CAN SPOTIFY BECOME THE NETFLIX OF AUDIO? NOT IF AMAZON HAS A SAY AMZN NFLX SPOT
HERE'S WHAT LIVING BY A MARIJUANA RETAILER DOES TO YOUR HOME'S VALUE ACB CGC TLRY
THIS MEASURE ESTIMATES Q1 GDP AT A SOLID 2.8% — IS THAT ENOUGH TO JUICE STOCKS?
TESLA IS DRAMATICALLY CHANGING ITS BOARD TSLA
DOW FINISHES UP OVER 100 POINTS AS INVESTORS DIGEST DELUGE OF EARNINGS earnings date calendar
MAJOR STOCK INDEXES ARE NOW ALL GREEN AFTER MUELLER REPORT GOES PUBLIC
AMAZON'S GOT AN AUDIOBOOK OF THE MUELLER REPORT FOR AN ORWELLIAN PRICE OF $19.84 AMZN
PINTEREST STOCK JUMPS 25% AFTER IPO PINS
ZOOM STOCK SOARS 75% AFTER IPO ZM
THE FULL, REDACTED MUELLER REPORT IS DUE OUT SHORTLY AND WE'VE GOT LIVE REACTION

Sin Stocks List 0


Screener
Min must be less than the Max.
Name PRICE MARKET CAPITALIZATION PRICE TO EARNINGS RATIO DIVIDEND YIELD SYMBOL EXCHANGE PRICE PERCENT DIFFERENCE YEAR TO DATE PRICE PERCENT DIFFERENCE 5 YEAR CHART 1 YEAR CHART

Brown-Forman

BF.B $52.85
-0.05 (-0.09%)

BF.B Profile

Sector Consumer Staples
Industry Consumer Products
Market Cap 25.08 Billion
BF.B Description

Brown-Forman produces and sells alcoholic beverages, including the Jack Daniel's family of products, which contribute around 60% of the firm's annual depletion volume. Jack Daniel's Tennessee Whiskey is the fourth-largest spirits brand in the world and has the dominant market share of the domestic bourbon and Tennessee whiskey category. Brown-Forman also sells several other spirits brands, including Woodford Reserve, Old Forester, Finlandia, el Jimador, and Herradura, as well as Sonoma-Cutrer wine, and generates nearly half of its revenue in the United States. http://www.brown-forman.com

BF.B Earnings

EPS 0.47 P/E Ratio 32.94
Previous Earnings Wed, Dec 5, 2018
Latest Earnings Wed, Mar 6, 2019 (45 days ago)

BF.B Dividend

Dividend 1.26% / $0.66
Ex-Date Fri, Mar 1, 2019 (50 days ago)
Pay Date Mon, Apr 1, 2019
History 138 Payments (Quarterly)

BF.B Charts

$45.35
52 Week Range
$59.22
Jan 3, 2019
May 18, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

52.85 25.08 32.94 1.26 BF.B NYSE -0.09 14.72 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=BF.B&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=BF.B&exchange=NYSE&chart=1

Dollar General Corp

DG $123.55
-0.75 (-0.60%)

DG Profile

Sector Consumer Staples
Industry Retail Consumer Staples
Market Cap 32.06 Billion
DG Description

Dollar General Corp is a leading American discount retailer, operates over 15,000 stores in 44 states, selling branded and private-label products across a wide variety of categories. In fiscal 2017, 77% 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 company emphasizes value, with more than 80% of its items offered at every day low prices of $5 or less. http://www.dollargeneral.com

DG Earnings

EPS 1.85 P/E Ratio 15.73
Previous Earnings Tue, Dec 4, 2018
Latest Earnings Thu, Mar 14, 2019 (37 days ago)

DG Dividend

Dividend 1.04% / $1.28
Ex-Date Mon, Apr 8, 2019 (12 days ago)
Pay Date Tue, Apr 23, 2019
History 17 Payments (Quarterly)

DG Charts

$87.48
52 Week Range
$124.30
May 31, 2018
Apr 17, 2019
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

123.55 32.06 15.73 1.04 DG NYSE -0.60 14.71 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=DG&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=DG&exchange=NYSE&chart=1

Coca-Cola Co

KO $47.48
+0.20 (0.42%)

KO Profile

Sector Consumer Staples
Industry Consumer Products
Market Cap 202.98 Billion
KO Description

The Coca-Cola Company is the largest nonalcoholic beverage company in the world, with over $30 billion in annual revenue. Its portfolio includes a variety of carbonated and noncarbonated brands, including Coca-Cola, Diet Coke, Fanta, Sprite, Minute Maid, Powerade, and Dasani. The firm has both concentrate and finished product operations, with concentrate sales contributing nearly two thirds of revenue. Trademark Coca-Cola contributes 45% of unit case volumes worldwide. Coca-Cola generates the majority of its revenue outside of the United States. The acquisition of Costa, closed in January 2019, should bolster its presence in the coffee category, particularly in the U.K., where Costa has more than a one third share of coffeehouses. http://www.coca-colacompany.com

KO Earnings

EPS -0.65 P/E Ratio 29.94
Previous Earnings Thu, Feb 14, 2019
Latest Earnings Tue, Apr 23, 2019 (In 3 days)

KO Dividend

Dividend 3.37% / $1.60
Ex-Date Thu, Mar 14, 2019 (37 days ago)
Pay Date Mon, Apr 1, 2019
History 133 Payments (Quarterly)

KO Charts

$41.55
52 Week Range
$50.51
May 16, 2018
Nov 19, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

47.48 202.98 29.94 3.37 KO NYSE 0.42 1.17 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=KO&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=KO&exchange=NYSE&chart=1

Legg Mason Inc

LM $32.83
-0.15 (-0.45%)

LM Profile

Sector Financials
Industry Asset Management
Market Cap 2.81 Billion
LM Description

Legg Mason provides investment management services for institutional and individual investors. The firm had $746.7 billion in managed assets at the end of January 2019, spread among its equity (26% of total AUM), fixed-income (55%), alternatives (9%), and money market (10%) investment platforms. Legg Mason uses a multiaffiliate business model, with its single-largest affiliate, Western Asset Management, accounting for close to 60% of managed assets. Other major affiliates include ClearBridge Investments (17% of AUM), Brandywine (10%), and Clarion Partners (7%). The remaining affiliates--Martin Currie, Royce & Associates, EnTrustPermal, QS Investors, and RARE Infrastructure--each account for 2% or less of Legg Mason's managed assets. http://www.leggmason.com

LM Earnings

EPS -2.55 P/E Ratio 0.00
Previous Earnings Wed, Oct 24, 2018
Latest Earnings Mon, Feb 4, 2019 (75 days ago)

LM Dividend

Dividend 4.14% / $1.36
Ex-Date Mon, Mar 25, 2019 (26 days ago)
Pay Date Mon, Apr 29, 2019
History 138 Payments (Quarterly)

LM Charts

$23.51
52 Week Range
$39.70
Dec 24, 2018
Apr 30, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

32.83 2.81 0.00 4.14 LM NYSE -0.45 27.25 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=LM&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=LM&exchange=NYSE&chart=1

Altria Group Inc

MO $54.37
-1.81 (-3.22%)

MO Profile

Sector Consumer Staples
Industry Tobacco
Market Cap 101.81 Billion
MO Description

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

MO Earnings

EPS 0.67 P/E Ratio 15.47
Previous Earnings Thu, Jan 31, 2019
Latest Earnings Thu, Apr 25, 2019 (In 5 days)

MO Dividend

Dividend 5.89% / $3.20
Ex-Date Fri, Mar 22, 2019 (29 days ago)
Pay Date Tue, Apr 30, 2019
History 134 Payments (Quarterly)

MO Charts

$43.33
52 Week Range
$65.87
Jan 24, 2019
Oct 30, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

54.37 101.81 15.47 5.89 MO NYSE -3.22 10.26 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=MO&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=MO&exchange=NYSE&chart=1

Owens-Illinois Inc

OI $18.94
-0.14 (-0.73%)

OI Profile

Sector Materials
Industry Containers & Packaging
Market Cap 2.94 Billion
OI Description

Owens-Illinois Inc is the world's largest manufacturer of glass bottles; 70% of its revenue comes from outside the United States. Owens-Illinois has a market- leading position in key markets like Europe, North America, and Brazil, among others. Beer is the primary end market for Owens-Illinois' glass bottles, which are also used for wine, soda, spirits, condiments, and food. In the coming years, Owens-Illinois is looking to maintain or grow its dominant positions in Europe, Australia/New Zealand, North America, and South America. http://www.o-i.com

OI Earnings

EPS -0.06 P/E Ratio 20.20
Previous Earnings Tue, Feb 5, 2019
Latest Earnings Wed, May 1, 2019 (In 11 days)

OI Dividend

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

OI Charts

$15.67
52 Week Range
$21.67
Oct 31, 2018
Apr 23, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

18.94 2.94 20.20 0.00 OI NYSE -0.73 7.31 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=OI&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=OI&exchange=NYSE&chart=1

PepsiCo Inc

PEP $127.09
+0.08 (0.06%)

PEP Profile

Sector Consumer Staples
Industry Consumer Products
Market Cap 178.16 Billion
PEP Description

PepsiCo manufactures and distributes nonalcoholic beverages, grain-based foods, and a variety of snacks. Its key brands include Pepsi, Gatorade, Mountain Dew, Tropicana, Quaker, Lay's, Doritos, and Cheetos. The firm receives a slight majority of revenue from food, with Frito-Lay North America (around one fourth of sales) contributing above 40% of operating profit. It distributes its products through direct-store-delivery and customer warehouse systems, as well as third-party networks. Pepsi generates 57% of its revenue in the United States. http://www.pepsico.com

PEP Earnings

EPS 1.01 P/E Ratio 34.01
Previous Earnings Fri, Feb 15, 2019
Latest Earnings Wed, Apr 17, 2019 (3 days ago)

PEP Dividend

Dividend 2.92% / $3.71
Ex-Date Thu, Feb 28, 2019 (51 days ago)
Pay Date Fri, Mar 29, 2019
History 134 Payments (Quarterly)

PEP Charts

$96.16
52 Week Range
$127.09
May 9, 2018
New High Today
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

127.09 178.16 34.01 2.92 PEP NASDAQ 0.06 16.30 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=PEP&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=PEP&exchange=NASDAQ&chart=1

Philip Morris International Inc

PM $84.49
-0.99 (-1.16%)

PM Profile

Sector Consumer Staples
Industry Tobacco
Market Cap 134.13 Billion
PM Description

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

PM Earnings

EPS 1.23 P/E Ratio 19.61
Previous Earnings Thu, Feb 7, 2019
Latest Earnings Thu, Apr 18, 2019 (2 days ago)

PM Dividend

Dividend 5.40% / $4.56
Ex-Date Mon, Mar 25, 2019 (26 days ago)
Pay Date Thu, Apr 11, 2019
History 44 Payments (Quarterly)

PM Charts

$65.97
52 Week Range
$91.91
Dec 24, 2018
Mar 21, 2019
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

84.49 134.13 19.61 5.40 PM NYSE -1.16 25.52 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=PM&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=PM&exchange=NYSE&chart=1

Constellation Brands Inc

STZ $198.80
+7.22 (3.77%)

STZ Profile

Sector Consumer Staples
Industry Consumer Products
Market Cap 36.08 Billion
STZ Description

Constellation Brands produces beer, wine, and spirits and is one of the largest multicategory alcoholic beverage suppliers in the U.S. The firm has the exclusive right to import and market several Mexican beer brands in the U.S., including the Corona, Modelo, and Pacifico brand families, and it acquired Ballast Point, a craft beer brand, in 2015. Constellation Brands' wine and spirits portfolio includes the Robert Mondavi, Black Box, and Clos du Bois wine brands and Svedka vodka. The firm generates over 90% of its revenue in the U.S. http://www.cbrands.com

STZ Earnings

EPS 6.57 P/E Ratio 10.92
Previous Earnings Wed, Jan 9, 2019
Latest Earnings Thu, Apr 4, 2019 (16 days ago)

STZ Dividend

Dividend 1.51% / $3.00
Ex-Date Thu, May 9, 2019 (In 19 days)
Pay Date Fri, May 24, 2019
History 17 Payments (Quarterly)

STZ Charts

$150.94
52 Week Range
$234.22
Jan 9, 2019
Apr 27, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

198.80 36.08 10.92 1.51 STZ NYSE 3.77 21.19 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=STZ&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=STZ&exchange=NYSE&chart=1

Wynn Resorts Ltd

WYNN $142.44
-0.92 (-0.64%)

WYNN Profile

Sector Consumer Discretionary
Industry Gaming, Lodging & Restaurants
Market Cap 15.58 Billion
WYNN Description

Wynn Resorts operates luxury casinos and resorts. The company was founded in 2002 by Steve Wynn, the former CEO. The company operates four megaresorts: Wynn Macau and Encore in Macau and Wynn Las Vegas and Encore in Las Vegas. Cotai Palace opened in August 2016 in Macau, Encore Boston in Massachusetts will open mid-2019, and various Vegas projects are currently under development. The company gets 77% and 23% of its EBITDA from Macau and Las Vegas, respectively. https://www.wynnresorts.com

WYNN Earnings

EPS 4.43 P/E Ratio 25.97
Previous Earnings Wed, Nov 7, 2018
Latest Earnings Wed, Jan 30, 2019 (80 days ago)

WYNN Dividend

Dividend 2.11% / $3.00
Ex-Date Thu, Feb 14, 2019 (65 days ago)
Pay Date Tue, Feb 26, 2019
History 42 Payments (Quarterly)

WYNN Charts

$92.01
52 Week Range
$201.51
Dec 24, 2018
May 10, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

142.44 15.58 25.97 2.11 WYNN NASDAQ -0.64 36.44 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=WYNN&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=WYNN&exchange=NASDAQ&chart=1

MGM Resorts International

MGM $27.52
-0.04 (-0.15%)

MGM Profile

Sector Consumer Discretionary
Industry Gaming, Lodging & Restaurants
Market Cap 14.73 Billion
MGM Description

MGM Resorts is the largest resort operator on the Las Vegas Strip with 35,000 guest rooms and suites, representing about one fourth of all units in the market. The company's Vegas properties include Bellagio, MGM Grand, Mandalay Bay, Mirage, Luxor, New York-New York, and a 50% ownership stake in CityCenter. Strip constituted approximately 52% of total EBITDA in 2018. We estimate MGM will open a resort in Japan in 2026. The company also operates the 56%-owned MGM Macau casinos with a new property that opened on the Cotai Strip in early 2018. http://www.mgmresorts.com

