross chart pattern.

CORE Profile

Market Cap 2 Billion
CORE Description

Core-Mark Holding Co Inc is a wholesale distributor to the convenience retail industry in North America, providing sales, marketing, distribution, and logistics services to customers across the United States and Canada. The company offers customers a wide range of branded and private label products including cigarettes, food, candy, health and beauty products, and beverages. Geographically, it generates a majority of its revenue from the United States.


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CORE Earnings

EPS 0.39 P/E Ratio 36.72
Previous Wed, Aug 7, 2019
Latest Tue, Nov 5, 2019 (In 17 days)

CORE Dividend

Yield 1.53% / $0.44
Ex-Date Wed, Aug 21, 2019 (59 days ago)
Pay Date Fri, Sep 13, 2019
History 32 Payments (Quarterly)

CORE Charts

$22.53
1 Year
$40.95
Jan 2, 2019
Jul 8, 2019



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CHEF $36.97 0.32 (0.87%)
The Chefs' Warehouse Inc
NASDAQ: CHEF $1 Million Small-Cap. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 96%. 1 Year Return 14%. 2019 YTD Return 15%. Earnings in 19 days on Thu, Nov 7. (Use the Earnings tab below to add this date to your calendar.)

CHEF Profile

Market Cap 1 Billion
CHEF Description

The Chefs' Warehouse Inc is a specialty food distributor in major metropolitan areas across the United States and Canada. The company's product portfolio is primarily comprised of imported and local specialty food products such as cheese, cooking oils, chocolates, dried food, baking products, meats, and other food products. The Chefs' Warehouse operates via one reporting segment called Food Production Distribution. Operations are concentrated on the east and west coasts of the U.S. The company provides service primarily to restaurants, clubs, hotels, caterers, schools, bakeries, casinos and specialty food stores.


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CHEF Earnings

EPS 0.26 P/E Ratio 45.99
Previous Wed, Jul 31, 2019
Latest Thu, Nov 7, 2019 (In 19 days)

CHEF Dividend

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

CHEF Charts

$29.56
1 Year
$42.06
Mar 25, 2019
Sep 12, 2019



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WMK $35.90 0.59 (1.62%)
Weis Markets Inc
NYSE: WMK $1 Million Small-Cap. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 11%. 1 Year Return 17%. 2019 YTD Return 25%. Negative 5 year, 1 year & YTD returns. You may want to avoid this one until things turn around. Check out some Uptrending symbols instead. 3.5% dividend yield. 142 total dividend payments.

WMK Profile

Market Cap 1 Billion
WMK Description

Weis Markets Inc is a U.S.-based company that is principally engaged in retailing food products in Pennsylvania and surrounding states. The company's products consist of center-store goods, fresh goods, pharmacy services, fuel, and other. The center-store goods include groceries, dairy products, frozen foods, alcoholic beverage, and general merchandise items. The fresh goods include meats, seafood, floral, prepared foods, and bakery products. The center-store goods and fresh goods jointly account for the majority of the company's total revenue.


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WMK Earnings

EPS 0.76 P/E Ratio 17.88
Previous --
Latest --

WMK Dividend

Yield 3.45% / $1.24
Ex-Date Fri, Jul 26, 2019 (85 days ago)
Pay Date Mon, Aug 12, 2019
History 142 Payments (Quarterly)

WMK Charts

52 Week Low $35.26 set on Tue, Jun 25, 2019
$35.26
1 Year
$53.30
Jun 25, 2019
Feb 15, 2019



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ANDE $17.84 0.54 (2.94%)
Andersons Inc
NASDAQ: ANDE $910 Million Small-Cap. New 52 WEEK LOW today. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 69%. 1 Year Return 50%. 2019 YTD Return 42%. Negative 5 year, 1 year & YTD returns. You may want to avoid this one until things turn around. Check out some Uptrending symbols instead. This is clearly Downtrending. Avoid for now. 2.9% dividend yield. 88 total dividend payments.

