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Sat, Oct 19 12:32am

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Sun, Oct 6 - Sat, Oct 12

Study the past if you would define the future.
Confucius

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

Sun, Oct 13 - Sat, Oct 19

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

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

Sun, Oct 20 - Sat, Oct 26

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

Earnings Annoucements Ex-Dividend Dates
125840

BRK.B $208.76 0.14 (0.07%)
Berkshire Hathaway Class B BHHSRealEstate
NYSE: BRK.B $517 Billion Large-Cap. S&P 500. XLF Top Holding. Financials Sector. Insurance Industry. 5 Year Return 52%. 1 Year Return 1%. 2019 YTD Return 3%. Earnings in 13 days on Fri, Nov 1. (Use the Earnings tab below to add this date to your calendar.)

BRK.B Profile

Market Cap 517 Billion
BRK.B Description

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


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BRK.B Earnings

EPS 5.74 P/E Ratio 124.90
Previous Sat, Aug 3, 2019
Latest Fri, Nov 1, 2019 (In 13 days)

BRK.B Dividend

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

BRK.B Charts

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



    TOP    
JNJ $127.70 8.47 (6.22%)
Johnson & Johnson JNJNews
NYSE: JNJ $344 Billion Large-Cap. Dow Industrial. S&P 500. XLV Top Holding. Health Care Sector. Biotech & Pharma Industry. 5 Year Return 29%. 1 Year Return 8%. 2019 YTD Return 0%. 3.0% dividend yield. 191 total dividend payments. Dividend Aristocrat. 25+ consecutive years of increasing dividends. Since Earnings 2%.

JNJ Profile

Market Cap 344 Billion
JNJ Description

Johnson & Johnson is the world's largest and most diverse healthcare company. Three divisions make up the firm: pharmaceutical, medical devices and diagnostics, and consumer. The drug and device groups represent close to 80% of sales and drive the majority of cash flows for the firm. The drug division focuses on the following therapeutic areas: immunology, oncology, neurology, pulmonary, cardiology, and metabolic diseases. The device segment focuses on orthopedics, surgery tools, vision care, and a few smaller areas. The last segment of consumer focuses on baby care, beauty, oral care, over-the-counter drugs, and women's health. Geographically, close to half of total revenue is generated in the United States.


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JNJ Earnings

EPS 1.83 P/E Ratio 24.34
Previous Tue, Jul 16, 2019
Latest Tue, Oct 15, 2019 (4 days ago) Price -2.31%

JNJ Dividend

Yield 2.98% / $3.80
Ex-Date Mon, Aug 26, 2019 (54 days ago)
Pay Date Tue, Sep 10, 2019
History 191 Payments (Quarterly)

JNJ Charts

52 Week Low $121.00 set on Mon, Dec 24, 2018
$121.00
1 Year
$148.99
Dec 24, 2018
Dec 4, 2018



    TOP    
XOM $67.61 0.53 (0.78%)
Exxon Mobil exxonmobil
NYSE: XOM $304 Billion Large-Cap. Dow Industrial. S&P 500. XLE Top Holding. Energy Sector. Oil, Gas & Coal Industry. 5 Year Return 26%. 1 Year Return 18%. 2019 YTD Return 3%. Negative 5 year, 1 year & YTD returns. You may want to avoid this one until things turn around. Check out some Uptrending symbols instead. 5.2% dividend yield. 138 total dividend payments. Dividend Aristocrat. 25+ consecutive years of increasing dividends. Dogs Of The Dow. Earnings in 13 days on Fri, Nov 1. (Use the Earnings tab below to add this date to your calendar.) Compare CVX vs XOM.