MGM Earnings

EPS -0.06 P/E Ratio 33.98
Previous Earnings Wed, Feb 13, 2019
Latest Earnings Mon, Apr 29, 2019 (In 9 days)

MGM Dividend

Dividend 1.89% / $0.52
Ex-Date Thu, Mar 7, 2019 (44 days ago)
Pay Date Fri, Mar 15, 2019
History 10 Payments (Quarterly)

MGM Charts

$21.84
52 Week Range
$36.17
Dec 24, 2018
Apr 23, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

27.52 14.73 33.98 1.89 MGM NYSE -0.15 9.25 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=MGM&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=MGM&exchange=NYSE&chart=1

AAC Holdings Inc

AAC $1.56
-0.18 (-10.34%)

AAC Profile

Sector Health Care
Industry Health Care Providers
Market Cap 40 Million
AAC Description

AAC Holdings Inc provides inpatient and outpatient substance use treatment services for individuals with drug addiction, alcohol addiction, and co-occurring mental/behavioral health issues. The company also provides drug testing, diagnostic laboratory services and provides physician services to clients. Its facilities are located throughout the United States, including residential substance abuse treatment facilities, standalone outpatient centers and sober living facilities, that focus on delivering effective clinical care and treatment solutions. http://www.americanaddictioncenters.org

AAC Earnings

EPS -0.47 P/E Ratio 0.00
Previous Earnings Tue, Nov 6, 2018
Latest Earnings Wed, Mar 13, 2019 (38 days ago)

AAC Dividend

Dividend --
Ex-Date --
Pay Date --
History --

AAC Charts

$1.40
52 Week Range
$12.33
Dec 31, 2018
May 21, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

1.56 0.04 0.00 0.00 AAC NYSE -10.34 -4.29 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=AAC&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=AAC&exchange=NYSE&chart=1

Ambev S.A. American Depositary Shares (Each representing 1 Common Share)

ABEV $4.36
+0.02 (0.46%)

ABEV Profile

Sector Consumer Staples
Industry Beverages
Market Cap 68.25 Billion
ABEV Description

Ambev is the largest brewer in Latin America by volume and the fourth-largest beer producer in the world. It produces, distributes, and sells beer and PepsiCo products in Brazil and other Latin American countries. It also owns Argentina's largest brewer, Quinsa. Ambev was formed in 1999 through the merger of Brazil's two largest beverage firms, Brahma and Antarctica. In 2004, Ambev combined with Canadian brewer Labatt, giving Interbrew (now Anheuser-Busch InBev) a controlling interest. http://www.ambev.com.br

ABEV Earnings

EPS 0.21 P/E Ratio 23.90
Previous Earnings Thu, Oct 25, 2018
Latest Earnings Thu, Feb 28, 2019 (51 days ago)

ABEV Dividend

Dividend 3.94% / $0.17
Ex-Date Mon, Jun 18, 2018 (306 days ago)
Pay Date Mon, Aug 6, 2018
History 70 Payments (Quarterly)

ABEV Charts

$3.82
52 Week Range
$6.81
Dec 24, 2018
Apr 20, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

4.36 68.25 23.90 3.94 ABEV NYSE 0.46 3.81 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=ABEV&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=ABEV&exchange=NYSE&chart=1

Aurora Cannabis Inc. Common Shares

ACB $9.00
+0.04 (0.45%)

ACB Profile

Sector Health Care
Industry Drug Manufacturers
Market Cap 8.98 Billion
ACB Description

Aurora Cannabis Inc is a Canada-based company engaged in the production and distribution of medical cannabis. The Company is vertically integrated and horizontally diversified across every key segment of the value chain, from facility engineering and design to cannabis breeding and genetics research, cannabis, and hemp production, derivatives, home cultivation, wholesale and retail distribution. The Company's purpose-built facilities which integrate technologies across all processes are defined by automation and customization. The Company has a funded capacity of more than 500,000 kilograms per year as well as sales and operations in 24 countries worldwide. http://www.auroramj.com

ACB Earnings

EPS -0.25 P/E Ratio 31.99
Previous Earnings Mon, Nov 12, 2018
Latest Earnings Mon, Feb 11, 2019 (68 days ago)

ACB Dividend

Dividend --
Ex-Date --
Pay Date --
History --

ACB Charts

$4.10
52 Week Range
$11.68
Aug 14, 2018
Oct 15, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

9.00 8.98 31.99 0.00 ACB NYSE 0.45 71.76 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=ACB&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=ACB&exchange=NYSE&chart=1

PlayAGS Inc

AGS $25.40
-0.24 (-0.94%)

AGS Profile

Sector Consumer Discretionary
Industry Travel & Leisure
Market Cap 910 Million
AGS Description

PlayAGS Inc is a designer and supplier of gaming products and services for the gaming industry. The company mainly supplies electronic gaming machines (EGM), server-based systems and back-office systems which are used by casinos, and various gaming locations. Its operating segments are EGM, Table Products, and Interactive. The EGM segment offers a selection of video slot titles developed for the global marketplace as well as EGM cabinets. Its Table Products segments include live proprietary table games and side bets, as well as ancillary table products. The Interactive segment consists of delivering games through mobile apps such as Lucky Play Casino and Vegas Fever. It earns a majority of its revenue from Electronic Gaming Machines segment and geographically from the United States. http://www.playags.com

AGS Earnings

EPS -0.29 P/E Ratio 0.00
Previous Earnings Thu, Nov 8, 2018
Latest Earnings Tue, Mar 5, 2019 (46 days ago)

AGS Dividend

Dividend --
Ex-Date --
Pay Date --
History --

AGS Charts

$19.17
52 Week Range
$32.04
Nov 19, 2018
Aug 31, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

25.40 0.91 0.00 0.00 AGS NYSE -0.94 7.90 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=AGS&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=AGS&exchange=NYSE&chart=1

Aphria Inc. Common Shares

APHA $7.65
-0.17 (-2.17%)

APHA Profile

Sector Health Care
Industry Drug Manufacturers
Market Cap 1.91 Billion
APHA Description

Aphria Inc and its subsidiaries produce and sell medical marijuana. Its products include Capsules, Oral solutions, and Vaporizers. The company's operations are based in Leamington, Ontario. It is focused on producing and selling medical marijuana and its derivatives through retail sales and wholesale channels. http://www.aphria.com

APHA Earnings

EPS -0.43 P/E Ratio 32.76
Previous Earnings Fri, Jan 11, 2019
Latest Earnings Mon, Apr 15, 2019 (5 days ago)

APHA Dividend

Dividend --
Ex-Date --
Pay Date --
History --

APHA Charts

$4.51
52 Week Range
$16.50
Dec 4, 2018
Sep 11, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

7.65 1.91 32.76 0.00 APHA NYSE -2.17 27.29 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=APHA&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=APHA&exchange=NYSE&chart=1

Blue Apron Holdings Inc

APRN $1.00
-0.01 (-0.99%)

APRN Profile

Sector Consumer Discretionary
Industry Retail Discretionary
Market Cap --
APRN Description

Blue Apron Holdings Inc is a United States based company involved in discovering new recipes, ingredients, and cooking techniques to prepare meals which are sent along with fresh, seasonal ingredients, directly to customers. The company offers its customers two flexible plans, a 2-Serving Plan; and a Family Plan. Blue Apron's recipes are accompanied by printed and digital content, including how-to-cook instructions and the stories of its suppliers and specialty ingredients. The company also sells wine, cooking tools, utensils, and pantry items. http://www.blueapron.com

APRN Earnings

EPS -0.12 P/E Ratio 0.00
Previous Earnings Wed, Nov 14, 2018
Latest Earnings Thu, Jan 31, 2019 (79 days ago)

APRN Dividend

Dividend --
Ex-Date --
Pay Date --
History --

APRN Charts

$0.66
52 Week Range
$3.92
Dec 21, 2018
Jul 12, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

1.00 0.00 0.00 0.00 APRN NYSE -0.99 -7.41 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=APRN&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=APRN&exchange=NYSE&chart=1

Aradigm Corp

ARDM $0.12
-0.34 (-73.91%)

ARDM Profile

Sector Health Care
Industry Drug Manufacturers
Market Cap 10 Million
ARDM Description

Aradigm Corp is a United States based specialty pharmaceutical company. It develops and commercializes drugs delivered by inhalation for the prevention and treatment of severe respiratory diseases. The company has respiratory inhalation products in preclinical and clinical development for the treatment of cystic fibrosis, bronchiectasis, biodefense, and tobacco smoking cessation. It derives revenue from the grants, collaboration agreements, and feasibility studies. http://www.aradigm.com

ARDM Earnings

EPS -0.24 P/E Ratio 0.00
Previous Earnings --
Latest Earnings --

ARDM Dividend

Dividend --
Ex-Date --
Pay Date --
History --

ARDM Charts

$0.12
52 Week Range
$1.93
Feb 19, 2019
Jun 20, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

0.12 0.01 0.00 0.00 ARDM NASDAQ -73.91 -67.57 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=ARDM&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=ARDM&exchange=NASDAQ&chart=1

Ark Restaurants Corp

ARKR $19.90
-0.09 (-0.45%)

ARKR Profile

Sector Consumer Discretionary
Industry Gaming, Lodging & Restaurants
Market Cap 70 Million
ARKR Description

Ark Restaurants Corp owns and operates 19 restaurants and bars, 19 fast food concepts and catering operations in New York City, Florida, Washington, D.C, Las Vegas, Nevada and the gulf coast of Alabama. Fiverestaurants are located in New York City, two are located in Washington, D.C., five are located in Las Vegas, Nevada, three are located in Atlantic City, New Jersey, two are located on the east coast of Florida and two are located on the Gulf Coast of Alabama. The Las Vegas operations include four restaurants within the New York-New York Hotel & Casino Resort and operation of the hotel's room service, banquet facilities, employee dining room and six food court concepts; and one restaurant within the Planet Hollywood Resort and Casino. http://www.arkrestaurants.com

ARKR Earnings

EPS -0.02 P/E Ratio 15.87
Previous Earnings Wed, Dec 19, 2018
Latest Earnings Mon, Feb 11, 2019 (68 days ago)

ARKR Dividend

Dividend 5.03% / $1.00
Ex-Date Thu, Mar 14, 2019 (37 days ago)
Pay Date Fri, Apr 5, 2019
History 57 Payments (Quarterly)

ARKR Charts

$18.11
52 Week Range
$26.90
Jan 3, 2019
Jun 1, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

19.90 0.07 15.87 5.03 ARKR NASDAQ -0.45 6.99 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=ARKR&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=ARKR&exchange=NASDAQ&chart=1

Brandywine Realty Trust

BDN $15.25
+0.04 (0.26%)

BDN Profile

Sector Real Estate
Industry REITs
Market Cap 2.68 Billion
BDN Description

Brandywine Realty Trust is a real estate investment trust that acquires, develops, and leases office, industrial, retail, and mixed-use properties throughout the U.S. The vast majority of the company's real estate portfolio is composed of urban and transit-oriented suburban office buildings. In terms of total square footage, these assets are primarily located in the major real estate markets of the Mid-Atlantic US, including suburban Pennsylvania, Philadelphia's Central Business District, and Metropolitan Washington D.C. Brandywine derives nearly all of its revenue in the form of rental income from tenants. The company's largest revenue-generating customers are U.S. Government, technology, defense, and financial services entities in its three primary markets. http://www.brandywinerealty.com

BDN Earnings

EPS 0.68 P/E Ratio 20.86
Previous Earnings Wed, Oct 17, 2018
Latest Earnings Wed, Jan 30, 2019 (80 days ago)

BDN Dividend

Dividend 4.72% / $0.72
Ex-Date Wed, Oct 3, 2018 (199 days ago)
Pay Date Thu, Oct 18, 2018
History 113 Payments (Quarterly)

BDN Charts

$12.36
52 Week Range
$17.12
Dec 24, 2018
Jul 6, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

15.25 2.68 20.86 4.72 BDN NYSE 0.26 21.90 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=BDN&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=BDN&exchange=NYSE&chart=1

Bloomin Brands Inc

BLMN $19.24
+0.44 (2.34%)

BLMN Profile

Sector Consumer Discretionary
Industry Gaming, Lodging & Restaurants
Market Cap 1.76 Billion
BLMN Description

Bloomin Brands Inc operates as a casual dining restaurant company. Its brand includes Outback Steakhouse, Carrabba's Italian Grill, Bonefish Grill, and Fleming's Prime Steakhouse and Wine Bar. The company owns and operates its restaurants, and the remainder is franchised. It derives revenue mainly from the United States, but the company has the presence in Brazil and South Korea with company-owned Outbacks and Carrabbas. In addition, it also has exposure to several countries, predominantly in Asia, principally through franchising. https://www.bloominbrands.com

BLMN Earnings

EPS 0.18 P/E Ratio 16.89
Previous Earnings Thu, Feb 14, 2019
Latest Earnings Fri, Apr 26, 2019 (In 6 days)

BLMN Dividend

Dividend 1.87% / $0.36
Ex-Date Tue, Nov 13, 2018 (158 days ago)
Pay Date Wed, Nov 21, 2018
History 16 Payments (Quarterly)

BLMN Charts

$17.21
52 Week Range
$24.51
Dec 24, 2018
May 1, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

19.24 1.76 16.89 1.87 BLMN NASDAQ 2.34 5.71 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=BLMN&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=BLMN&exchange=NASDAQ&chart=1

China New Borun Corp

BORN $0.91
-0.02 (-2.15%)

BORN Profile

Sector Consumer Staples
Industry Beverages
Market Cap 20 Million
BORN Description

China New Borun Corp is a producer and distributor of corn-based edible alcohol and it's by-products in China. Its products include Edible alcohol, DDGS feed, Crude corn oil, Liquid carbon dioxide, CPE and Foam insulation. The firm has Corn base edible alcohol and it's by-products, CPE and Foam insulation reportable segments. It derives the majority of its revenues from Corn-based edible alcohol and its by-products segment. The company's facilities are located in Shouguong, Shandong province and Daqing, Heilongjiang province. It mainly operates in China. http://www.chinanewborun.com

BORN Earnings

EPS 1.04 P/E Ratio 1.28
Previous Earnings --
Latest Earnings Tue, Oct 30, 2018 (172 days ago)

BORN Dividend

Dividend --
Ex-Date --
Pay Date --
History --

BORN Charts

$0.64
52 Week Range
$1.39
Dec 31, 2018
May 30, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

0.91 0.02 1.28 0.00 BORN NYSE -2.15 42.19 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=BORN&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=BORN&exchange=NYSE&chart=1

Craft Brew Alliance Inc

BREW $13.91
+0.05 (0.36%)