ANDE Profile

Market Cap 910 Million
ANDE Description

Andersons Inc is a diversified agriculture company that conducts business in North America. The company's operations are segmented into grain, ethanol, plant nutrient, and rail. The grain group operates grain elevators and generates income through buying and selling grains and space leasing. The grain division contributes over half of the company's revenue. The ethanol division purchases and sells ethanol, offers facility operations, and invests in ethanol plants. The plant nutrient group manufactures, distributes, and retails agricultural and related plant nutrients. The company's rail segment leases, repairs, and sells railway facilities.


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ANDE Earnings

EPS 0.92 P/E Ratio 22.32
Previous --
Latest --

ANDE Dividend

Yield 2.91% / $0.66
Ex-Date Fri, Sep 28, 2018 (386 days ago)
Pay Date Mon, Oct 22, 2018
History 88 Payments (Quarterly)

ANDE Charts

$17.81
1 Year
$38.23
Today
Feb 14, 2019



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BIG $20.51 0.76 (3.57%)
Big Lots Inc
NYSE: BIG $890 Million Small-Cap. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 55%. 1 Year Return 48%. 2019 YTD Return 30%. Negative 5 year, 1 year & YTD returns. You may want to avoid this one until things turn around. Check out some Uptrending symbols instead. 5.9% dividend yield. 23 total dividend payments.

BIG Profile

Market Cap 890 Million
BIG Description

Big Lots Inc is a U.S.-based company principally engaged in operating discount retail stores. The company provides a broad range of merchandise, including food, consumables, soft home products, hard home products, furniture, electronics and accessories, and seasonal products. The company sources the merchandise from traditional and close-out channels. In addition to merchandise, the company sells gift cards, issues merchandise credits, and more. The company operates stores throughout the United States, with around one third of its stores in California, Texas, Ohio, and Florida.


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BIG Earnings

EPS 0.16 P/E Ratio 10.27
Previous Fri, Aug 30, 2019
Latest Fri, Dec 6, 2019 (In 48 days)

BIG Dividend

Yield 5.85% / $1.20
Ex-Date Thu, Sep 12, 2019 (37 days ago)
Pay Date Fri, Sep 27, 2019
History 23 Payments (Quarterly)

BIG Charts

52 Week Low $19.83 set on Thu, Aug 15, 2019
$19.83
1 Year
$45.13
Aug 15, 2019
Nov 8, 2018



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IMKTA $39.12 0.17 (0.44%)
Ingles Markets Inc
NASDAQ: IMKTA $840 Million Small-Cap. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 56%. 1 Year Return 22%. 2019 YTD Return 41%. 1.7% dividend yield. 128 total dividend payments.

IMKTA Profile

Market Cap 840 Million
IMKTA Description

Ingles Markets Inc is a U.S. based company that is principally engaged in operating a supermarket chain. The company operates business in the southeast United States, mainly in Georgia, North Carolina, South Carolina, and Tennessee, with a few stores in Virginia and Alabama as well. The company locates its stores primarily in suburban areas, small towns and neighborhood areas. It offers a broad range of goods, including food products, pharmacies, health and beauty-care products, and general merchandise. The retail business contributes most of the company's revenue. The company's real estate ownership on a material portion of total stores enables it to generate rental income.


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IMKTA Earnings

EPS 1.19 P/E Ratio 6.16
Previous --
Latest --

IMKTA Dividend

Yield 1.69% / $0.66
Ex-Date Wed, Oct 9, 2019 (10 days ago)
Pay Date Thu, Oct 17, 2019
History 128 Payments (Quarterly)

IMKTA Charts

$25.57
1 Year
$43.65
Apr 3, 2019
Sep 12, 2019



    TOP    
UNFI $12.03 1.37 (10.22%)
United Natural Foods Inc
NASDAQ: UNFI $590 Million Small-Cap. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 82%. 1 Year Return 55%. 2019 YTD Return 10%.