XOM Profile

Market Cap 304 Billion
XOM Description

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


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XOM Earnings

EPS 0.73 P/E Ratio 16.53
Previous Fri, Aug 2, 2019
Latest Fri, Nov 1, 2019 (In 13 days)

XOM Dividend

Yield 5.15% / $3.48
Ex-Date Mon, Aug 12, 2019 (68 days ago)
Pay Date Tue, Sep 10, 2019
History 138 Payments (Quarterly)

XOM Charts

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



    TOP    
CVX $114.74 0.61 (0.53%)
Chevron Chevron
NYSE: CVX $230 Billion Large-Cap. Dow Industrial. S&P 500. XLE Top Holding. Energy Sector. Oil, Gas & Coal Industry. 5 Year Return 3%. 1 Year Return 3%. 2019 YTD Return 4%. 4.2% dividend yield. 143 total dividend payments. Dividend Aristocrat. 25+ consecutive years of increasing dividends. Dogs Of The Dow. Earnings in 13 days on Fri, Nov 1. (Use the Earnings tab below to add this date to your calendar.) Compare CVX vs XOM.

CVX Profile

Market Cap 230 Billion
CVX Description

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


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CVX Earnings

EPS 2.28 P/E Ratio 15.60
Previous Fri, Aug 2, 2019
Latest Fri, Nov 1, 2019 (In 13 days)

CVX Dividend

Yield 4.15% / $4.76
Ex-Date Fri, Aug 16, 2019 (64 days ago)
Pay Date Tue, Sep 10, 2019
History 143 Payments (Quarterly)

CVX Charts

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



    TOP    
BA $344.00 25.06 (6.79%)
Boeing Boeing
NYSE: BA $215 Billion Large-Cap. Dow Industrial. S&P 500. XLI Top Holding. Industrials Sector. Aerospace & Defense Industry. 5 Year Return 177%. 1 Year Return 3%. 2019 YTD Return 6%. 2.4% dividend yield. 135 total dividend payments. Earnings in 4 days on Wed, Oct 23. (Use the Earnings tab below to add this date to your calendar.)

BA Profile

Market Cap 215 Billion
BA Description

Boeing manufactures commercial airplanes, provides defense equipment, and maintains a small captive finance division. With headquarters in Chicago, the firm competes with Airbus in commercial aviation and with Lockheed, Northrop, and several other firms in defense. Sales are split about 70% and 30% between the commercial aircraft and defense end markets. In 2018, Boeing generated over $100 billion in sales.


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BA Earnings

EPS -5.21 P/E Ratio 21.03
Previous Wed, Jul 24, 2019
Latest Wed, Oct 23, 2019 (In 4 days)

BA Dividend

Yield 2.39% / $8.22
Ex-Date Thu, Aug 8, 2019 (72 days ago)
Pay Date Fri, Sep 6, 2019
History 135 Payments (Quarterly)

BA Charts

$292.47
1 Year
$446.01
Dec 26, 2018
Mar 1, 2019



    TOP    
BMY $53.03 0.61 (1.16%)
Bristol-Myers Squibb
NYSE: BMY $81 Billion Large-Cap. S&P 500. Health Care Sector. Biotech & Pharma Industry. 5 Year Return 5%. 1 Year Return 2%. 2019 YTD Return 2%. 3.1% dividend yield. 136 total dividend payments. Earnings in 12 days on Thu, Oct 31. (Use the Earnings tab below to add this date to your calendar.) "Possible" Golden Cross chart pattern.

BMY Profile

Market Cap 81 Billion
BMY Description

Bristol-Myers Squibb Co discovers, develops, and markets drugs for various indications, such as cardiovascular, oncology, and immune disorders. A key focus for Bristol is immuno-oncology, where the firm is leading in drug development. Unlike some of its more diversified peers, Bristol has exited several nonpharmaceutical businesses to focus on branded specialty drugs.


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BMY Earnings

EPS 0.88 P/E Ratio 15.35
Previous Thu, Jul 25, 2019
Latest Thu, Oct 31, 2019 (In 12 days)

BMY Dividend

Yield 3.09% / $1.64
Ex-Date Thu, Oct 3, 2019 (16 days ago)
Pay Date Fri, Nov 1, 2019
History 136 Payments (Quarterly)

BMY Charts

$42.48
1 Year
$55.85
Jul 23, 2019
Oct 19, 2018



    TOP    
EL $185.53 2.17 (1.16%)
Estee Lauder
NYSE: EL $72 Billion Large-Cap. S&P 500. Consumer Staples Sector. Consumer Products Industry. 5 Year Return 154%. 1 Year Return 48%. 2019 YTD Return 41%. 0.9% dividend yield. 61 total dividend payments. Earnings in 12 days on Thu, Oct 31. (Use the Earnings tab below to add this date to your calendar.)