BREW Profile

Sector Consumer Staples
Industry Beverages
Market Cap 270 Million
BREW Description

Craft Brew Alliance Inc is a craft brewing company and a leader in brewing, and branding American craft beers. The company's brand portfolio consists of Redhook Brewery, Widmer Brothers Brewing, Kona Brewing Company, Omission Beer, Square Mile Cider Company, and Resignation Brewery. The crafts beers are brewed and packed in the location such as Portland, Oregon the Seattle suburb of Woodinville, Washington; Portsmouth, New Hampshire, and Kailua-Kona, Hawaii. Its segments are Beer Related operations and Brewpubs operations. The majority of the revenue is derived from brewing, and domestic and international sales, of craft beers and ciders. http://www.craftbrew.com

BREW Earnings

EPS -0.03 P/E Ratio 67.10
Previous Earnings Wed, Nov 7, 2018
Latest Earnings Wed, Mar 6, 2019 (45 days ago)

BREW Dividend

Dividend --
Ex-Date --
Pay Date --
History --

BREW Charts

$13.51
52 Week Range
$21.00
Apr 3, 2019
Jul 5, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

13.91 0.27 67.10 0.00 BREW NASDAQ 0.36 -3.40 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=BREW&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=BREW&exchange=NASDAQ&chart=1

British American Tobacco Industries, p.l.c. Common Stock ADR

BTI $39.78
-0.59 (-1.46%)

BTI Profile

Sector Consumer Staples
Industry Tobacco
Market Cap 91.25 Billion
BTI Description

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

BTI Earnings

EPS 0.00 P/E Ratio 11.84
Previous Earnings Thu, Jul 26, 2018
Latest Earnings Thu, Feb 28, 2019 (51 days ago)

BTI Dividend

Dividend 6.83% / $2.72
Ex-Date Thu, Dec 27, 2018 (114 days ago)
Pay Date Tue, Feb 12, 2019
History 78 Payments (Quarterly)

BTI Charts

$31.19
52 Week Range
$55.24
Dec 26, 2018
Apr 26, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

39.78 91.25 11.84 6.83 BTI NYSE -1.46 26.13 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=BTI&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=BTI&exchange=NYSE&chart=1

Anheuser-Busch Inbev SA Sponsored ADR (Belgium)

BUD $89.96
+1.63 (1.85%)

BUD Profile

Sector Consumer Staples
Industry Beverages
Market Cap 176.01 Billion
BUD Description

Anheuser-Busch InBev SA/NV is the largest brewer in the world and one of the world's top five consumer product companies, as measured by EBITDA. After the SABMiller acquisition, the company's portfolio now contains five of the top 10 beer brands by sales and 18 brands with retail sales over $1 billion. AB InBev was created by the 2008 merger of Belgium-based InBev and U.S.-based Anheuser-Busch. The firm holds a 62% economic interest in Ambev and in 2016 acquired SABMiller. http://www.ab-inbev.com

BUD Earnings

EPS 0.23 P/E Ratio 39.78
Previous Earnings Thu, Feb 28, 2019
Latest Earnings Tue, May 7, 2019 (In 17 days)

BUD Dividend

Dividend 2.03% / $1.83
Ex-Date Tue, Nov 27, 2018 (144 days ago)
Pay Date Fri, Dec 21, 2018
History 15 Payments (Biannual)

BUD Charts

$65.43
52 Week Range
$106.73
Dec 24, 2018
Jul 25, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

89.96 176.01 39.78 2.03 BUD NYSE 1.85 36.49 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=BUD&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=BUD&exchange=NYSE&chart=1

Legg Mason BW Global Income Opportunities Fund Inc

BWG $11.01
-0.04 (-0.36%)

BWG Profile

Sector Financials
Industry Asset Management
Market Cap 230 Million
BWG Description

BrandywineGLOBAL - Global Income Opportunities Fund Inc is a non-diversified, closed-end management investment company. The fund's primary investment objective is to provide current income. As a secondary investment objective, the fund seeks capital appreciation. The fund seeks to achieve its investment objectives by investing, under normal market conditions, at least 80% of its assets in global fixed-income securities. https://www.leggmason.com

BWG Earnings

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

BWG Dividend

Dividend 6.70% / $0.74
Ex-Date Thu, May 23, 2019 (In 33 days)
Pay Date Mon, Jun 3, 2019
History 12 Payments (Monthly)

BWG Charts

$10.17
52 Week Range
$12.71
Nov 27, 2018
Apr 20, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

11.01 0.23 0.00 6.70 BWG NYSE -0.36 5.66 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=BWG&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=BWG&exchange=NYSE&chart=1

Boyd Gaming Corp

BYD $29.80
+0.20 (0.68%)

BYD Profile

Sector Consumer Discretionary
Industry Travel & Leisure
Market Cap 3.31 Billion
BYD Description

Boyd Gaming Corp is a regional casino company focused primarily on serving middle income customers. The company operates 16 casinos in Las Vegas, Atlantic City, Illinois, Indiana, Mississippi and Louisiana. Its Las Vegas casinos, which focus primarily on serving Las Vegas residents due to their off-Strip locations, account for approximately 35% of total revenue. Its more upscale 50% owned Borgata casino in Atlantic City generates approximately 30% of consolidated revenue, while casinos in the Midwest and South represent over 30% of revenue. https://www.boydgaming.com

BYD Earnings

EPS 0.21 P/E Ratio 28.23
Previous Earnings Thu, Feb 21, 2019
Latest Earnings Thu, Apr 25, 2019 (In 5 days)

BYD Dividend

Dividend 0.81% / $0.24
Ex-Date Thu, Mar 14, 2019 (37 days ago)
Pay Date Mon, Apr 15, 2019
History 28 Payments (Quarterly)

BYD Charts

$19.26
52 Week Range
$38.61
Dec 24, 2018
Jun 1, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

29.80 3.31 28.23 0.81 BYD NYSE 0.68 40.10 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=BYD&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=BYD&exchange=NYSE&chart=1

Companhia Brasileira de Distribuicao ADS

CBD $23.77
+0.71 (3.08%)

CBD Profile

Sector Consumer Discretionary
Industry Retail Discretionary
Market Cap 6.34 Billion
CBD Description

Companhia Brasileira De Distribuicao, or GPA, is part of Casino Group, a Brazilian retail and distribution group. The company has a multichannel, multiformat, and multiregional approach. It operates in Latin America. GPA operates various store concepts under different names: MultiVarejo (Pao de Acucar, Extra and Proximity units), Assai Atacadista, Via Varejo, GPA Malls, and Cnova. The firm's specialties include supermarkets, hypermarkets, electronics and household appliances, convenience stores, its cash-and-carry segment, and e-commerce operations. http://www.gpari.com.br

CBD Earnings

EPS 1.55 P/E Ratio 26.53
Previous Earnings Wed, Feb 20, 2019
Latest Earnings Wed, Apr 24, 2019 (In 4 days)

CBD Dividend

Dividend 1.88% / $0.45
Ex-Date Thu, Oct 4, 2018 (198 days ago)
Pay Date Tue, Dec 4, 2018
History 48 Payments (Quarterly)

CBD Charts

$18.18
52 Week Range
$26.74
Sep 4, 2018
Jan 31, 2019
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

23.77 6.34 26.53 1.88 CBD NYSE 3.08 9.09 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=CBD&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=CBD&exchange=NYSE&chart=1

Coca-Cola European Partners plc Ordinary Shares

CCEP $52.04
+0.14 (0.27%)

CCEP Profile

Sector Consumer Staples
Industry Beverages
Market Cap 24.59 Billion
CCEP Description

Coca-Cola European Partners PLC sells nonalcoholic beverage products in Europe. The company purchases concentrates and syrups from other beverage manufacturers under a license, then produces, packages, and distributes the beverages to retailers. It sells the beverages under the licensor's name. The company's primary licensor is The Coca-Cola Company, which generally allows it to exclusively market, produce, and distribute Coca-Cola products within specified territories--Iberia, Belgium, continental France, Great Britain, Luxembourg, Monaco, the Netherlands, Norway, Iceland, and Sweden. Beverages with the Coca-Cola trademark make up roughly two thirds of the company's total sales volume. http://www.cokecce.com

CCEP Earnings

EPS 0.28 P/E Ratio 28.15
Previous Earnings Thu, Oct 25, 2018
Latest Earnings Thu, Feb 14, 2019 (65 days ago)

CCEP Dividend

Dividend 2.15% / $1.12
Ex-Date Thu, Nov 8, 2018 (163 days ago)
Pay Date Tue, Nov 20, 2018
History 129 Payments (Quarterly)

CCEP Charts

$37.73
52 Week Range
$52.04
May 25, 2018
New High Today
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

52.04 24.59 28.15 2.15 CCEP NYSE 0.27 15.80 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=CCEP&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=CCEP&exchange=NYSE&chart=1

Compania Cervecerias Unidas, S.A. Common Stock

CCU $28.70
-0.02 (-0.07%)

CCU Profile

Sector Consumer Staples
Industry Beverages
Market Cap 5.30 Billion
CCU Description

Compania Cervecerias Unidas, or United Breweries, is the largest producer of beer in Chile and the second-largest producer of beer in Argentina. The firm also produces nonalcoholic beverages, wines, and spirits. United Breweries generates more than 70% of its revenue in Chile, where its volume share is above 40%. The firm's international business segment (27% of revenue) sells beverages in Argentina, Bolivia, Uruguay, and Paraguay, while its wines are sold in the domestic market and exported abroad. http://www.ccu.cl

CCU Earnings

EPS 339.40 P/E Ratio 11.45
Previous Earnings Wed, Nov 7, 2018
Latest Earnings Wed, Feb 27, 2019 (52 days ago)

CCU Dividend

Dividend 2.48% / $0.71
Ex-Date Thu, Apr 19, 2018 (366 days ago)
Pay Date Fri, May 4, 2018
History 54 Payments (Biannual)

CCU Charts

$24.67
52 Week Range
$29.46
Jun 28, 2018
Mar 29, 2019
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

28.70 5.30 11.45 2.48 CCU NYSE -0.07 14.07 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=CCU&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=CCU&exchange=NYSE&chart=1

Canopy Growth Corporation Common Stock

CGC $44.56
+1.71 (3.99%)

CGC Profile

Sector Health Care
Industry Drug Manufacturers
Market Cap 15.31 Billion
CGC Description

Canopy Growth Corp through its subsidiaries is the licensed producer of medical marijuana in Canada. The company grows, produces and sells medical marijuana. It operates diverse brands and variety supported by over half million square feet of indoor and greenhouse marijuana production. It sells medical marijuana under various brand names including Tweed, Bedrocan, and Mettrum. A majority of the revenue is derived from the sale of medical marijuana by Tweed and Bedrocan in Canada. http://www.canopygrowth.com

CGC Earnings

EPS 0.22 P/E Ratio 0.00
Previous Earnings Wed, Nov 14, 2018
Latest Earnings Mon, Jan 14, 2019 (96 days ago)

CGC Dividend

Dividend --
Ex-Date --
Pay Date --
History --

CGC Charts

$21.11
52 Week Range
$56.89
Apr 26, 2018
Oct 15, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

44.56 15.31 0.00 0.00 CGC NYSE 3.99 54.08 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=CGC&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=CGC&exchange=NYSE&chart=1

Churchill Downs Inc

CHDN $92.32
-0.58 (-0.62%)

CHDN Profile

Sector Consumer Discretionary
Industry Travel & Leisure
Market Cap 3.73 Billion
CHDN Description

Churchill Downs Inc is a gambling company that operates the Churchill Downs racetrack, which hosts the Kentucky Derby. It operates through five business segments: Racing, Casinos, Online Wagering, and Other Investments and Corporate segments. Its majority of revenue is generated from the Casinos business. https://www.churchilldownsincorporated.com

CHDN Earnings

EPS 0.28 P/E Ratio 20.96
Previous Earnings Wed, Feb 27, 2019
Latest Earnings Wed, Apr 24, 2019 (In 4 days)

CHDN Dividend

Dividend 0.59% / $0.54
Ex-Date Thu, Dec 6, 2018 (135 days ago)
Pay Date Fri, Jan 4, 2019
History 29 Payments (Annually)

CHDN Charts

$74.85
52 Week Range
$103.52
Dec 24, 2018
May 21, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

92.32 3.73 20.96 0.59 CHDN NASDAQ -0.62 14.24 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=CHDN&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=CHDN&exchange=NASDAQ&chart=1

The Chefs' Warehouse Inc

CHEF $31.65
-0.04 (-0.13%)

CHEF Profile

Sector Consumer Staples
Industry Retail Consumer Staples
Market Cap 950 Million
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. https://www.chefswarehouse.com

CHEF Earnings

EPS 0.31 P/E Ratio 45.99
Previous Earnings Wed, Feb 13, 2019
Latest Earnings Wed, May 1, 2019 (In 11 days)

CHEF Dividend

Dividend --
Ex-Date --
Pay Date --
History --

CHEF Charts

$23.15
52 Week Range
$38.83
Apr 20, 2018
Dec 3, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

31.65 0.95 45.99 0.00 CHEF NASDAQ -0.13 -1.56 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=CHEF&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=CHEF&exchange=NASDAQ&chart=1

Collplant Holdings Ltd

CLGN $5.36
+0.06 (1.13%)

CLGN Profile

Sector Health Care
Industry Biotech & Pharma
Market Cap 20 Million
CLGN Description

Collplant Holdings Ltd is a part of the healthcare sector. It is a biotechnology company focused on regenerative medicine. The company operates through its wholly-owned subsidiary which focuses on research, development, manufacture, and marketing of medical products for tissue repair. Its products are based on recombinant human collagen produced from genetically-modified tobacco plants, and the company focuses on orthopedics and advanced wound care. https://www.collplant.com

CLGN Earnings

EPS 1.00 P/E Ratio 0.00
Previous Earnings --
Latest Earnings --

CLGN Dividend

Dividend --
Ex-Date --
Pay Date --
History --

CLGN Charts

$3.67
52 Week Range
$6.50
Dec 27, 2018
Jun 4, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

5.36 0.02 0.00 0.00 CLGN NASDAQ 1.13 16.78 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=CLGN&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=CLGN&exchange=NASDAQ&chart=1

Century Casinos Inc

CNTY $9.07
-0.02 (-0.22%)

CNTY Profile

Sector Consumer Discretionary
Industry Travel & Leisure
Market Cap 270 Million
CNTY Description