UNFI Profile

Market Cap 590 Million
UNFI Description

United Natural Foods is a wholesale distributor of natural, organic and specialty foods and nonfood products across North America. The company's products consist of national, regional and private label brands grouped into grocery and general merchandise, produce, perishables and frozen foods, nutritional supplements and sports nutrition, bulk and foodservice products, and personal care items. United Natural Foods serves various retail formats including conventional supermarket chains, natural product superstores, independent retail operators and food service channels such as e-commerce platforms. The company's operations are comprised of three principal divisions: the wholesale division; the retail division; and the manufacturing and branded products division.


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UNFI Earnings

EPS 0.36 P/E Ratio 0.00
Previous Tue, Oct 1, 2019
Latest Thu, Dec 5, 2019 (In 47 days)

UNFI Dividend

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

UNFI Charts

$6.75
1 Year
$27.19
Aug 15, 2019
Oct 19, 2018



    TOP    
RAD $8.92 0.05 (0.56%)
Rite Aid Corp
NYSE: RAD $490 Million Small-Cap. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 91%. 1 Year Return 56%. 2019 YTD Return 42%. Negative 5 year, 1 year & YTD returns. You may want to avoid this one until things turn around. Check out some Uptrending symbols instead. Since Earnings 16%.

RAD Profile

Market Cap 490 Million
RAD Description

Rite Aid is a large retail drugstore chain in the United States. The company reports via two segments: retail pharmacy and pharmacy services. The retail pharmacy segment generates revenue primarily through the sale of prescription drugs, along with an assortment of merchandise that includes over-the-counter medications, health and beauty aids, personal-care items, cosmetics, household items, food and beverages, greeting cards, seasonal merchandise and numerous other everyday consumables. The pharmacy-services segment relates to EnvisionRx, a fully owned subsidiary that operates as a pharmacy benefit management provider offering a broad range of pharmaceutical services.


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RAD Earnings

EPS -1.49 P/E Ratio 0.00
Previous Wed, Jun 26, 2019
Latest Thu, Sep 26, 2019 (23 days ago) Price +15.99%

RAD Dividend

Yield --
Ex-Date --
Pay Date --
History 57 Payments (Quarterly)

RAD Charts

$5.04
1 Year
$27.20
Aug 27, 2019
Nov 14, 2018



    TOP    
SPTN $12.27 0.39 (3.08%)
SpartanNash Co
NASDAQ: SPTN $430 Million Small-Cap. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 40%. 1 Year Return 34%. 2019 YTD Return 30%. 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. 55 total dividend payments. Earnings in 18 days on Wed, Nov 6. (Use the Earnings tab below to add this date to your calendar.)

SPTN Profile

Market Cap 430 Million
SPTN Description

SpartanNash Company is a multi-regional grocery distributor and retailer. The company operates in the United States and is segmented into Military, Food distribution, and Retail. Its Military segment consists of the distribution of products to The United States military commissaries, which provide food to active-duty, guard, reserve, or retired members of the military at discounted prices. The Food distribution segment proves to be the principle division, deriving the revenue streams for the company. Its retail division consists of supplying both independent grocery retailers and owned retail stores.


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SPTN Earnings

EPS -0.19 P/E Ratio 9.26
Previous Wed, Aug 14, 2019
Latest Wed, Nov 6, 2019 (In 18 days)

SPTN Dividend

Yield 6.19% / $0.76
Ex-Date Fri, Sep 13, 2019 (36 days ago)
Pay Date Mon, Sep 30, 2019
History 55 Payments (Quarterly)

SPTN Charts

$8.82
1 Year
$23.00
Aug 14, 2019
Nov 8, 2018



    TOP    
YI $4.70 0.15 (3.09%)
111 Inc
NASDAQ: YI $410 Million Small-Cap. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 66%. 1 Year Return 47%. 2019 YTD Return 22%. Negative 5 year, 1 year & YTD returns. You may want to avoid this one until things turn around. Check out some Uptrending symbols instead.

YI Profile

Market Cap 410 Million
YI Description

111 Inc is a Chinese online retail pharmacies. It operates an integrated online and offline platform in the healthcare ecosystem in China. It is engaged in the sales of medical and wellness products through online retail and wholesale pharmacies and offline retail pharmacies, as well as provision of certain value-added services, such as online consultation services and e-prescription services to consumers in China. It manage operations into two segments: B2C segment and B2B segment.