EL Profile

Market Cap 72 Billion
EL Description

The Estee Lauder Companies Inc is a leading global manufacturer of skin care, makeup, fragrance, and hair care products. In addition to its namesake brand, its portfolio includes Clinique, Origins, MAC, Bobbi Brown, La Mer, and Aveda. The firm also licenses fragrances and cosmetics sold under designer brand names, like Tommy Hilfiger, Michael Kors, and Tom Ford. In fiscal 2018, Estée Lauder generated 41% of sales and over two thirds of its operating income in Europe, the Middle East, and Africa and 37% of sales in the Americas.


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EL Earnings

EPS 0.43 P/E Ratio 44.49
Previous Mon, Aug 19, 2019
Latest Thu, Oct 31, 2019 (In 12 days)

EL Dividend

Yield 0.93% / $1.72
Ex-Date Thu, Nov 29, 2018 (324 days ago)
Pay Date Mon, Dec 17, 2018
History 61 Payments (Quarterly)

EL Charts

$121.47
1 Year
$207.50
Jan 10, 2019
Sep 6, 2019



    TOP    
ITW $158.31 1.35 (0.86%)
Illinois Tool Works
NYSE: ITW $52 Billion Large-Cap. S&P 500. Industrials Sector. Machinery Industry. 5 Year Return 90%. 1 Year Return 25%. 2019 YTD Return 25%. 2.7% dividend yield. 136 total dividend payments. Dividend Aristocrat. 25+ consecutive years of increasing dividends. Earnings in 6 days on Fri, Oct 25. (Use the Earnings tab below to add this date to your calendar.)

ITW Profile

Market Cap 52 Billion
ITW Description

Illinois Tool Works is a diversified global manufacturer that produces specialized industrial equipment, consumables, and related services. The firm operates 87 global divisions through seven distinct operating segments: automotive OEM, construction products, food equipment, specialty products, test/measurement and electronics, polymers and fluids, and welding. About half of its revenue comes from its operations in North America, with the remainder originating from international markets. ITW takes a bottom-up and decentralized approach to portfolio management, with the exception that each segment must apply its 80/20 operating process modeled on the Pareto principle.


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ITW Earnings

EPS 1.92 P/E Ratio 20.68
Previous Fri, Jul 26, 2019
Latest Fri, Oct 25, 2019 (In 6 days)

ITW Dividend

Yield 2.70% / $4.28
Ex-Date Fri, Sep 27, 2019 (22 days ago)
Pay Date Wed, Oct 9, 2019
History 136 Payments (Quarterly)

ITW Charts

$117.75
1 Year
$161.71
Dec 26, 2018
Sep 13, 2019



    TOP    
NOW $243.00 11.31 (4.45%)
ServiceNow
NYSE: NOW $48 Billion Large-Cap. Technology Sector. Software Industry. 5 Year Return 310%. 1 Year Return 37%. 2019 YTD Return 36%. Earnings in 4 days on Wed, Oct 23. (Use the Earnings tab below to add this date to your calendar.)

NOW Profile

Market Cap 48 Billion
NOW Description

ServiceNow Inc provides software solutions to structure and automate various business processes via a SaaS delivery model. The company primarily focuses on the IT function for enterprise customers. ServiceNow began with IT service management (ITSM), expanded within the IT function, and more recently directed its workflow automation logic to functional areas beyond IT, notably customer service, HR service delivery, and security operations. ServiceNow also offers an application development platform as a service (PaaS).