Century Casinos Inc is a US-based international casino entertainment company. The company principally engages in the development and operations of gaming establishments as well as related lodging, restaurant, and entertainment facilities. Through its subsidiaries, it manages Century Casino & Hotel, Century Casino St. Albert, Century Casino Calgary, Century Downs Racetrack and Casino, Century Mile Racetrack and Casino in Canada: Century Casino & Hotel in United States and Casinos Poland in Poland. Along with its land-based casinos, it also operates ship-based casinos on international and Alaskan waters pursuant to casino concessionaire agreements with cruise lines which include, Oceania Cruises, TUI Cruises, Windstar Cruises and Regent Seven Seas Cruises. http://www.cnty.com

CNTY Earnings

EPS 0.02 P/E Ratio 82.45
Previous Earnings Mon, Mar 11, 2019
Latest Earnings Thu, May 9, 2019 (In 19 days)

CNTY Dividend

Dividend --
Ex-Date --
Pay Date --
History --

CNTY Charts

$6.00
52 Week Range
$9.12
Oct 30, 2018
Jun 18, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

9.07 0.27 82.45 0.00 CNTY NASDAQ -0.22 26.15 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=CNTY&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=CNTY&exchange=NASDAQ&chart=1

Coca-Cola Bottling Co Consolidated

COKE $302.09
+7.36 (2.50%)

COKE Profile

Sector Consumer Staples
Industry Beverages
Market Cap 2.72 Billion
COKE Description

Coca-Cola Consolidated Inc sells nonalcoholic beverage products in the United States. The company purchases concentrates and syrups from other beverage manufacturers under a license, then produces, packages, markets, and distributes the beverages to retailers. The company's primary licensor is Coca-Cola Co., which generally allows it to exclusively market, produce, and distribute Coca-Cola products in specified parts of the U.S.: North Carolina, South Carolina, West Virginia, and parts of Alabama, Georgia, Tennessee, Virginia, Indiana, and Kentucky. The company manages its business in four operating segments. Nonalcoholic Beverages segment which represents the majority of the company's revenues. Other three segments combined into All Other segment. http://www.cokeconsolidated.com

COKE Earnings

EPS 8.35 P/E Ratio 0.00
Previous Earnings Thu, Oct 25, 2018
Latest Earnings Tue, Feb 26, 2019 (53 days ago)

COKE Dividend

Dividend 0.33% / $1.00
Ex-Date Thu, Oct 25, 2018 (177 days ago)
Pay Date Fri, Nov 9, 2018
History 142 Payments (Quarterly)

COKE Charts

$126.48
52 Week Range
$302.09
May 16, 2018
New High Today
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

302.09 2.72 0.00 0.33 COKE NASDAQ 2.50 67.73 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=COKE&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=COKE&exchange=NASDAQ&chart=1

Core-Mark Holding Co Inc

CORE $36.35
-1.13 (-3.01%)

CORE Profile

Sector Consumer Staples
Industry Retail Consumer Staples
Market Cap 1.67 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. https://www.core-mark.com

CORE Earnings

EPS 0.26 P/E Ratio 36.72
Previous Earnings Tue, Nov 6, 2018
Latest Earnings Fri, Mar 1, 2019 (50 days ago)

CORE Dividend

Dividend 1.21% / $0.44
Ex-Date Mon, Nov 19, 2018 (152 days ago)
Pay Date Fri, Dec 14, 2018
History 29 Payments (Quarterly)

CORE Charts

$17.38
52 Week Range
$39.42
May 8, 2018
Oct 30, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

36.35 1.67 36.72 1.21 CORE NASDAQ -3.01 52.80 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=CORE&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=CORE&exchange=NASDAQ&chart=1

Canterbury Park Holding Corp

CPHC $14.85
+0.22 (1.50%)

CPHC Profile

Sector Consumer Discretionary
Industry Travel & Leisure
Market Cap 70 Million
CPHC Description

Canterbury Park Holding Corp is in the business of pari-mutual wagering on horse races and unbanked card games at its canterbury park racetrack and card casino facility in Minnesota. The company has four operating segments namely Horse Racing, Card Casino, Food and Beverage, and Development. It generates maximum revenue from the Card Casino segment. The company pari-mutual wagering operations include both wagerings on through bred and quarter horse races during live meets and year around wagering on televised races. http://www.canterburypark.com

CPHC Earnings

EPS 0.53 P/E Ratio 11.78
Previous Earnings Wed, Nov 14, 2018
Latest Earnings Fri, Mar 29, 2019 (22 days ago)

CPHC Dividend

Dividend 1.89% / $0.28
Ex-Date Thu, Mar 28, 2019 (23 days ago)
Pay Date Mon, Apr 15, 2019
History 22 Payments (Quarterly)

CPHC Charts

$13.89
52 Week Range
$17.45
Jan 2, 2019
May 17, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

14.85 0.07 11.78 1.89 CPHC NASDAQ 1.50 6.91 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=CPHC&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=CPHC&exchange=NASDAQ&chart=1

Cronos Group Inc. - Common Share

CRON $15.75
-0.17 (-1.07%)

CRON Profile

Sector Health Care
Industry Drug Manufacturers
Market Cap 5.23 Billion
CRON Description

Cronos Group Inc is a diversified and vertically integrated cannabis company. Its principal activities involve production and sale of cannabis in federally legal jurisdictions, including Canada and Germany. The company sells dried cannabis and cannabis oils under its medical cannabis brand Peace Naturals. It seeks to invest in companies either licensed or actively seeking a license, to produce medical marijuana pursuant to Canada's Marihuana for Medical Purposes Regulations. The company other brands include Spinach and Cove. http://www.thecronosgroup.com

CRON Earnings

EPS -0.07 P/E Ratio 0.00
Previous Earnings Tue, Mar 26, 2019
Latest Earnings Thu, May 9, 2019 (In 19 days)

CRON Dividend

Dividend --
Ex-Date --
Pay Date --
History --

CRON Charts

$5.52
52 Week Range
$23.70
May 9, 2018
Mar 5, 2019
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

15.75 5.23 0.00 0.00 CRON NASDAQ -1.07 39.26 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=CRON&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=CRON&exchange=NASDAQ&chart=1

Caesars Entertainment Corp

CZR $9.56
+0.09 (0.95%)

CZR Profile

Sector Consumer Discretionary
Industry Travel & Leisure
Market Cap 6.41 Billion
CZR Description

Caesars was founded in 1937 and today operates 49 casino properties in 13 U.S. states and five countries (with a sixth noncasino resort in Dubai), primarily under the Caesars, Harrah's, and Horseshoe brands (while also operating the Flamingo, Paris, Rio, and Planet Hollywood in Las Vegas). Between January 2015 and October 2017, Caesars Entertainment went through a reorganization under bankruptcy. Today, Caesars' three main segments are Las Vegas (57% of estimated 2019 EBITDAR) and Other U.S. (45%), with the remainder from managed, license, and joint venture properties. http://www.caesars.com

CZR Earnings

EPS 0.29 P/E Ratio 19.67
Previous Earnings Thu, Nov 1, 2018
Latest Earnings Thu, Feb 21, 2019 (58 days ago)

CZR Dividend

Dividend --
Ex-Date --
Pay Date --
History --

CZR Charts

$5.90
52 Week Range
$13.20
Dec 24, 2018
May 16, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

9.56 6.41 19.67 0.00 CZR NASDAQ 0.95 38.15 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=CZR&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=CZR&exchange=NASDAQ&chart=1

Dover Downs Gaming & Entertainment Inc

DDE $2.64
+0.02 (0.76%)

DDE Profile

Sector Consumer Discretionary
Industry Travel & Leisure
Market Cap 50 Million
DDE Description

Dover Downs Gaming & Entertainment Inc is a US-based gaming and entertainment company. It operates Dover Downs Casino; Dover Downs Hotel and Conference Center; and Dover Downs Raceway. The Dover Downs Casino operations include table games, including craps, roulette and card games, multi-player electronic table games, race and sports book operation, the festival buffet, Frankie's Italian restaurant, as well as several bars, restaurants and retail outlets. The Dover Downs Hotel and Conference Center include a fine dining restaurant, spa/salon, conference, banquet, ballroom and concert hall facilities. The Dover Downs Raceway includes a harness racing track with pari-mutuel wagering on live and simulcasts horse races. The firm derives the majority of revenue from gaming operation. https://www.doverdowns.com

DDE Earnings

EPS 0.01 P/E Ratio 2854.05
Previous Earnings Thu, Oct 25, 2018
Latest Earnings Thu, Jan 24, 2019 (86 days ago)

DDE Dividend

Dividend --
Ex-Date --
Pay Date --
History 43 Payments (Quarterly)

DDE Charts

$1.32
52 Week Range
$3.33
Apr 24, 2018
Aug 10, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

2.64 0.05 2854.05 0.00 DDE NYSE 0.76 -2.58 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=DDE&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=DDE&exchange=NYSE&chart=1

Diageo plc Common Stock

DEO $163.07
+0.95 (0.59%)

DEO Profile

Sector Consumer Staples
Industry Beverages
Market Cap 96.83 Billion
DEO Description

The product of a merger between Grand Metropolitan and Guinness in 1997, Diageo is the world's leading producer of branded premium spirits. It also produces and markets beer and wine. Brands include Johnnie Walker blended scotch, Smirnoff vodka, Crown Royal Canadian whiskey, Captain Morgan rum, Baileys Irish Cream, and Guinness stout. Diageo also owns 34% of premium champagne and cognac maker Moet Hennessy, a subsidiary of French luxury-goods maker LVMH Moet Hennessy-Louis Vuitton, and a near-55% stake in India's United Spirits. http://www.diageo.com

DEO Earnings

EPS 4.77 P/E Ratio 26.08
Previous Earnings Thu, Jul 26, 2018
Latest Earnings Thu, Jan 31, 2019 (79 days ago)

DEO Dividend

Dividend 1.68% / $4.20
Ex-Date Thu, Aug 9, 2018 (254 days ago)
Pay Date Wed, Oct 10, 2018
History 58 Payments (Biannual)

DEO Charts

$131.94
52 Week Range
$165.23
Oct 11, 2018
Mar 26, 2019
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

163.07 96.83 26.08 1.68 DEO NYSE 0.59 16.95 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=DEO&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=DEO&exchange=NYSE&chart=1

Eaton Vance Floating-Rate 2022 Target Term Trust

EFL $9.31
+0.03 (0.32%)

EFL Profile

Sector Financials
Industry Asset Management
Market Cap --
EFL Description

EATON VANCE FLOAT-RATE 2022 TARGET TERM is a diversified, closed-end management investment company. The fund's investment objectives are to provide a high level of income to holders of common shares. It invests in various sectors such as Health Care, Lodging and Casinos, Chemicals and Plastics, Business Equipment and Services, Industrial Equipment, Telecommunications, Oil and Gas, Drugs and others. http://www.eatonvance.com

EFL Earnings

EPS 0.41 P/E Ratio 22.41
Previous Earnings --
Latest Earnings --

EFL Dividend

Dividend --
Ex-Date --
Pay Date --
History 4 Payments (Monthly)

EFL Charts

$8.24
52 Week Range
$9.58
Dec 20, 2018
Apr 27, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

9.31 0.00 22.41 0.00 EFL NYSE 0.32 6.64 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=EFL&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=EFL&exchange=NYSE&chart=1

Eaton Vance Senior Floating Rate Trust

EFR $13.40
-0.03 (-0.22%)

EFR Profile

Sector Financials
Industry Asset Management
Market Cap 450 Million
EFR Description

Eaton Vance Senior Floating Rate Trust is the United States based diversified, closed-end management investment company. Its primary investment objective is to provide a high level of current income. As a secondary objective, the fund intends to seek capital preservation. Its portfolio of investments consists of the health care, industrial equipment, lodging and casinos, oil and gas, publishing, radio and television, telecommunications and other areas. The trust invests primarily in below investment grade floating-rate loans, which are considered speculative because of the credit risk of their issuers. http://www.eatonvance.com

EFR Earnings

EPS 0.00 P/E Ratio 10.84
Previous Earnings --
Latest Earnings --

EFR Dividend

Dividend --
Ex-Date --
Pay Date --
History 4 Payments (Monthly)

EFR Charts

$12.06
52 Week Range
$14.85
Dec 21, 2018
Apr 23, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

13.40 0.45 10.84 0.00 EFR NYSE -0.22 5.10 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=EFR&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=EFR&exchange=NYSE&chart=1

Eagle Pharmaceuticals Inc

EGRX $47.81
+0.70 (1.49%)

EGRX Profile

Sector Health Care
Industry Drug Manufacturers
Market Cap 670 Million
EGRX Description

Eagle Pharmaceuticals Inc is a specialty pharmaceutical company. The company develops and commercializes injectable products in the areas of critical care, orphan diseases, and oncology. Its product portfolio consists of four approved products: Argatroban, Ryanodex, docetaxel injection, non-alcohol formulation and Bendeka. The company currently have multiple product candidates in advanced stages of development, and under review for approval by the Food and Drug Administration. http://www.eagleus.com

EGRX Earnings

EPS 0.86 P/E Ratio 26.46
Previous Earnings Thu, Nov 1, 2018
Latest Earnings Thu, Feb 28, 2019 (51 days ago)

EGRX Dividend

Dividend --
Ex-Date --
Pay Date --
History --

EGRX Charts

$36.72
52 Week Range
$83.86
Dec 24, 2018
Jul 19, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

47.81 0.67 26.46 0.00 EGRX NASDAQ 1.49 17.47 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=EGRX&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=EGRX&exchange=NASDAQ&chart=1

Enanta Pharmaceuticals Inc

ENTA $85.80
+0.66 (0.78%)

ENTA Profile

Sector Health Care
Industry Biotech & Pharma
Market Cap 1.67 Billion
ENTA Description

Enanta Pharmaceuticals Inc is an American biotechnology company focused on research and development of molecule drugs to cure viral infections and liver diseases. The targeted diseases are hepatitis C, hepatitis B, nonalcoholic steatohepatitis, and the respiratory syncytial virus. The novelty of the company research is a specific direct-acting antiviral inhibitor against the hepatitis C virus. The company's inhibitors have been developed in collaboration with AbbVie. AbbVie markets the protease inhibitor, paritaprevir, while other inhibitors are in the pipeline. http://www.enanta.com

ENTA Earnings

EPS 1.34 P/E Ratio 19.40
Previous Earnings Mon, Nov 26, 2018
Latest Earnings Wed, Feb 6, 2019 (73 days ago)

ENTA Dividend

Dividend --
Ex-Date --
Pay Date --
History --

ENTA Charts

$65.41
52 Week Range
$126.37
Dec 24, 2018
Jul 9, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

85.80 1.67 19.40 0.00 ENTA NASDAQ 0.78 18.57 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=ENTA&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=ENTA&exchange=NASDAQ&chart=1