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YI Earnings

EPS -1.22 P/E Ratio 0.00
Previous --
Latest --

YI Dividend

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

YI Charts

$2.29
1 Year
$12.34
Aug 28, 2019
Nov 2, 2018



    TOP    
HFFG $17.32 0.52 (2.91%)
HF Foods Group Inc
NASDAQ: HFFG $410 Million Small-Cap. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 14%. 1 Year Return 19%. 2019 YTD Return 28%.

HFFG Profile

Market Cap 410 Million
HFFG Description

HF Foods Group Inc is a United States based company that operates as a food-service distributor for Chinese restaurants and other businesses. The firm operates in two segments: sales to independent restaurants and wholesale. The firm's revenue gets dominated by the Sales to independent restaurants segment.


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HFFG Earnings

EPS 0.05 P/E Ratio 44.17
Previous --
Latest --

HFFG Dividend

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

HFFG Charts

$13.14
1 Year
$35.00
Mar 19, 2019
Jun 27, 2019



    TOP    
VLGEA $25.62 0.02 (0.08%)
Village Super Market Inc
NASDAQ: VLGEA $380 Million Small-Cap. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 4%. 1 Year Return 2%. 2019 YTD Return 6%. 3.9% dividend yield. 91 total dividend payments.

VLGEA Profile

Market Cap 380 Million
VLGEA Description

Village Super Market Inc operates a chain of ShopRite supermarkets, few of which are in northern New Jersey, southern New Jersey, Maryland and in northeastern Pennsylvania. The company is a member of Wakefern Food Corporation (Wakefern), the nation's largest retailer-owned food cooperative and owner of the ShopRite name. It consists of one operating segment, the retail sale of food and nonfood products.


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VLGEA Earnings

EPS 0.52 P/E Ratio 14.93
Previous --
Latest --

VLGEA Dividend

Yield 3.90% / $1.00
Ex-Date Wed, Oct 2, 2019 (17 days ago)
Pay Date Thu, Oct 24, 2019
History 91 Payments (Quarterly)

VLGEA Charts

52 Week Low $23.92 set on Mon, Aug 5, 2019
$23.92
1 Year
$32.20
Aug 5, 2019
Mar 4, 2019



    TOP    
PETS $19.44 0.57 (2.85%)
PetMed Express Inc
NASDAQ: PETS $370 Million Small-Cap. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 54%. 1 Year Return 31%. 2019 YTD Return 16%. 5.6% dividend yield. 42 total dividend payments.

PETS Profile

Market Cap 370 Million
PETS Description

PetMed Express Inc along with its and subsidiaries is a leading nationwide pet pharmacy. The company markets prescription and non-prescription pet medications, health products, and supplies for dogs and cats, direct to the consumer. The company generates its revenue by selling pet medications and pet supplies primarily to retail consumers.


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PETS Earnings

EPS 0.26 P/E Ratio 11.10
Previous --
Latest --

PETS Dividend

Yield 5.56% / $1.08
Ex-Date Thu, Aug 1, 2019 (79 days ago)
Pay Date Fri, Aug 9, 2019
History 42 Payments (Quarterly)

PETS Charts

$15.00
1 Year
$33.28
Jul 11, 2019
Oct 22, 2018



    TOP    
NGVC $8.34 0.15 (1.77%)
Natural Grocers by Vitamin Cottage Inc
NYSE: NGVC $240 Million Small-Cap. New 52 WEEK LOW today. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 53%. 1 Year Return 53%. 2019 YTD Return 47%. 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.

NGVC Profile

Market Cap 240 Million
NGVC Description

Natural Grocers by Vitamin Cottage Inc operates natural & organic grocery and dietary supplement stores. It offers the following product categories, natural & organic food, dietary supplements, natural body care, household and pet care products. The company generates the majority of its revenue from grocery products and dietary supplements, with the rest from body-care and pet-care products and others.