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NOW Earnings

EPS -0.06 P/E Ratio 0.00
Previous Wed, Jul 24, 2019
Latest Wed, Oct 23, 2019 (In 4 days)

NOW Dividend

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

NOW Charts

$147.63
1 Year
$303.17
Nov 20, 2018
Jul 12, 2019



    TOP    
MET $46.10 0.20 (0.44%)
MetLife
NYSE: MET $45 Billion Large-Cap. S&P 500. Financials Sector. Insurance Industry. 5 Year Return 5%. 1 Year Return 5%. 2019 YTD Return 11%. 3.8% dividend yield. 40 total dividend payments. Earnings in 11 days on Wed, Oct 30. (Use the Earnings tab below to add this date to your calendar.)

MET Profile

Market Cap 45 Billion
MET Description

MetLife--once a mutual company before the 2000 demutualization--is the largest life insurer in the U.S. by assets and provides a variety of insurance and financial services products. Outside the United States, MetLife operates in Japan and more than 50 countries in Latin America, the Asia-Pacific region, Europe, and the Middle East.


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MET Earnings

EPS 1.78 P/E Ratio 9.21
Previous Wed, Jul 31, 2019
Latest Wed, Oct 30, 2019 (In 11 days)

MET Dividend

Yield 3.82% / $1.76
Ex-Date Mon, Aug 5, 2019 (75 days ago)
Pay Date Fri, Sep 13, 2019
History 40 Payments (Quarterly)

MET Charts

$37.76
1 Year
$51.16
Dec 26, 2018
Aug 1, 2019



    TOP    
AVB $220.17 1.09 (0.50%)
AvalonBay Communities
NYSE: AVB $30 Billion Large-Cap. New ALL-TIME HIGH today. S&P 500. XLRE Top Holding. Financials Sector. Real Estate Industry. 5 Year Return 46%. 1 Year Return 24%. 2019 YTD Return 30%. 2.8% dividend yield. 103 total dividend payments. Earnings in 9 days on Mon, Oct 28. (Use the Earnings tab below to add this date to your calendar.)

AVB Profile

Market Cap 30 Billion
AVB Description

AvalonBay Communities owns a portfolio of 270 apartment communities with over 72,000 units and is developing 21 additional properties with over 9,200 units. The company focuses on owning large, high-quality properties in major metropolitan areas of New England, New York/New Jersey, Washington D.C., California, and the Pacific Northwest.


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AVB Earnings

EPS 1.21 P/E Ratio 28.95
Previous Wed, Jul 31, 2019
Latest Mon, Oct 28, 2019 (In 9 days)

AVB Dividend

Yield 2.76% / $6.08
Ex-Date Fri, Sep 27, 2019 (22 days ago)
Pay Date Tue, Oct 15, 2019
History 103 Payments (Quarterly)

AVB Charts

$167.01
1 Year
$220.40
Dec 26, 2018
Today



    TOP    
PPG $124.23 2.99 (2.47%)
PPG Industries
NYSE: PPG $28 Billion Large-Cap. New ALL-TIME HIGH today. S&P 500. XLB Top Holding. Materials Sector. Chemicals Industry. 5 Year Return 30%. 1 Year Return 23%. 2019 YTD Return 22%. 1.6% dividend yield. 136 total dividend payments. Dividend Aristocrat. 25+ consecutive years of increasing dividends. Since Earnings 4%.

PPG Profile

Market Cap 28 Billion
PPG Description

PPG is a global producer of coatings. The company is the world's largest producer of coatings after the purchase of selected AkzoNobel assets. PPG's products are sold to a wide variety of end users, including the automotive, aerospace, construction, and industrial markets. The company has a footprint in many regions around the globe, with less than half of sales coming from North America in recent years. PPG is focused on its coatings and specialty products and expansion into emerging regions, as exemplified by the Comex acquisition.