Eldorado Resorts Inc

ERI $50.06
+0.03 (0.06%)

ERI Profile

Sector Consumer Discretionary
Industry Travel & Leisure
Market Cap 3.84 Billion
ERI Description

Eldorado Resorts Inc is a gaming and hospitality company. It owns and operates gaming facilities located in Ohio, Louisiana, Nevada, Pennsylvania and West Virginia. The primary source of revenue is generated by gaming operations, but the company use hotels, restaurants, bars, entertainment, retail shops, racing and other services to attract customers to their properties. The company owns and operates various properties, such as Eldorado Resort Casino Reno, which holds more than 800 room in hotel, and it also offers casino and entertainment facility; Silver Legacy Resort Casino, which is a 1,711-room themed hotel and casino; Circus Circus Reno, which is a 1,571-room hotel-casino and entertainment complex and many other properties. http://www.eldoradoresorts.com

ERI Earnings

EPS 0.00 P/E Ratio 40.35
Previous Earnings Wed, Feb 27, 2019
Latest Earnings Thu, May 2, 2019 (In 12 days)

ERI Dividend

Dividend --
Ex-Date --
Pay Date --
History --

ERI Charts

$32.30
52 Week Range
$50.07
Dec 24, 2018
Mar 21, 2019
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

50.06 3.84 40.35 0.00 ERI NASDAQ 0.06 31.91 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=ERI&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=ERI&exchange=NASDAQ&chart=1

Eaton Vance Senior Income Trust

EVF $6.29
-0.01 (-0.16%)

EVF Profile

Sector Financials
Industry Asset Management
Market Cap 240 Million
EVF Description

Eaton Vance Senior Income Trust is the United States based diversified, closed-end management investment company. Its investment objective is to provide a high level of current income consistent with the preservation of capital, by investing primarily in senior, secured floating-rate loans. The trust invests primarily in below investment grade floating-rate loans, which are considered speculative because of the credit risk of their issuers. Its portfolio of investment consists of the aerospace and defense, automotive, beverage and tobacco, building and development, business equipment and services, cable and satellite television and other areas. https://www.eatonvance.com

EVF Earnings

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

EVF Dividend

Dividend 6.10% / $0.38
Ex-Date Thu, Nov 8, 2018 (163 days ago)
Pay Date Mon, Nov 19, 2018
History 58 Payments (Monthly)

EVF Charts

$5.69
52 Week Range
$6.80
Dec 20, 2018
May 1, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

6.29 0.24 0.00 6.10 EVF NYSE -0.16 4.83 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=EVF&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=EVF&exchange=NYSE&chart=1

Farmer Bros Co

FARM $20.50
-0.14 (-0.68%)

FARM Profile

Sector Consumer Staples
Industry Consumer Packaged Goods
Market Cap 340 Million
FARM Description

Farmer Bros Co is engaged in manufacturing, wholesaling, and distributing coffee, tea, and culinary products to food-service establishments and retailers in the United States. The company's customers include restaurants, hotels, offices, casinos, convenience stores, healthcare facilities and other food-service providers. The company's product categories consist of roast and ground coffee, frozen liquid coffee, flavored and unflavored iced and hot teas, culinary products, spices, and other beverages including cappuccino, cocoa, granitas, and ready-to-drink iced coffee. The products are sold under the brands of Farmer Brothers, Artisan Collection by Farmer Brothers, Superior, Metropolitan and China Mist. http://www.farmerbros.com

FARM Earnings

EPS -0.60 P/E Ratio 0.00
Previous Earnings Wed, Nov 7, 2018
Latest Earnings Mon, Feb 11, 2019 (68 days ago)

FARM Dividend

Dividend --
Ex-Date --
Pay Date --
History 105 Payments (Quarterly)

FARM Charts

$19.68
52 Week Range
$31.10
Apr 3, 2019
Jul 3, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

20.50 0.34 0.00 0.00 FARM NASDAQ -0.68 -14.05 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=FARM&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=FARM&exchange=NASDAQ&chart=1

National Beverage Corp

FIZZ $54.37
+0.58 (1.08%)

FIZZ Profile

Sector Consumer Staples
Industry Beverages
Market Cap 2.54 Billion
FIZZ Description

National Beverage Corp makes a variety of nonalcoholic beverages. It distributes its products in the United States. Its main brand is LaCroix Sparkling Water. Other brands include Shasta (sparkling water), Everfresh and Mr. Pure (juices), Rip It (energy drink), and Shasta and Faygo (carbonated soft drinks). The company has a vertically integrated model that goes from procuring raw materials to make concentrates to producing finished products at one of its 12 United States production facilities. It then delivers its product through three distribution channels: take-home (includes grocery stores and other retailers); convenience (includes convenience stores and gas stations); and food-service (independent distributors sell to hospitals, schools, hotels, and airlines). http://www.nationalbeverage.com

FIZZ Earnings

EPS 0.53 P/E Ratio 27.27
Previous Earnings Thu, Dec 6, 2018
Latest Earnings Thu, Mar 7, 2019 (44 days ago)

FIZZ Dividend

Dividend --
Ex-Date Thu, Nov 29, 2018 (142 days ago)
Pay Date Tue, Jan 29, 2019
History 9 Payments (Quarterly)

FIZZ Charts

$53.09
52 Week Range
$124.60
Apr 12, 2019
Sep 6, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

54.37 2.54 27.27 0.00 FIZZ NASDAQ 1.08 -25.30 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=FIZZ&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=FIZZ&exchange=NASDAQ&chart=1

Full House Resorts Inc

FLL $2.09
+0.01 (0.48%)

FLL Profile

Sector Consumer Discretionary
Industry Travel & Leisure
Market Cap 60 Million
FLL Description

Full House Resorts Inc, through its subsidiaries, owns, operates, develops, manages, and invests in casinos and related hospitality and entertainment facilities. It offers facility related to gaming, hotel, dining, entertainment, retail and other amenities. The group's operating segments include the Silver Slipper Casino and Hotel; the Bronco Billy's Casino and Hotel; the Rising Star Casino Resort; and the Northern Nevada segment. Geographically, the casino operations of the company are managed in the United States. It derives revenues primarily from the gaming sources, which include revenues from slot machines, table games, keno, and sports betting. http://www.fullhouseresorts.com

FLL Earnings

EPS -0.04 P/E Ratio 0.00
Previous Earnings Wed, Nov 7, 2018
Latest Earnings Tue, Feb 26, 2019 (53 days ago)

FLL Dividend

Dividend --
Ex-Date --
Pay Date --
History --

FLL Charts

$1.95
52 Week Range
$3.52
Apr 4, 2019
May 8, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

2.09 0.06 0.00 0.00 FLL NASDAQ 0.48 -5.00 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=FLL&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=FLL&exchange=NASDAQ&chart=1

Federated Premier Municipal Income Fund

FMN $13.34
-0.03 (-0.22%)

FMN Profile

Sector Financials
Industry Asset Management
Market Cap 150 Million
FMN Description

Federated Premier Municipal Income Fund is the United States based diversified, closed-end management investment company. The investment objective of the fund is to provide current income exempt from federal income tax, including the federal alternative minimum tax. Its portfolio of investments comprises different sectors such as hospital, pre-refunded, education, toll road, senior care, airport, tobacco, and other sectors. http://www.federatedinvestors.com

FMN Earnings

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

FMN Dividend

Dividend 4.86% / $0.65
Ex-Date Mon, Apr 22, 2019 (In 2 days)
Pay Date Wed, May 1, 2019
History 31 Payments (Monthly)

FMN Charts

$12.13
52 Week Range
$13.57
Dec 26, 2018
Jul 19, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

13.34 0.15 0.00 4.86 FMN NYSE -0.22 5.21 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=FMN&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=FMN&exchange=NYSE&chart=1

Galectin Therapeutics Inc

GALT $4.30
-0.08 (-1.83%)

GALT Profile

Sector Health Care
Industry Drug Manufacturers
Market Cap 210 Million
GALT Description

Galectin Therapeutics Inc is a biotechnology company. The company is focused on discovery and development. It is engaged in galectin science and drug development to create new therapies to improve the lives of patients with chronic liver and skin diseases and cancer. Drug candidates based on carbohydrate technology target galectin proteins, which are key mediators of biologic and pathologic function. Galectin Therapeutics is pursuing therapies for indications in which galectins have a demonstrated role in the pathogenesis of directly involved in multiple inflammatory, fibrotic, and malignant diseases. The lead development program is in non-alcoholic steatohepatitis (NASH) with cirrhosis, the most advanced form of NASH-related fibrosis. http://www.galectintherapeutics.com

GALT Earnings

EPS -0.08 P/E Ratio 0.00
Previous Earnings Tue, Nov 13, 2018
Latest Earnings Wed, Mar 6, 2019 (45 days ago)

GALT Dividend

Dividend --
Ex-Date --
Pay Date --
History --

GALT Charts

$3.16
52 Week Range
$9.16
Apr 24, 2018
Jun 18, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

4.30 0.21 0.00 0.00 GALT NASDAQ -1.83 11.40 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=GALT&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=GALT&exchange=NASDAQ&chart=1

Golden Entertainment Inc

GDEN $16.33
+0.10 (0.62%)

GDEN Profile

Sector Consumer Discretionary
Industry Travel & Leisure
Market Cap 450 Million
GDEN Description

Golden Entertainment Inc is a US based company which focuses on distributed gaming, casino, and resort operations. It organizes its business in two segments; Distributed Gaming and Casinos. Distributed Gaming segment involves the installation, maintenance and operation of gaming devices in certain strategic, high-traffic, non-casino locations and the operation of traditional, branded taverns targeting local patrons. Its tavern brands include PT's Pub, PT's Gold, PT's Place, Sierra Gold and Sean Patrick's. The company runs its casino business through Rocky Gap Casino Resort, Pahrump Nugget Hotel Casino, Gold Town Casino and Lakeside Casino & RV Park. The company earns the majority of its revenue from the Casinos segment. http://www.goldenent.com

GDEN Earnings

EPS -0.90 P/E Ratio 0.00
Previous Earnings Thu, Nov 8, 2018
Latest Earnings Thu, Mar 14, 2019 (37 days ago)

GDEN Dividend

Dividend --
Ex-Date --
Pay Date --
History 9 Payments (Monthly)

GDEN Charts

$13.00
52 Week Range
$34.15
Mar 15, 2019
Jul 19, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

16.33 0.45 0.00 0.00 GDEN NASDAQ 0.62 -2.10 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=GDEN&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=GDEN&exchange=NASDAQ&chart=1

GigaMedia Ltd

GIGM $2.57
-0.03 (-1.15%)

GIGM Profile

Sector Technology
Industry Software
Market Cap 30 Million
GIGM Description

GigaMedia Ltd is a publisher of online games. It has only one reportable segment, Asian Online Game, and Service. Asian Online Game and Service business operates a portfolio of online games, primarily targeting online game players across Asia, including Greater China and Southeast Asia. The company's portfolio of online games includes predominantly PC-based, non-cash gambling or casino casual games, including MahJong and various card and table games. It has online game operations in Taiwan, Hong Kong, and Macau. http://www.gigamedia.com

GIGM Earnings

EPS -0.05 P/E Ratio 0.00
Previous Earnings Wed, Oct 31, 2018
Latest Earnings Wed, Apr 3, 2019 (17 days ago)

GIGM Dividend

Dividend --
Ex-Date --
Pay Date --
History --

GIGM Charts

$2.45
52 Week Range
$3.24
Dec 18, 2018
Jun 6, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

2.57 0.03 0.00 0.00 GIGM NASDAQ -1.15 -14.33 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=GIGM&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=GIGM&exchange=NASDAQ&chart=1

Galmed Pharmaceuticals Ltd

GLMD $8.00
+0.01 (0.13%)

GLMD Profile

Sector Health Care
Industry Biotech & Pharma
Market Cap 170 Million
GLMD Description

Galmed Pharmaceuticals Ltd is a biopharmaceutical company. It focuses on the development and commercialization of once-daily, oral therapy for the treatment of liver diseases and cholesterol gallstones utilizing its synthetic fatty-acid/bile-acid conjugate (FABAC), called aramchol. Its product, aramchol, is a disease-modifying treatment for fatty liver disorders, including Non-Alcoholic Steato-hepatitis. Aramchol affects liver fat metabolism and has been shown in a Phase IIa clinical study to reduce liver fat content, as well as improve metabolic parameters associated with Nonalcoholic steatohepatitis. https://galmedpharma.com

GLMD Earnings

EPS -0.18 P/E Ratio 0.00
Previous Earnings Mon, Nov 5, 2018
Latest Earnings Wed, Mar 13, 2019 (38 days ago)

GLMD Dividend

Dividend --
Ex-Date --
Pay Date --
History --

GLMD Charts

$5.86
52 Week Range
$17.96
May 14, 2018
Jun 13, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

8.00 0.17 0.00 0.00 GLMD NASDAQ 0.13 5.26 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=GLMD&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=GLMD&exchange=NASDAQ&chart=1

Gaming and Leisure Properties Inc

GLPI $39.84
+0.36 (0.91%)

GLPI Profile

Sector Real Estate
Industry REITs
Market Cap 8.55 Billion
GLPI Description

Gaming and Leisure Properties Inc, or GLP, is a real estate investment property trust primarily involved in the leasing of gaming and related facilities to wholly-owned subsidiaries of Penn National Gaming, or Penn, throughout the U.S. GLP segments its operations into GLP Capital and TRS Properties divisions. The company derives the vast majority of its revenue from its GLP Capital unit in the form of rental income from dockside and land-based casinos located mostly in the American Midwest. Almost all of GLP Capital's leases are long-term agreements that give Penn the option to future extensions. Gaming revenue generated by TRS Properties, which encompasses the operations of Hollywood Casino Perryville and Hollywood Casino Baton Rouge, also represents a significant income stream for GLP. http://www.glpropinc.com

GLPI Earnings

EPS 0.21 P/E Ratio 18.51
Previous Earnings Wed, Feb 13, 2019
Latest Earnings Mon, May 6, 2019 (In 16 days)

GLPI Dividend

Dividend 6.83% / $2.72
Ex-Date Thu, Mar 7, 2019 (44 days ago)
Pay Date Fri, Mar 22, 2019
History 23 Payments (Quarterly)

GLPI Charts

$31.52
52 Week Range
$39.84
Dec 24, 2018
New High Today
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

39.84 8.55 18.51 6.83 GLPI NASDAQ 0.91 23.80 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=GLPI&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=GLPI&exchange=NASDAQ&chart=1

Graphic Packaging Holding Co

GPK $12.93
+0.07 (0.54%)