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NGVC Earnings

EPS 0.09 P/E Ratio 29.44
Previous --
Latest --

NGVC Dividend

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

NGVC Charts

52 Week Low $8.19 set on Fri, Oct 18, 2019
$8.19
1 Year
$24.50
Today
Nov 19, 2018



    TOP    
GNC $2.01 0.03 (1.47%)
GNC Holdings Inc
NYSE: GNC $240 Million Small-Cap. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 95%. 1 Year Return 52%. 2019 YTD Return 20%. Negative 5 year, 1 year & YTD returns. You may want to avoid this one until things turn around. Check out some Uptrending symbols instead. Earnings in 5 days on Thu, Oct 24. (Use the Earnings tab below to add this date to your calendar.)

GNC Profile

Market Cap 240 Million
GNC Description

GNC Holdings Inc is a specialty retailer of health, wellness and performance products that include protein, performance supplements, weight management supplements, vitamins, herbs and greens, wellness supplements, health and beauty, food and drink and other general merchandise. It operates through company-owned retail stores, domestic and international franchise activities, third-party contract manufacturing, e-commerce, and wholesale partnerships. The company generates revenues from three segments: the United States which is the key revenue driver and Canada segment; International segment; and Manufacturing or Wholesale segment.


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GNC Earnings

EPS 0.13 P/E Ratio 0.00
Previous Mon, Jul 22, 2019
Latest Thu, Oct 24, 2019 (In 5 days)

GNC Dividend

Yield --
Ex-Date --
Pay Date --
History 20 Payments (Quarterly)

GNC Charts

$1.32
1 Year
$4.47
Jun 6, 2019
Nov 7, 2018



    TOP    
WILC $11.00 0.03 (0.27%)
G. Willi-Food International Ltd
NASDAQ: WILC $140 Million Small-Cap. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 60%. 1 Year Return 60%. 2019 YTD Return 57%.

WILC Profile

Market Cap 140 Million
WILC Description

G. Willi-Food International Ltd is an Israeli-based company engaged in the development, import, export, marketing and distribution of a wide variety of food products worldwide. The principal products in the import segment product line include Canned Vegetables and Pickles, Canned Fish, Canned Fruit, Edible Oils, Dairy and Dairy Substitute Products, Dried Fruit, Nuts and Beans, and Other Products. Its brands include Willi-Food, Donna Rozza, Manchow, Gold Frost, Tifeeret, Say cheese, and Emma.


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WILC Earnings

EPS 0.86 P/E Ratio 15.70
Previous --
Latest --

WILC Dividend

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

WILC Charts

All Time High $11.44 set on Wed, Jul 31, 2019.
$6.87
1 Year
$11.44
Oct 23, 2018
Jul 31, 2019



    TOP    
TUES $1.32 0.05 (3.65%)
Tuesday Morning Corp
NASDAQ: TUES $80 Million Small-Cap. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 93%. 1 Year Return 58%. 2019 YTD Return 27%. Negative 5 year, 1 year & YTD returns. You may want to avoid this one until things turn around. Check out some Uptrending symbols instead. Earnings in 19 days on Thu, Nov 7. (Use the Earnings tab below to add this date to your calendar.)

TUES Profile

Market Cap 80 Million
TUES Description

Tuesday Morning Corp is a U.S.-based company that is principally engaged in operating discount retail stores. The company offers a broad range of merchandise, including decorative home accessories, furniture, housewares, crafts, goods related to pets, and seasonal goods. The company offers goods under a number of brands, such as Peacock Alley, Sferra, Lenox, Waterford, and Hartmann. The company also provides gift cards, and issues merchandise credits. The company conducts business throughout the United States, with Texas, Florida, and California the top states by number of stores.