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PPG Earnings

EPS 1.55 P/E Ratio 20.51
Previous Thu, Jul 18, 2019
Latest Thu, Oct 17, 2019 (2 days ago) Price +4.43%

PPG Dividend

Yield 1.64% / $2.04
Ex-Date Fri, Aug 9, 2019 (71 days ago)
Pay Date Thu, Sep 12, 2019
History 136 Payments (Quarterly)

PPG Charts

All Time High $124.90 set on Fri, Oct 18, 2019.
$94.41
1 Year
$124.90
Dec 26, 2018
Today



    TOP    
MCK $152.26 1.75 (1.16%)
McKesson
NYSE: MCK $27 Billion Large-Cap. New 52 WEEK HIGH today. S&P 500. Health Care Sector. Health Care Facilities & Services Industry. 5 Year Return 21%. 1 Year Return 15%. 2019 YTD Return 35%. 1.1% dividend yield. 143 total dividend payments. Earnings in 11 days on Wed, Oct 30. (Use the Earnings tab below to add this date to your calendar.)

MCK Profile

Market Cap 27 Billion
MCK Description

McKesson Corporation is the largest and most complex of the leading third-party logistics providers. The company is engaged in wholesale pharmaceutical and medical products sourcing, distribution and dispensing, contract manufacturing, and related IT services to acute care hospitals and health systems, independent and chain retail pharmacies in North America, Europe, and Canada. Through acquisition and joint ventures McKesson also runs the fourth largest pharmacy chain and provides technology and consulting services to manufacturers, pharmacies, physician offices, surgery centers, long-term care facilities, and home healthcare businesses.


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MCK Earnings

EPS 2.25 P/E Ratio 0.00
Previous Wed, Jul 31, 2019
Latest Wed, Oct 30, 2019 (In 11 days)

MCK Dividend

Yield 1.08% / $1.64
Ex-Date Fri, Aug 30, 2019 (50 days ago)
Pay Date Tue, Oct 1, 2019
History 143 Payments (Quarterly)

MCK Charts

$106.11
1 Year
$152.53
Dec 24, 2018
Today



    TOP    
ALXN $98.41 1.58 (1.58%)
Alexion Pharmaceuticals
NASDAQ: ALXN $25 Billion Large-Cap. Nasdaq 100. S&P 500. Health Care Sector. Biotech & Pharma Industry. 5 Year Return 41%. 1 Year Return 22%. 2019 YTD Return 0%. Earnings in 4 days on Wed, Oct 23. (Use the Earnings tab below to add this date to your calendar.)

ALXN Profile

Market Cap 25 Billion
ALXN Description

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


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ALXN Earnings

EPS 2.05 P/E Ratio 392.83
Previous Wed, Jul 24, 2019
Latest Wed, Oct 23, 2019 (In 4 days)

ALXN Dividend

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

ALXN Charts

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



    TOP    
SNAP $13.52 0.26 (1.89%)
Snap
NYSE: SNAP $22 Billion Large-Cap. Technology Sector. Online Media Industry. 5 Year Return 20%. 1 Year Return 99%. 2019 YTD Return 134%. Earnings in 3 days on Tue, Oct 22. (Use the Earnings tab below to add this date to your calendar.)

SNAP Profile

Market Cap 22 Billion
SNAP Description

Snap, which refers to itself as a camera company, has one of the most popular social networking apps, Snapchat, in developed regions such as North America and Europe. The firm has approximately 158 million daily active users. Snap generates nearly all of its revenue from advertising with 88% coming from the U.S. The firm is headquartered in Venice, California.


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SNAP Earnings

EPS -0.19 P/E Ratio 0.00
Previous Tue, Jul 23, 2019
Latest Tue, Oct 22, 2019 (In 3 days)

SNAP Dividend

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

SNAP Charts

$4.82
1 Year
$18.36
Dec 21, 2018
Jul 26, 2019



    TOP    
RMD $131.21 0.42 (0.32%)
ResMed
NYSE: RMD $19 Billion Large-Cap. S&P 500. Health Care Sector. Medical Equipment & Devices Industry. 5 Year Return 179%. 1 Year Return 27%. 2019 YTD Return 17%. 1.2% dividend yield. 29 total dividend payments. Earnings in 5 days on Thu, Oct 24. (Use the Earnings tab below to add this date to your calendar.)