GPK Profile

Sector Consumer Discretionary
Industry Packaging & Containers
Market Cap 3.89 Billion
GPK Description

Graphic Packaging Holding Co is a holding company that manufactures and sells a variety of paper-based consumer packaging products through its subsidiaries. The company's two primary functions include the sale of paperboard packaging and the operation of paperboard mills. The paperboard packaging business includes packaging for beverages, including beer and soft drinks as well as food, including cereal, frozen foods, and pet foods. The firm also sells paperboard packaging for household products, including dishwasher and laundry detergent and personal care products. Graphic Packaging operates papermills that sell laminated and coated packaging products to third parties. The majority of revenue comes from the Americas. http://www.graphicpkg.com

GPK Earnings

EPS 0.16 P/E Ratio 10.50
Previous Earnings Tue, Jan 29, 2019
Latest Earnings Tue, Apr 23, 2019 (In 3 days)

GPK Dividend

Dividend 2.32% / $0.30
Ex-Date Thu, Mar 14, 2019 (37 days ago)
Pay Date Fri, Apr 5, 2019
History 17 Payments (Quarterly)

GPK Charts

$10.17
52 Week Range
$15.97
Dec 24, 2018
Apr 23, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

12.93 3.89 10.50 2.32 GPK NYSE 0.54 19.83 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=GPK&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=GPK&exchange=NYSE&chart=1

Industrias Bachoco, S.A.B. de C.V. Common Stock

IBA $46.40
+0.34 (0.74%)

IBA Profile

Sector Consumer Staples
Industry Consumer Packaged Goods
Market Cap 2.32 Billion
IBA Description

Industrias Bachoco SAB de CV produces, processes, markets, and sells poultry (chicken and eggs) in both Mexico and the United States. Additionally, it sells feed, swine, beef, turkey, and other products on a smaller scale. The company's poultry business begins with purchasing infant birds and raising the birds to maturity. Eggs are produced and worked into the production process. Industrias Bachoco operates its own feed mills to produce balanced feed for internal use, and to sell to third parties. Several production facilities and distribution centers are located throughout Mexico and the United States to minimize transportation costs, and the company sells through wholesalers, supermarkets, retail, and other niche marketing channels. http://www.bachoco.com.mx

IBA Earnings

EPS 15.84 P/E Ratio 13.56
Previous Earnings Wed, Oct 24, 2018
Latest Earnings Wed, Jan 30, 2019 (80 days ago)

IBA Dividend

Dividend 1.88% / $0.87
Ex-Date Tue, Jul 3, 2018 (291 days ago)
Pay Date Mon, Jul 16, 2018
History 53 Payments (Biannual)

IBA Charts

$38.08
52 Week Range
$62.80
Dec 24, 2018
Apr 20, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

46.40 2.32 13.56 1.88 IBA NYSE 0.74 13.87 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=IBA&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=IBA&exchange=NYSE&chart=1

Intercept Pharmaceuticals Inc

ICPT $87.38
-1.76 (-1.97%)

ICPT Profile

Sector Health Care
Industry Biotech & Pharma
Market Cap 2.72 Billion
ICPT Description

Intercept Pharmaceuticals is a biotech company focused on developing and commercializing novel therapeutics to treat chronic liver diseases. Obeticholic acid, or OCA, is an agonist of the farnesoid X receptor. OCA was approved as Ocaliva to treat primary biliary cirrhosis in 2016 and is being developed for a variety of chronic liver diseases, including nonalcoholic steatohepatitis, or NASH. Intercept owns worldwide rights to OCA outside of China, where it has licensed out the product to Sumitomo Dainippon Pharma. https://www.interceptpharma.com

ICPT Earnings

EPS -2.97 P/E Ratio 0.00
Previous Earnings Wed, Oct 31, 2018
Latest Earnings Thu, Feb 28, 2019 (51 days ago)

ICPT Dividend

Dividend --
Ex-Date --
Pay Date --
History --

ICPT Charts

$65.78
52 Week Range
$127.55
Apr 24, 2018
Sep 27, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

87.38 2.72 0.00 0.00 ICPT NASDAQ -1.97 -10.15 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=ICPT&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=ICPT&exchange=NASDAQ&chart=1

Innovative Industrial Properties Inc

IIPR $80.74
+0.36 (0.45%)

IIPR Profile

Sector Real Estate
Industry Real Estate
Market Cap 790 Million
IIPR Description

Innovative Industrial Properties Inc is a real estate investment trust engaged in the acquisition, ownership and management of specialized industrial properties leased to state-licensed operators for their regulated medical-use cannabis facilities. It conducts its business through a traditional umbrella partnership real estate investment trust, or UPREIT structure, in which properties are owned by Operating Partnership, directly or through subsidiaries. The company faces competition from a diverse mix of market participants, including but not limited to, other companies with similar business models, independent investors, hedge funds and other real estate investors, hard money lenders, and cannabis operators. http://www.innovativeindustrialproperties.com

IIPR Earnings

EPS 0.24 P/E Ratio 91.37
Previous Earnings Wed, Nov 7, 2018
Latest Earnings Wed, Mar 13, 2019 (38 days ago)

IIPR Dividend

Dividend 1.73% / $1.40
Ex-Date Thu, Sep 27, 2018 (205 days ago)
Pay Date Mon, Oct 15, 2018
History 6 Payments (Quarterly)

IIPR Charts

$31.51
52 Week Range
$90.08
Apr 20, 2018
Mar 21, 2019
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

80.74 0.79 91.37 1.73 IIPR NYSE 0.45 75.87 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=IIPR&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=IIPR&exchange=NYSE&chart=1

International Speedway Corp

ISCA $43.16
+0.55 (1.29%)

ISCA Profile

Sector Consumer Discretionary
Industry Travel & Leisure
Market Cap 1.87 Billion
ISCA Description

International Speedway Corp operates 13 motorsports stadiums that host more than 100 motorsports events during the racing season, including the famed Daytona 500 and Talladega Superspeedway races. The company has built a casino at its Kansas Speedway in a joint venture with Penn National Gaming and has been key in developing a retail and hospitality property at One Daytona. International Speedway is majority-owned by the France family, which also owns privately held NASCAR. More than 70% of revenue comes from the motorsports segment, which includes lucrative broadcasting rights. http://www.internationalspeedwaycorporation.com

ISCA Earnings

EPS 0.62 P/E Ratio 24.25
Previous Earnings Thu, Jan 24, 2019
Latest Earnings Thu, Apr 4, 2019 (16 days ago)

ISCA Dividend

Dividend 1.14% / $0.49
Ex-Date Thu, May 30, 2019 (In 40 days)
Pay Date Fri, Jun 28, 2019
History 24 Payments (Annually)

ISCA Charts

$35.18
52 Week Range
$46.85
Oct 11, 2018
Jul 6, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

43.16 1.87 24.25 1.14 ISCA NASDAQ 1.29 0.21 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=ISCA&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=ISCA&exchange=NASDAQ&chart=1

Keurig Dr Pepper Inc. Common Stock

KDP $26.61
+0.37 (1.41%)

KDP Profile

Sector Consumer Staples
Industry Beverages
Market Cap 37.42 Billion
KDP Description

Keurig Dr Pepper was created by the merger of Dr Pepper Snapple with Keurig Green Mountain (which had been held privately by JAB Holding Company since March 2016), which closed in July 2018. Dr Pepper bottles and distributes nonalcoholic beverages in North America, with roughly 90% of revenue generated in the United States. Its portfolio includes the Dr Pepper, Canada Dry, 7UP, A&W, Snapple, Hawaiian Punch, Mott's, and Bai brands. Keurig specializes in single-serve hot beverages, with brewers in around 28 million North American homes and offices. Its system includes more than 75 owned, licensed, and partner brands. https://www.keurigdrpepper.com

KDP Earnings

EPS 0.19 P/E Ratio 4.42
Previous Earnings Thu, Feb 28, 2019
Latest Earnings Thu, May 9, 2019 (In 19 days)

KDP Dividend

Dividend 2.25% / $0.60
Ex-Date Thu, Oct 4, 2018 (198 days ago)
Pay Date Fri, Oct 19, 2018
History 36 Payments (Quarterly)

KDP Charts

$19.11
52 Week Range
$28.52
May 4, 2018
Nov 9, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

26.61 37.42 4.42 2.25 KDP NYSE 1.41 5.89 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=KDP&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=KDP&exchange=NYSE&chart=1

Kona Grill Inc

KONA $0.30
-0.24 (-44.44%)

KONA Profile

Sector Consumer Discretionary
Industry Gaming, Lodging & Restaurants
Market Cap --
KONA Description

Kona Grill Inc owns and operates casual restaurants under the name Kona Grill in the United States. Its restaurants offer freshly prepared food, contemporary American favorites, sushi and specialty cocktails. It also provides full-service bar offering a broad assortment of wines, specialty cocktails, and beers. The menu features a selection of appetizers, salads, soups, flatbreads, sandwiches, noodles, seafood, signature entrees, and desserts. The Other favorites include Miso-Sake Sea Bass served with shrimp and pork fried rice and a seasonal vegetable and Pan-Seared Ahi served with steamed white rice, baby bok choy, and a sweet chilli sauce. It also offers an assortment of sushi that includes traditional favorites as well as distinctive specialty sushi and sashimi items. http://www.konagrill.com

KONA Earnings

EPS -0.39 P/E Ratio 0.00
Previous Earnings Thu, Aug 9, 2018
Latest Earnings Thu, Nov 8, 2018 (163 days ago)

KONA Dividend

Dividend --
Ex-Date --
Pay Date --
History --

KONA Charts

$0.30
52 Week Range
$2.93
New Low Today
May 21, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

0.30 0.00 0.00 0.00 KONA NASDAQ -44.44 -76.74 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=KONA&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=KONA&exchange=NASDAQ&chart=1

Multi-Color Corp

LABL $49.86
-0.03 (-0.06%)

LABL Profile

Sector Industrials
Industry Business Services
Market Cap 1.02 Billion
LABL Description

Multi-Color Corp solutions supporting several of the world's prominent brands including producers of home and personal care, wine and spirits, food and beverage, healthcare and specialty consumer products. The company provides a range of products for the packaging needs of customers and is one of the world's largest producers of high-quality pressure sensitive, in-mold and heat transfer labels and a manufacturer of cut and stack, roll fed, aluminum and shrink sleeve labels. http://www.mcclabel.com

LABL Earnings

EPS 0.55 P/E Ratio 13.55
Previous Earnings Tue, Nov 6, 2018
Latest Earnings Mon, Feb 11, 2019 (68 days ago)

LABL Dividend

Dividend 0.40% / $0.20
Ex-Date Thu, Feb 14, 2019 (65 days ago)
Pay Date Fri, Mar 1, 2019
History 57 Payments (Quarterly)

LABL Charts

$31.29
52 Week Range
$71.15
Dec 24, 2018
Jun 12, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

49.86 1.02 13.55 0.40 LABL NASDAQ -0.06 40.13 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=LABL&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=LABL&exchange=NASDAQ&chart=1

Life Storage Inc

LSI $94.22
+0.25 (0.27%)

LSI Profile

Sector Real Estate
Industry REITs
Market Cap 4.39 Billion
LSI Description

Life Storage, Inc (which was rebranded from Sovran Self Storage, Inc in 2016) is a fully integrated, real estate investment trust that acquires and manages self-storage properties throughout the United States. The company operates under the brand names Life Storage. Approximately under half of the company's revenue is derived from stores in the states of Texas and Florida. The remainder of sales is distributed across the United States. The company's operations in rental income from customers renting storage space on a month-to-month basis generates a majority of operating revenue. The company also offers storage to both individual of commercial renters and has special storage units available for vehicles and wine. https://www.lifestorage.com

LSI Earnings

EPS 1.98 P/E Ratio 21.49
Previous Earnings Tue, Feb 26, 2019
Latest Earnings Wed, May 1, 2019 (In 11 days)

LSI Dividend

Dividend 4.25% / $4.00
Ex-Date Mon, Jan 14, 2019 (96 days ago)
Pay Date Mon, Jan 28, 2019
History 94 Payments (Quarterly)

LSI Charts

$85.35
52 Week Range
$102.24
Apr 20, 2018
Aug 17, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

94.22 4.39 21.49 4.25 LSI NYSE 0.27 4.41 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=LSI&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=LSI&exchange=NYSE&chart=1

Las Vegas Sands Corp

LVS $68.22
+0.31 (0.46%)

LVS Profile

Sector Consumer Discretionary
Industry Travel & Leisure
Market Cap 51.68 Billion
LVS Description

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

LVS Earnings

EPS -0.22 P/E Ratio 22.22
Previous Earnings Wed, Jan 23, 2019
Latest Earnings Wed, Apr 17, 2019 (3 days ago)

LVS Dividend

Dividend 4.51% / $3.08
Ex-Date Tue, Mar 19, 2019 (32 days ago)
Pay Date Thu, Mar 28, 2019
History 30 Payments (Quarterly)

LVS Charts

$48.44
52 Week Range
$80.61
Dec 24, 2018
May 31, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

68.22 51.68 22.22 4.51 LVS NYSE 0.46 25.96 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=LVS&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=LVS&exchange=NYSE&chart=1

Monarch Casino & Resort Inc

MCRI $45.47
-0.86 (-1.86%)

MCRI Profile

Sector Consumer Discretionary
Industry Travel & Leisure
Market Cap 830 Million
MCRI Description

Monarch Casino & Resort Inc is engaged in providing exceptional services as well as the latest gaming, dining, and hospitality amenities. It owns and operates the Atlantis Casino Resort Spa, a hotel/casino facility in Reno, Nevada, and the Monarch Black Hawk Casino in Black Hawk. Its segments include Atlantis and Monarch Casino Black Hawk. Its business strategy is to maximize revenues, operating income, and cash flow primarily through their casino, food and beverage operations and, at the Atlantis, its hotel operations. http://www.monarchcasino.com

MCRI Earnings

EPS 0.40 P/E Ratio 22.94
Previous Earnings Wed, Nov 7, 2018
Latest Earnings Wed, Feb 20, 2019 (59 days ago)

MCRI Dividend

Dividend --
Ex-Date --
Pay Date --
History --

MCRI Charts

$34.77
52 Week Range
$48.61
Dec 24, 2018
Jul 18, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

45.47 0.83 22.94 0.00 MCRI NASDAQ -1.86 17.86 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=MCRI&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=MCRI&exchange=NASDAQ&chart=1

Madrigal Pharmaceuticals Inc

MDGL $105.56
-0.69 (-0.65%)

MDGL Profile

Sector Health Care
Industry Biotech & Pharma
Market Cap 1.96 Billion
MDGL Description