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TUES Earnings

EPS -0.27 P/E Ratio 0.00
Previous Thu, Aug 22, 2019
Latest Thu, Nov 7, 2019 (In 19 days)

TUES Dividend

Yield --
Ex-Date --
Pay Date --
History 3 Payments (Annually)

TUES Charts

52 Week Low $1.25 set on Wed, Aug 21, 2019
$1.25
1 Year
$3.25
Aug 21, 2019
Oct 25, 2018



    TOP    
IFMK $1.81 0.03 (1.63%)
iFresh Inc
NASDAQ: IFMK $40 Million Small-Cap. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 85%. 1 Year Return 8%. 2019 YTD Return 95%.

IFMK Profile

Market Cap 40 Million
IFMK Description

iFresh Inc is an Asian/Chinese grocery supermarket chain in the North-Eastern U.S. providing food and other merchandise hard to find in mainstream grocery stores. The company has two reportable and operating segments: Retail segment and Wholesale segment. It offers seafood, vegetables, meat, fruit, frozen goods, groceries, and bakery products through its retail stores. The company generates a majority of its revenue from its retail segment.


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IFMK Earnings

EPS -0.19 P/E Ratio 0.00
Previous --
Latest --

IFMK Dividend

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

IFMK Charts

$0.80
1 Year
$3.05
Dec 18, 2018
Aug 12, 2019



    TOP    
CJJD $1.28 0.01 (0.79%)
China Jo-Jo Drugstores Inc
NASDAQ: CJJD $40 Million Small-Cap. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 16%. 1 Year Return 37%. 2019 YTD Return 41%. Negative 5 year, 1 year & YTD returns. You may want to avoid this one until things turn around. Check out some Uptrending symbols instead.

CJJD Profile

Market Cap 40 Million
CJJD Description

China Jo-Jo Drugstores Inc is a retailer and distributor of pharmaceutical products. The company's operating segments include Retail drugstores, Online Pharmacy, Drug wholesale Herb farming. Retail drugstores segment sells prescription and over-the-counter medicines, TCM, dietary supplements, medical devices, and sundry items to retail customers. The online pharmacy segment sells drugs through third-party platforms such as Alibaba's Tmall, JD.com, and Amazon.com. It generates maximum revenue from the Retail drugstores segment.


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CJJD Earnings

EPS -0.07 P/E Ratio 0.00
Previous --
Latest --

CJJD Dividend

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

CJJD Charts

$1.01
1 Year
$3.39
May 20, 2019
Apr 10, 2019



    TOP    


Symbol Price Day Δ YTD Δ
COST $302.86 0.15% 47.91%
CVS $66.16 -0.51% 0.88%
DG $164.41 0.95% 52.64%
DLTR $116.98 -0.33% 28.27%
KR $23.94 -2.01% -12.31%
TGT $112.81 -0.37% 69.79%
WBA $55.30 -1.14% -18.72%
WMT $119.14 -0.58% 27.64%
ANDE $17.84 -2.94% -42.43%
BIG $20.51 -3.57% -30.36%
BURL $202.45 -0.05% 26.40%
CASY $164.42 0.45% 30.22%
CHEF $36.97 0.87% 14.99%
CJJD $1.28 0.79% -40.74%
CORE $28.85 -0.14% 21.27%
FRED $0.13 0.00% -93.93%
GNC $2.01 -1.47% -19.92%
HFFG $17.32 -2.91% 27.54%
IFMK $1.81 -1.63% 94.62%
IMKTA $39.12 0.44% 40.82%
NGVC $8.34 -1.77% -46.85%
OLLI $63.54 0.60% -4.09%
PETS $19.44 -2.85% -16.49%
PFGC $42.98 -0.26% 35.84%
PSMT $67.44 0.25% 14.46%
RAD $8.92 0.56% -42.30%
SFM $18.29 -0.76% -22.14%
SFS $0.00 0.00% -100.00%
SPTN $12.27 -3.08% -30.01%
TUES $1.32 -3.65% -27.07%
UNFI $12.03 -10.22% 10.16%
USFD $39.64 0.25% 25.05%
VLGEA $25.62 0.08% -6.02%
WILC $11.00 -0.27% 57.14%
WMK $35.90 -1.62% -24.86%
YI $4.70 -3.09% -21.67%

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