RMD Profile

Market Cap 19 Billion
RMD Description

ResMed Inc is one of the largest global respiratory medical devices companies, primarily developing and supplying flow generators, masks and accessories for the treatment of sleep apnea. Increasing diagnosis of sleep apnea combined with ageing populations and increasing prevalence of obesity is resulting in a structurally growing market. The company earns 65% of revenue in the Americas and the balance across other regions dominated by Europe, Japan and Australia. Recent developments and acquisitions have focused on digital health as ResMed is aiming to differentiate itself through the provision of clinical data for use by the patient, medical care advisor and payor in the out-of-hospital setting.


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RMD Earnings

EPS 0.48 P/E Ratio 31.80
Previous Thu, Jul 25, 2019
Latest Thu, Oct 24, 2019 (In 5 days)

RMD Dividend

Yield 1.19% / $1.56
Ex-Date Wed, Aug 14, 2019 (66 days ago)
Pay Date Thu, Sep 19, 2019
History 29 Payments (Quarterly)

RMD Charts

All Time High $141.25 set on Fri, Sep 6, 2019.
$90.64
1 Year
$141.25
Jan 29, 2019
Sep 6, 2019



    TOP    
CAH $51.54 0.33 (0.64%)
Cardinal Health
NYSE: CAH $15 Billion Large-Cap. S&P 500. Health Care Sector. Health Care Facilities & Services Industry. 5 Year Return 30%. 1 Year Return 3%. 2019 YTD Return 14%. 3.7% dividend yield. 139 total dividend payments. Dividend Aristocrat. 25+ consecutive years of increasing dividends. Earnings in 19 days on Thu, Nov 7. (Use the Earnings tab below to add this date to your calendar.)

CAH Profile

Market Cap 15 Billion
CAH Description

Cardinal Health Inc is the third- largest global logistics provider engaged in wholesale pharmaceutical and medical products. Similar to the other two peers, the company has evolved over time and has become entrenched in the sourcing and distribution of brand-name and generic pharmaceuticals and related services to hospitals, healthcare systems, pharmacies, ambulatory surgery centers, clinical laboratories, and physician offices. Through acquisitions, Cardinal Health has the ability to manufacture commodity products and certain medical devices.


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CAH Earnings

EPS 0.65 P/E Ratio 21.92
Previous Thu, Aug 8, 2019
Latest Thu, Nov 7, 2019 (In 19 days)

CAH Dividend

Yield 3.73% / $1.92
Ex-Date Mon, Sep 30, 2019 (19 days ago)
Pay Date Tue, Oct 15, 2019
History 139 Payments (Quarterly)

CAH Charts

$41.03
1 Year
$58.31
Aug 7, 2019
Nov 14, 2018



    TOP    
IRM $33.50 0.73 (2.23%)
Iron Mountain Inc
NYSE: IRM $10 Billion Mid-Cap. S&P 500. Financials Sector. Real Estate Industry. 5 Year Return 1%. 1 Year Return 4%. 2019 YTD Return 4%. 7.3% dividend yield. 42 total dividend payments. Earnings in 12 days on Thu, Oct 31. (Use the Earnings tab below to add this date to your calendar.)

IRM Profile

Market Cap 10 Billion
IRM Description

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


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IRM Earnings

EPS 0.32 P/E Ratio 27.44
Previous Thu, Aug 1, 2019
Latest Thu, Oct 31, 2019 (In 12 days)

IRM Dividend

Yield 7.30% / $2.44
Ex-Date Fri, Sep 13, 2019 (36 days ago)
Pay Date Wed, Oct 2, 2019
History 42 Payments (Quarterly)

IRM Charts

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



    TOP    
TEVA $7.50 0.27 (3.47%)
Teva Pharmaceutical Industries Ltd (ADR) ADR
NYSE: TEVA $9 Billion Mid-Cap. Health Care Sector. Biotech & Pharma Industry. 5 Year Return 85%. 1 Year Return 65%. 2019 YTD Return 53%. Negative 5 year, 1 year & YTD returns. You may want to avoid this one until things turn around. Check out some Uptrending symbols instead. This is clearly Downtrending. Avoid for now. Earnings in 19 days on Thu, Nov 7. (Use the Earnings tab below to add this date to your calendar.)