Madrigal Pharmaceuticals Inc is a clinical-stage biopharmaceutical company. It focuses on the development and commercialization of therapeutic candidates for the treatment of cardiovascular-metabolic diseases and non-alcoholic steatohepatitis (NASH). The product portfolio of the company includes MGL-3196, an orally administered, small-molecule liver-directed ß-selective THR agonist, which is used for the treatment of non-alcoholic steatohepatitis and familial hypercholesterolemia. In addition, MGL-3196 also reduces triglycerides in the plasma and liver by increasing fat metabolism and shows an anti-diabetic action. Geographically, all the business activity is functioned through the US. http://www.madrigalpharma.com

MDGL Earnings

EPS -0.76 P/E Ratio 0.00
Previous Earnings Tue, Nov 6, 2018
Latest Earnings Wed, Feb 27, 2019 (52 days ago)

MDGL Dividend

Dividend --
Ex-Date --
Pay Date --
History --

MDGL Charts

$94.77
52 Week Range
$313.90
Dec 24, 2018
Jun 6, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

105.56 1.96 0.00 0.00 MDGL NASDAQ -0.65 -5.06 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=MDGL&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=MDGL&exchange=NASDAQ&chart=1

MGM Growth Properties LLC

MGP $32.42
+0.09 (0.28%)

MGP Profile

Sector Real Estate
Industry REITs
Market Cap 9.26 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. http://www.mgmgrowthproperties.com

MGP Earnings

EPS 0.26 P/E Ratio 34.61
Previous Earnings Thu, Feb 14, 2019
Latest Earnings Tue, Apr 30, 2019 (In 10 days)

MGP Dividend

Dividend 5.74% / $1.86
Ex-Date Thu, Mar 28, 2019 (23 days ago)
Pay Date Mon, Apr 15, 2019
History 12 Payments (Quarterly)

MGP Charts

$25.60
52 Week Range
$33.04
Dec 24, 2018
Apr 15, 2019
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

32.42 9.26 34.61 5.74 MGP NYSE 0.28 23.69 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=MGP&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=MGP&exchange=NYSE&chart=1

MGP Ingredients Inc

MGPI $87.30
+4.43 (5.35%)

MGPI Profile

Sector Consumer Staples
Industry Consumer Packaged Goods
Market Cap 1.49 Billion
MGPI Description

MGP Ingredients Inc is a producer and supplier of premium distilled spirits and specialty wheat protein and starch food ingredients. MGP is also a top producer of high-quality industrial alcohol for use in both food and non-food applications. It operates in two segments, Distillery Products and Ingredient Solutions. Distillery Products provides distillery co-products, such as distillers feed, fuel grade alcohol, and corn oil; and warehouse services, including barrel put away, storage, and retrieval services. It derives most of its revenue from Distillery products segment. https://www.mgpingredients.com

MGPI Earnings

EPS 0.69 P/E Ratio 35.94
Previous Earnings Wed, Feb 27, 2019
Latest Earnings Wed, May 1, 2019 (In 11 days)

MGPI Dividend

Dividend 0.46% / $0.40
Ex-Date Tue, Mar 12, 2019 (39 days ago)
Pay Date Fri, Mar 29, 2019
History 57 Payments (Quarterly)

MGPI Charts

$54.91
52 Week Range
$98.06
Dec 17, 2018
Jun 20, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

87.30 1.49 35.94 0.46 MGPI NASDAQ 5.35 54.84 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=MGPI&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=MGPI&exchange=NASDAQ&chart=1

Melco Resorts and Entertainment Ltd

MLCO $25.79
-0.63 (-2.38%)

MLCO Profile

Sector Consumer Discretionary
Industry Travel & Leisure
Market Cap 11.80 Billion
MLCO Description

Melco Resorts and Entertainment Ltd is one of only six companies with a license to operate casinos in Macau, the only region in China with legalized 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. http://www.melco-resorts.com

MLCO Earnings

EPS 0.27 P/E Ratio 35.82
Previous Earnings Thu, Nov 8, 2018
Latest Earnings Tue, Feb 19, 2019 (60 days ago)

MLCO Dividend

Dividend 2.41% / $0.62
Ex-Date Fri, Mar 1, 2019 (50 days ago)
Pay Date Thu, Mar 14, 2019
History 22 Payments (Quarterly)

MLCO Charts

$15.52
52 Week Range
$32.75
Nov 12, 2018
May 7, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

25.79 11.80 35.82 2.41 MLCO NASDAQ -2.38 38.43 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=MLCO&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=MLCO&exchange=NASDAQ&chart=1

MOUNTAIN PROV DIAMONDS INC

MPVD $1.00
+0.02 (2.04%)

MPVD Profile

Sector Materials
Industry Metals & Mining
Market Cap 200 Million
MPVD Description

Mountain Province Diamonds Inc is engaged in the discovery and development of diamond properties in Canada's Northwest Territories. The company holds interests in Gahcho Kue Diamond Mine in Canada's Northwest Territories as a joint venture partner with De Beers Canada. Its other projects include the Kennady North which covers a portion of the southeastern Slave Geological Province, an Archean terrain. http://www.mountainprovince.com

MPVD Earnings

EPS -0.16 P/E Ratio 0.00
Previous Earnings Mon, Nov 12, 2018
Latest Earnings Wed, Mar 20, 2019 (31 days ago)

MPVD Dividend

Dividend --
Ex-Date --
Pay Date --
History --

MPVD Charts

$0.84
52 Week Range
$2.85
Apr 4, 2019
May 21, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

1.00 0.20 0.00 0.00 MPVD NASDAQ 2.04 -32.43 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=MPVD&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=MPVD&exchange=NASDAQ&chart=1

Studio City International Holdings Ltd

MSC $17.12
+0.37 (2.21%)

MSC Profile

Sector Consumer Discretionary
Industry Travel & Leisure
Market Cap 1.34 Billion
MSC Description

Studio City International Holdings Ltd is a world-class gaming, retail and entertainment resort located in Cotai, Macau. The company operates Studio City Casino with around 250 mass-market gaming tables; approximately 970 gaming machines; and 45 VIP rolling chip tables. In addition, it offers non-gaming attractions, including the world's first figure-8 Ferris wheel, a Warner Bros themed family entertainment center, a 4-D Batman flight simulator, an exclusive night club, and live performance arena. Geographically, it derives majority revenue from Macau region. https://www.studiocity-macau.com

MSC Earnings

EPS 0.02 P/E Ratio 0.00
Previous Earnings Thu, Nov 8, 2018
Latest Earnings Tue, Feb 19, 2019 (60 days ago)

MSC Dividend

Dividend --
Ex-Date --
Pay Date --
History --

MSC Charts

$13.00
52 Week Range
$25.48
Jan 24, 2019
Nov 2, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

17.12 1.34 0.00 0.00 MSC NYSE 2.21 2.39 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=MSC&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=MSC&exchange=NYSE&chart=1

Vail Resorts Inc

MTN $209.47
-1.66 (-0.79%)

MTN Profile

Sector Consumer Discretionary
Industry Travel & Leisure
Market Cap 8.43 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. http://www.vailresorts.com

MTN Earnings

EPS 5.12 P/E Ratio 33.84
Previous Earnings Fri, Dec 7, 2018
Latest Earnings Fri, Mar 8, 2019 (43 days ago)

MTN Dividend

Dividend 3.36% / $7.04
Ex-Date Tue, Mar 26, 2019 (25 days ago)
Pay Date Thu, Apr 11, 2019
History 33 Payments (Quarterly)

MTN Charts

$180.81
52 Week Range
$301.42
Jan 17, 2019
Sep 4, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

209.47 8.43 33.84 3.36 MTN NYSE -0.79 -1.25 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=MTN&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=MTN&exchange=NYSE&chart=1

Neptune Wellness Solutions Inc. - Ordinary Shares

NEPT $4.03
+0.16 (4.13%)

NEPT Profile

Sector Consumer Staples
Industry Consumer Packaged Goods
Market Cap 320 Million
NEPT Description

Neptune Wellness Solution is a health and wellness products company, with more than 50 years of combined experience in extraction, purification and formulation of value-added differentiated science-based products. Currently, the Company develops turnkey nutrition product solutions available in various unique delivery forms, offers specialty ingredients such as MaxSimil, a patented ingredient that enhances the absorption of lipid-based nutraceuticals, and a variety of other marine and seed oils. Leveraging its scientific, technological and innovative expertise, Neptune is preparing to commence production of products for legal cannabis markets. The Company's head office is located in Laval, Quebec, Canada. http://www.neptunecorp.com

NEPT Earnings

EPS -0.05 P/E Ratio 0.00
Previous Earnings Tue, Nov 13, 2018
Latest Earnings Wed, Feb 13, 2019 (66 days ago)

NEPT Dividend

Dividend --
Ex-Date --
Pay Date --
History --

NEPT Charts

$2.36
52 Week Range
$4.72
Jun 13, 2018
Sep 20, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

4.03 0.32 0.00 0.00 NEPT NASDAQ 4.13 46.01 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=NEPT&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=NEPT&exchange=NASDAQ&chart=1

Empire Resorts Inc

NYNY $12.31
-0.05 (-0.40%)

NYNY Profile

Sector Consumer Discretionary
Industry Travel & Leisure
Market Cap 420 Million
NYNY Description

Empire Resorts Inc is a United State based holding company which operates casinos. It engaged in the hospitality and gaming industries. The company's subsidiary, Monticello Raceway Management, Inc., owns and operates the Monticello Casino and Raceway in Monticello, New York. The facility includes over 1,000 slot machines and electronic table games, as well as dining and live entertainment. http://www.empireresorts.com

NYNY Earnings

EPS -1.40 P/E Ratio 0.00
Previous Earnings Tue, Aug 7, 2018
Latest Earnings Wed, Nov 7, 2018 (164 days ago)

NYNY Dividend

Dividend --
Ex-Date --
Pay Date --
History --

NYNY Charts

$6.42
52 Week Range
$23.35
Oct 31, 2018
May 15, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

12.31 0.42 0.00 0.00 NYNY NASDAQ -0.40 14.41 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=NYNY&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=NYNY&exchange=NASDAQ&chart=1

Phibro Animal Health Corp

PAHC $33.34
+0.09 (0.27%)

PAHC Profile

Sector Health Care
Industry Drug Manufacturers
Market Cap 1.35 Billion
PAHC Description

Phibro Animal Health Corp operates as a diversified animal health and mineral nutrition company. It develops, manufactures, and markets products for a range of food animals comprising poultry, swine, beef and dairy cattle, and aquaculture. The product portfolio of the company includes animal health products such as antibacterials, anticoccidials, nutritional specialty products and vaccines, and mineral nutrition products. The company operates through three segments, Animal Health, Mineral Nutrition, and Performance Products, of which key revenue is derived from the Animal Health segment which relates to the development, manufacturing, and marketing of antibacterials, nutritional specialty products, and vaccines. The entity sells its products in the US and other international countries. http://www.pahc.com

PAHC Earnings

EPS 0.37 P/E Ratio 20.83
Previous Earnings Wed, Feb 6, 2019
Latest Earnings Mon, May 6, 2019 (In 16 days)

PAHC Dividend

Dividend 1.44% / $0.48
Ex-Date Tue, Nov 27, 2018 (144 days ago)
Pay Date Wed, Dec 19, 2018
History 18 Payments (Quarterly)

PAHC Charts

$28.71
52 Week Range
$53.50
Mar 7, 2019
Aug 27, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

33.34 1.35 20.83 1.44 PAHC NASDAQ 0.27 4.48 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=PAHC&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=PAHC&exchange=NASDAQ&chart=1

Penn National Gaming Inc

PENN $21.22
-0.07 (-0.33%)

PENN Profile

Sector Consumer Discretionary
Industry Travel & Leisure
Market Cap 2.48 Billion
PENN Description

Penn National Gaming is the second- largest operator of regional casinos in the U.S., with over $2.4 billion in revenue and over 20 properties in 14 states and Canada. The company was one of the pioneers of the ""racino"" business model, combining casino operations and race track operations. Its West Virginia racino generated 20% of consolidated revenue and EBITDA in 2010. Penn has three new development projects slated to open in 2012: Two casinos in Ohio, and a joint venture with International Speedway to open a casino at the Kansas Speedway. http://www.pngaming.com

PENN Earnings

EPS -0.52 P/E Ratio 22.57
Previous Earnings Thu, Nov 1, 2018
Latest Earnings Thu, Feb 7, 2019 (72 days ago)

PENN Dividend

Dividend --
Ex-Date --
Pay Date --
History --

PENN Charts

$17.68
52 Week Range
$36.59
Dec 24, 2018
Jul 13, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

21.22 2.48 22.57 0.00 PENN NASDAQ -0.33 9.10 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=PENN&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=PENN&exchange=NASDAQ&chart=1

Dave & Buster's Entertainment Inc

PLAY $51.50
+1.50 (3.00%)

PLAY Profile

Sector Consumer Discretionary
Industry Gaming, Lodging & Restaurants
Market Cap 1.89 Billion
PLAY Description

Dave & Buster's Entertainment Inc owns and operates nearly a hundred entertainment and dining establishments in the United States where customers can eat, drink, play games, and watch televised sports. The play division includes amusement, simulation, and video games, accounts for more than half of total company revenue. Food and beverage accounts for the rest. About one third of food and beverage revenue comes from alcoholic drinks, with the rest coming from food and nonalcoholic beverages. https://www.daveandbusters.com

PLAY Earnings

EPS 0.77 P/E Ratio 19.54
Previous Earnings Tue, Dec 11, 2018
Latest Earnings Tue, Apr 2, 2019 (18 days ago)

PLAY Dividend

Dividend --
Ex-Date --
Pay Date --
History --

PLAY Charts

$38.05
52 Week Range
$66.22
May 18, 2018
Sep 28, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

51.50 1.89 19.54 0.00 PLAY NASDAQ 3.00 18.53 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=PLAY&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=PLAY&exchange=NASDAQ&chart=1

VOYA Prime Rate Trust

PPR $4.85
+0.02 (0.41%)

PPR Profile

Sector Financials
Industry Asset Management
Market Cap 660 Million
PPR Description

Voya Prime Rate Trust is the United States based on diversified, closed-end, management investment company. It seeks to provide investors with as high a level of current income as is consistent with the preservation of capital. The trust seeks to achieve this objective by investing a majority of its net assets, plus borrowings for investment purposes, in U.S. dollar-denominated floating rate secured senior loans. Its portfolio of investments consists of the different sectors such as aerospace and defense, auto components, automotive, beverage and tobacco, building and development, chemicals, containers and glass products and other sectors. http://www.voyainvestments.com