TEVA Profile

Market Cap 9 Billion
TEVA Description

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


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TEVA Earnings

EPS -0.63 P/E Ratio 0.00
Previous Wed, Aug 7, 2019
Latest Thu, Nov 7, 2019 (In 19 days)

TEVA Dividend

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

TEVA Charts

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



    TOP    
COUP $127.89 9.01 (6.58%)
Coupa Software Inc
NASDAQ: COUP $9 Billion Mid-Cap. Technology Sector. Software Industry. 5 Year Return 119%. 1 Year Return 106%. 2019 YTD Return 105%.

COUP Profile

Market Cap 9 Billion
COUP Description

Coupa Software is a cloud-based, business spend management (BSM) platform that provides companies with more control and visibility into how they spend money. Since it was founded in 2006, Coupa has connected buyers with suppliers and helped buyers save money by improving procurement, expense management, and invoice processing. The company is headquartered in San Mateo, California, and went public in October 2016.


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COUP Earnings

EPS -0.32 P/E Ratio 0.00
Previous Tue, Sep 3, 2019
Latest Mon, Dec 2, 2019 (In 44 days)

COUP Dividend

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

COUP Charts

All Time High $159.97 set on Mon, Oct 14, 2019.
$52.01
1 Year
$159.97
Nov 20, 2018
Oct 14, 2019



    TOP    
PBCT $16.46 0.68 (4.31%)
Peoples United Financial Inc
NASDAQ: PBCT $6 Billion Mid-Cap. S&P 500. Financials Sector. Banking Industry. 5 Year Return 18%. 1 Year Return 3%. 2019 YTD Return 12%. 4.3% dividend yield. 113 total dividend payments. Dividend Aristocrat. 25+ consecutive years of increasing dividends. Since Earnings 4%.

PBCT Profile

Market Cap 6 Billion
PBCT Description

People's United Financial Inc has nearly $39 billion of assets. People's United Bank is one of the New England-based banks and among the top 50 in the U.S. Of the bank's 405 locations, 40% are in Connecticut, where it ranks third by deposit market share. It also ranks among the top 10 in Vermont, New Hampshire, and Maine. The bank offers brokerage, financial advisory and wealth management, and insurance services. Commercial real estate accounts for 35% of the loan book, C&I and equipment financing accounts for another 35%, and the rest is in mortgages and consumer.


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PBCT Earnings

EPS 0.33 P/E Ratio 12.47
Previous Thu, Jul 18, 2019
Latest Thu, Oct 17, 2019 (2 days ago) Price +4.38%

PBCT Dividend

Yield 4.31% / $0.71
Ex-Date Wed, Jul 31, 2019 (80 days ago)
Pay Date Thu, Aug 15, 2019
History 113 Payments (Quarterly)

PBCT Charts

$13.66
1 Year
$18.03
Dec 26, 2018
Mar 4, 2019



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LB $16.31 1.79 (9.89%)
L Brands Inc
NYSE: LB $5 Billion Mid-Cap. S&P 500. Consumer Discretionary Sector. Retail Discretionary Industry. 5 Year Return 76%. 1 Year Return 45%. 2019 YTD Return 38%. Negative 5 year, 1 year & YTD returns. You may want to avoid this one until things turn around. Check out some Uptrending symbols instead. 7.4% dividend yield. 147 total dividend payments.

LB Profile

Market Cap 5 Billion
LB Description

L Brands is a women's intimate, personal-care, and beauty retailer operating under the Victoria's Secret, Pink, and Bath & Body Works brands. The company generates the majority of its business in North America, with about 5% of sales coming from international markets in fiscal 2018. Distribution channels include more than 2,900 stores and online.