PPR Earnings

EPS 0.00 P/E Ratio 18.65
Previous Earnings --
Latest Earnings --

PPR Dividend

Dividend 6.80% / $0.31
Ex-Date --
Pay Date --
History 6 Payments (Monthly)

PPR Charts

$4.45
52 Week Range
$5.18
Dec 20, 2018
May 4, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

4.85 0.66 18.65 6.80 PPR NYSE 0.41 6.83 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=PPR&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=PPR&exchange=NYSE&chart=1

Pyxus International, Inc. Common Stock

PYX $17.35
-0.04 (-0.23%)

PYX Profile

Sector Consumer Staples
Industry Tobacco
Market Cap 160 Million
PYX Description

Pyxus International Inc, formerly Alliance One International Inc is an independent leaf tobacco merchant serving the cigarette manufacturers. The company selects, purchases, processes, packs, stores, and ships leaf tobacco. It purchases tobacco from more than 35 countries and serves manufacturers of cigarettes and other consumer tobacco products in more than 90 countries. Business activity of the firm is functioned through North America and Other Regions. The North America segment includes Wilson, N.C., Farmville, N.C. and Danville, VA in the United States. The Other regions segment includes South America, Africa, Europe and Asia. Alliance derives revenues from sales of processed tobacco and fees charged for processing and related services to the manufacturers of tobacco products. http://www.aointl.com

PYX Earnings

EPS -0.56 P/E Ratio 4.27
Previous Earnings Thu, Nov 8, 2018
Latest Earnings Mon, Feb 11, 2019 (68 days ago)

PYX Dividend

Dividend --
Ex-Date --
Pay Date --
History --

PYX Charts

$11.66
52 Week Range
$43.05
Dec 24, 2018
Oct 12, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

17.35 0.16 4.27 0.00 PYX NYSE -0.23 37.15 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=PYX&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=PYX&exchange=NYSE&chart=1

RCI Hospitality Holdings Inc

RICK $23.41
-0.22 (-0.93%)

RICK Profile

Sector Consumer Discretionary
Industry Gaming, Lodging & Restaurants
Market Cap 230 Million
RICK Description

RCI Hospitality Holdings Inc through its subsidiaries owns and operates establishments that offer live adult entertainment, restaurant, and or bar operations. The company also owns and operates communication company serving the adult nightclubs industry. The company's operating business segments are Nightclubs and Bombshells restaurants and bars. It operates nightclubs through the following brands Rick's Cabaret, Vivid Cabaret, Tootsie's Cabaret, Club Onyx, and Jaguars Club. In the restaurants segment, the company is building a chain of Bombshells Restaurants and Sports Bars in Dallas, Austin, and Houston, Texas. http://www.rcihospitality.com

RICK Earnings

EPS 0.65 P/E Ratio 10.95
Previous Earnings Mon, Dec 31, 2018
Latest Earnings Mon, Feb 11, 2019 (68 days ago)

RICK Dividend

Dividend 0.51% / $0.12
Ex-Date Fri, Dec 7, 2018 (134 days ago)
Pay Date Wed, Dec 26, 2018
History 12 Payments (Quarterly)

RICK Charts

$18.52
52 Week Range
$34.37
Dec 24, 2018
Jul 26, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

23.41 0.23 10.95 0.51 RICK NASDAQ -0.93 7.09 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=RICK&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=RICK&exchange=NASDAQ&chart=1

RealNetworks Inc

RNWK $2.67
-0.02 (-0.74%)

RNWK Profile

Sector Technology
Industry Software
Market Cap 100 Million
RNWK Description

RealNetworks Inc is a digital media services and products company offering video sharing and storage application, casual and casino games, direct-to-consumer ringback tone and productivity tool, and RealPlayer. The company also develops and markets software products and services that enable the creation, distribution, and consumption of digital media, including audio and video. It operates its business in three segments which are Consumer Media, Mobile Services and Games. RealNetworks has operations in the United States, Europe, Korea, and Rest of the World. http://www.realnetworks.com

RNWK Earnings

EPS -0.18 P/E Ratio 0.00
Previous Earnings Wed, Feb 6, 2019
Latest Earnings Thu, May 2, 2019 (In 12 days)

RNWK Dividend

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

RNWK Charts

$1.86
52 Week Range
$3.71
Oct 30, 2018
Jul 17, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

2.67 0.10 0.00 0.00 RNWK NASDAQ -0.74 10.33 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=RNWK&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=RNWK&exchange=NASDAQ&chart=1

Red Rock Resorts Inc

RRR $27.80
-0.67 (-2.35%)

RRR Profile

Sector Consumer Discretionary
Industry Travel & Leisure
Market Cap 3.24 Billion
RRR Description

Red Rock Resorts Inc along with its subsidiary is a gaming, development and management company. The company mainly develops a strategically-located casino and entertainment properties. It generates a majority of its revenue from Casino. http://www.redrockresorts.com

RRR Earnings

EPS 0.13 P/E Ratio 14.93
Previous Earnings Tue, Feb 12, 2019
Latest Earnings Tue, Apr 30, 2019 (In 10 days)

RRR Dividend

Dividend 1.44% / $0.40
Ex-Date Wed, Mar 13, 2019 (38 days ago)
Pay Date Fri, Mar 29, 2019
History 11 Payments (Quarterly)

RRR Charts

$18.78
52 Week Range
$36.64
Dec 24, 2018
Jul 12, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

27.80 3.24 14.93 1.44 RRR NASDAQ -2.35 29.91 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=RRR&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=RRR&exchange=NASDAQ&chart=1

Boston Beer Co Inc

SAM $266.97
+1.15 (0.43%)

SAM Profile

Sector Consumer Staples
Industry Beverages
Market Cap 3.05 Billion
SAM Description

Boston Beer is one of the largest craft brewers in the United States. Its key brands include Samuel Adams, Angry Orchard, Twisted Tea (a flavored malt beverage), and Truly Spiked & Sparkling (an alcoholic seltzer). The company also sells a variety of beer brands, including Angel City Brewing and Traveler Beer, through its subsidiary, A&S Brewing. The high-end category, where Boston Beer competes, includes craft brewers, domestic specialty beers, and many imports and, according to management, accounts for over 30% of U.S. beer volume. http://www.bostonbeer.com

SAM Earnings

EPS 1.77 P/E Ratio 34.77
Previous Earnings Thu, Oct 25, 2018
Latest Earnings Wed, Feb 20, 2019 (59 days ago)

SAM Dividend

Dividend --
Ex-Date --
Pay Date --
History --

SAM Charts

$216.55
52 Week Range
$327.15
Apr 26, 2018
Jul 23, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

266.97 3.05 34.77 0.00 SAM NYSE 0.43 13.59 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=SAM&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=SAM&exchange=NYSE&chart=1

Shake Shack Inc

SHAK $59.82
+1.67 (2.87%)

SHAK Profile

Sector Consumer Discretionary
Industry Gaming, Lodging & Restaurants
Market Cap 2.22 Billion
SHAK Description

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

SHAK Earnings

EPS -0.04 P/E Ratio 115.10
Previous Earnings Mon, Feb 25, 2019
Latest Earnings Thu, May 2, 2019 (In 12 days)

SHAK Dividend

Dividend --
Ex-Date --
Pay Date --
History --

SHAK Charts

$41.01
52 Week Range
$69.22
Dec 24, 2018
Jun 20, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

59.82 2.22 115.10 0.00 SHAK NYSE 2.87 34.28 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=SHAK&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=SHAK&exchange=NYSE&chart=1

The One Group Hospitality Inc

STKS $3.12
+0.06 (1.96%)

STKS Profile

Sector Consumer Discretionary
Industry Gaming, Lodging & Restaurants
Market Cap 90 Million
STKS Description

The One Group Hospitality Inc is a hospitality company. It develops and operates restaurants and lounges and provides food and beverage services for hospitality venues including hotels, casinos and other high-end locations internationally. The company operates through three segments: Owned restaurants, Owned food, beverage and other, and Managed and Licensed operations. Maximum revenue is earned by Owned restaurants segment. https://www.togrp.com

STKS Earnings

EPS 0.11 P/E Ratio 26.00
Previous Earnings Mon, Nov 12, 2018
Latest Earnings Thu, Mar 28, 2019 (23 days ago)

STKS Dividend

Dividend --
Ex-Date --
Pay Date --
History --

STKS Charts

$2.21
52 Week Range
$3.63
May 11, 2018
Oct 9, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

3.12 0.09 26.00 0.00 STKS NASDAQ 1.96 -0.95 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=STKS&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=STKS&exchange=NASDAQ&chart=1

Sinovac Biotech Ltd

SVA $6.47
-0.02 (-0.31%)

SVA Profile

Sector Health Care
Industry Biotech & Pharma
Market Cap 460 Million
SVA Description

Sinovac Biotech Ltd is a China-based biopharmaceutical company. The company primarily focuses on the research, development, manufacturing, and commercialization of vaccines for infectious diseases. Its product portfolio includes vaccines against hepatitis A and B, seasonal influenza, H5N1 pandemic influenza (avian flu), H1N1 influenza (swine flu), mumps and canine rabies. The company also provides services for diseases control and prevention, collaborating with the Chinese governments at the national, state and local levels. Sinovac primarily sells its vaccines in China, while also exploring growth opportunities in international markets. http://www.sinovac.com

SVA Earnings

EPS 0.00 P/E Ratio 12.94
Previous Earnings --
Latest Earnings Thu, Nov 8, 2018 (163 days ago)

SVA Dividend

Dividend --
Ex-Date --
Pay Date --
History --

SVA Charts

$5.73
52 Week Range
$8.66
Dec 21, 2018
Jun 8, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

6.47 0.46 12.94 0.00 SVA NASDAQ -0.31 -7.31 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=SVA&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=SVA&exchange=NASDAQ&chart=1

Schweitzer-Mauduit International Inc

SWM $36.78
-1.05 (-2.78%)

SWM Profile

Sector Materials
Industry Forest Products
Market Cap 1.14 Billion
SWM Description

Schweitzer-Mauduit International, Inc. is a diversified producer of premium specialty papers and resin-based products. It manufactures and sells paper and reconstituted tobacco products to the tobacco industry as well as specialized paper products. The company operates in two segments namely Advanced Materials & Structures, which manufactures resin-based products used in specialty applications in the filtration, infrastructure and construction, transportation, industrial, and medical end-markets, and Engineered Papers, which produces cigarette papers and reconstituted tobacco products for cigarette and cigar manufacturers, as well as various other non-tobacco paper products. It generates a majority of its revenue from the Advanced Materials and Structures segment. https://www.swmintl.com

SWM Earnings

EPS 0.23 P/E Ratio 12.49
Previous Earnings Wed, Nov 7, 2018
Latest Earnings Thu, Feb 21, 2019 (58 days ago)

SWM Dividend

Dividend 4.79% / $1.76
Ex-Date Fri, Mar 1, 2019 (50 days ago)
Pay Date Fri, Mar 22, 2019
History 92 Payments (Quarterly)

SWM Charts

$24.98
52 Week Range
$45.04
Dec 24, 2018
May 22, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

36.78 1.14 12.49 4.79 SWM NYSE -2.78 42.89 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=SWM&exchange=NYSE&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=SWM&exchange=NYSE&chart=1

Transact Technologies Inc

TACT $9.33
+0.35 (3.90%)

TACT Profile

Sector Technology
Industry Hardware
Market Cap 70 Million
TACT Description

Transact Technologies, Inc. is a United States-based develops and sells software-driven technology and printing solutions. The company's software are sold under AccuDate, Epic, EPICENTRAL, Ithaca, and Printrex brand names. It also provides supplies and consumables used in the printing and scanning activities to restaurant and hospitality, banking, retail, casino and gaming, the point of sale automation, lottery, medical, mobile, oil, and gas markets. The vast majority of revenues is derived from the casinos and gaming industry within U.S. Geographically, it also sells to Europe, Australia, Asia, Canada, China, Thailand, Malaysia, and Mexico. https://www.transact-tech.com

TACT Earnings

EPS 0.13 P/E Ratio 12.51
Previous Earnings Tue, Nov 6, 2018
Latest Earnings Wed, Mar 6, 2019 (45 days ago)

TACT Dividend

Dividend 3.86% / $0.36
Ex-Date Tue, Feb 19, 2019 (60 days ago)
Pay Date Fri, Mar 15, 2019
History 26 Payments (Quarterly)

TACT Charts

$8.50
52 Week Range
$15.60
Dec 24, 2018
Oct 17, 2018
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

9.33 0.07 12.51 3.86 TACT NASDAQ 3.90 0.00 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=TACT&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=TACT&exchange=NASDAQ&chart=1

Truett-Hurst Inc

THST $1.45
+0.03 (2.11%)

THST Profile

Sector Consumer Staples
Industry Beverages
Market Cap 10 Million
THST Description

Truett-Hurst Inc operates in the wine industry. It produces and sells wines and other select beverage alcohol products made from wine. It operates through its direct to consumer division. Direct to consumer sales occur through its tasting rooms and wine clubs. The company owns its tasting room and winery in the Dry Creek Valley of Sonoma County, California. http://www.truetthurstinc.com

THST Earnings

EPS -0.22 P/E Ratio 5.80
Previous Earnings --
Latest Earnings --

THST Dividend

Dividend --
Ex-Date --
Pay Date --
History --

THST Charts

$1.26
52 Week Range
$2.29
Jun 8, 2018
Feb 19, 2019
Your notes, portfolio & ratings are not public.
Sign In. Sign Up.

1.45 0.01 5.80 0.00 THST NASDAQ 2.11 -20.33 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=THST&exchange=NASDAQ&chart=5 https://www.symbolsurfing.com/charts/stock_price_chart.php?user_id=true&symbol=THST&exchange=NASDAQ&chart=1

Tilray Inc

TLRY $48.97
-1.71 (-3.37%)

TLRY Profile

Sector Health Care
Industry Drug Manufacturers
Market Cap 5.12 Billion
TLRY Description

Tilray Inc is engaged in the sale and development of medical cannabis. Geographically, the company derives the majority of its revenue from Canada. The product categories of the company include dried cannabis which includes whole flower and ground flower, and cannabis extract which include full spectrum and purified oil drops and capsules. http://www.tilray.com

TLRY Earnings

EPS -0.33 P/E Ratio 0.00
Previous Earnings Tue, Nov 13, 2018
Latest Earnings Mon, Mar 18, 2019 (33 days ago)

TLRY Dividend

Dividend --
Ex-Date --
Pay Date --
History --

TLRY Charts

$22.10
52 Week Range
$214.06
Jul 31, 2018
Sep 19, 2018
Your notes, portfolio & ratin