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LB Earnings

EPS 0.14 P/E Ratio 10.92
Previous Wed, Aug 21, 2019
Latest Thu, Nov 21, 2019 (In 33 days)

LB Dividend

Yield 7.36% / $1.20
Ex-Date Thu, Aug 22, 2019 (58 days ago)
Pay Date Fri, Sep 6, 2019
History 147 Payments (Quarterly)

LB Charts

52 Week Low $15.82 set on Tue, Sep 3, 2019
$15.82
1 Year
$38.00
Sep 3, 2019
Nov 12, 2018



    TOP    
GDXJ $37.21 0.16 (0.43%)
VanEck Vectors Junior Gold Miners ETF
AMEX: GDXJ $4 Billion Mid-Cap. 5 Year Return 13%. 1 Year Return 26%. 2019 YTD Return 23%. 0.2% dividend yield. 9 total dividend payments.

GDXJ Profile

Market Cap 4 Billion

GDXJ Earnings

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

GDXJ Dividend

Yield 0.22% / $0.08
Ex-Date Tue, Dec 18, 2018 (305 days ago)
Pay Date Mon, Dec 31, 2018
History 9 Payments (Quarterly)

GDXJ Charts

$26.04
1 Year
$43.10
Nov 13, 2018
Aug 7, 2019



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

PSMT Profile

Market Cap 2 Billion
PSMT Description

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


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PSMT Earnings

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

PSMT Dividend

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

PSMT Charts

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



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ATNX $10.23 0.57 (5.28%)
Athenex Inc
NASDAQ: ATNX $1 Million Small-Cap. Health Care Sector. Biotech & Pharma Industry. 5 Year Return 19%. 1 Year Return 21%. 2019 YTD Return 20%. Negative 5 year, 1 year & YTD returns. You may want to avoid this one until things turn around. Check out some Uptrending symbols instead. Earnings in 25 days on Wed, Nov 13. (Use the Earnings tab below to add this date to your calendar.)

ATNX Profile

Market Cap 1 Billion
ATNX Description

Athenex Inc is a global biopharmaceutical company. It is dedicated to the discovery, development and commercialization of novel therapies for the treatment of cancer. The company's mission is to improve the lives of cancer patients by creating more effective, safer and tolerable treatments. The company has organized its business model into three segments, Oncology Innovation Platform, Commercial Platform and Global Supply Chain Platform with operations in both the U.S. and China.


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ATNX Earnings

EPS -0.44 P/E Ratio 0.00
Previous Wed, Aug 7, 2019
Latest Wed, Nov 13, 2019 (In 25 days)

ATNX Dividend

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

ATNX Charts

52 Week Low $9.38 set on Wed, May 1, 2019
$9.38
1 Year
$21.11
May 1, 2019
Jul 9, 2019



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Symbol Price Day Δ YTD Δ
ALXN $98.41 -1.58% 0.37%
AVB $220.17 0.50% 30.12%
BA $344.00 -6.79% 6.24%
BMY $53.03 1.16% 1.94%
BRK.B $208.76 0.07% 2.94%
CAH $51.54 0.64% 14.36%
CVX $114.74 -0.53% 3.66%
EL $185.53 -1.16% 40.62%
IRM $33.50 2.23% 4.36%
ITW $158.31 0.86% 25.05%
JNJ $127.70 -6.22% -0.04%
LB $16.31 -9.89% -38.01%
MCK $152.26 1.16% 34.66%
MET $46.10 0.44% 10.63%
PBCT $16.46 4.31% 12.05%
PPG $124.23 2.47% 22.17%
XOM $67.61 -0.78% -2.98%
RMD $131.21 -0.32% 17.39%
TEVA $7.50 -3.47% -52.68%
ATNX $10.23 -5.28% -19.89%
COUP $127.89 -6.58% 104.72%
GDXJ $37.21 -0.43% 22.68%
NOW $243.00 -4.45% 36.27%
PSMT $67.44 0.25% 14.46%
SNAP $13.52 -1.89% 133.51%

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