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Wed, Oct 16 9:28pm

0 Warren Buffett Stock Portfolio 2019

If these stocks are good enough for the Oracle Of Omaha, maybe you should take a look?

These are the holdings in Warren Buffett's Stock Portfolio.

Source: https://www.cnbc.com

Almost any investor would love to have the investing track record of Warren Buffet, the CEO of Berkshire Hathaway (BRK.B).

Noteworthy events last week, this week and next week.

Sun, Oct 6 - Sat, Oct 12

Study the past if you would define the future.
Confucius

Earnings Annoucements

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 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
11914


Warren Buffett Stock Portfolio 2019

AAPL $234.37 0.95 (0.40%)
Apple AppleSupport
NASDAQ: AAPL $1 Trillion+ Mega Cap. Dow Industrial. Nasdaq 100. S&P 500. Hardware industry. 5 Year Return 140%. 1 Year Return 6%. 2019 YTD Return 48%. 1.3% dividend yield. 64 total dividend payments. Earnings in 13 days on Wed, Oct 30. (Use the Earnings tab below to add this date to your calendar.) Compare AAPL vs MSFT.

AAPL Profile

Market Cap 1.0 Trillion
AAPL Description

Apple designs a wide variety of consumer electronic devices, including smartphones (iPhone), tablets (iPad), PCs (Mac), smartwatches (Apple Watch), and TV boxes (Apple TV), among others. The iPhone makes up the majority of Apple's total revenue. In addition, Apple offers its customers a variety of services such as Apple Music, iCloud, Apple Care and Apple Pay, among others. Apple's products run internally developed software and semiconductors, and the firm is well known for its integration of hardware, software and services. Apple's products are distributed online as well as through company-owned stores and third-party retailers. The company generates about 40% of its revenue from the Americas, with the remainder earned internationally.


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AAPL Earnings

EPS 2.20 P/E Ratio 16.33
Previous Tue, Jul 30, 2019
Latest Wed, Oct 30, 2019 (In 14 days)

AAPL Dividend

Yield 1.31% / $3.08
Ex-Date Fri, Aug 9, 2019 (68 days ago)
Pay Date Thu, Aug 15, 2019
History 64 Payments (Quarterly)

AAPL Charts

All Time High $238.13 set on Mon, Oct 14, 2019.
$142.00
1 Year
$238.13
Jan 3, 2019
Oct 14, 2019


AMZN $1,777.43 10.05 (0.57%)
Amazon.com amazon
NASDAQ: AMZN $914 Billion Large-Cap. Nasdaq 100. S&P 500. Retail Discretionary industry. 5 Year Return 485%. 1 Year Return 3%. 2019 YTD Return 15%. Earnings in 7 days on Thu, Oct 24. (Use the Earnings tab below to add this date to your calendar.) Compare AMZN vs BABA.

AMZN Profile

Market Cap 914 Billion
AMZN Description

Amazon is among the world's highest-grossing online retailers, with $233 billion in net sales and $408 billion in estimated global gross merchandise volume (GMV) in 2018. Online product and digital media sales accounted for 53% of net revenue in 2018, followed by commissions, related fulfillment and shipping fees, and other third-party seller services (18%), Amazon Web Services' cloud compute, storage, database, and other offerings (11%), Prime membership fees and other subscription-based services (6%), product sales at Whole Foods and other physical store retail formats (7%), and advertising services and cobranded credit cards (4%). International segments constituted 32% of Amazon's non-AWS sales in 2018, led by Germany, the United Kingdom, and Japan.


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AMZN Earnings

EPS 5.32 P/E Ratio 91.60
Previous Thu, Jul 25, 2019
Latest Thu, Oct 24, 2019 (In 8 days)

AMZN Dividend

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

AMZN Charts

$1,307.00
1 Year
$2,035.80
Dec 24, 2018
Jul 11, 2019


V $177.87 0.88 (0.49%)
Visa Visa
NYSE: V $392 Billion Large-Cap. Dow Industrial. S&P 500. Specialty Finance industry. 5 Year Return 245%. 1 Year Return 25%. 2019 YTD Return 34%. 0.6% dividend yield. 45 total dividend payments. Earnings in 7 days on Thu, Oct 24. (Use the Earnings tab below to add this date to your calendar.) Compare AXP vs MA vs PYPL vs V.

V Profile

Market Cap 392 Billion
V Description

Visa is the largest payment processor in the world. In fiscal 2018, it processed $8.2 trillion in purchase transactions. Visa operates in over 200 countries and processes transactions in over 160 currencies. Its systems are capable of processing over 65,000 transactions per second.


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V Earnings

EPS 1.37 P/E Ratio 34.44
Previous Tue, Jul 23, 2019
Latest Thu, Oct 24, 2019 (In 8 days)

V Dividend

Yield 0.56% / $1.00
Ex-Date Thu, Aug 15, 2019 (62 days ago)
Pay Date Tue, Sep 3, 2019
History 45 Payments (Quarterly)

V Charts

$121.60
1 Year
$187.05
Dec 24, 2018
Sep 9, 2019


JPM $119.68 0.28 (0.23%)
JPMorgan Chase jpmorgan
NYSE: JPM $375 Billion Large-Cap. Dow Industrial. S&P 500. Banking industry. 5 Year Return 113%. 1 Year Return 9%. 2019 YTD Return 21%. 3.0% dividend yield. 137 total dividend payments. Dogs Of The Dow. Since Earnings 3%. Compare JPM vs GS.

JPM Profile

Market Cap 375 Billion
JPM Description

JPMorgan Chase is one of the largest and most complex financial institutions in the United States, with more than $2.5 trillion in assets. It is organized into four major segments--consumer and community banking, corporate and investment banking, commercial banking, and asset and wealth management. JPMorgan operates, and is subject to regulation, in multiple countries.


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JPM Earnings

EPS 2.83 P/E Ratio 11.85
Previous Tue, Jul 16, 2019
Latest Tue, Oct 15, 2019 (1 days ago) Price +2.77%

JPM Dividend

Yield 3.01% / $3.60
Ex-Date Thu, Oct 3, 2019 (13 days ago)
Pay Date Thu, Oct 31, 2019
History 137 Payments (Quarterly)

JPM Charts

All Time High $121.59 set on Tue, Oct 15, 2019.
$91.11
1 Year
$121.59
Dec 26, 2018
Oct 15, 2019


JNJ $135.17 2.33 (1.75%)
Johnson & Johnson JNJNews
NYSE: JNJ $344 Billion Large-Cap. Dow Industrial. S&P 500. Biotech & Pharma industry. 5 Year Return 37%. 1 Year Return 3%. 2019 YTD Return 6%. 2.8% dividend yield. 191 total dividend payments. Dividend Aristocrat25+ consecutive years of increasing dividends. Since Earnings 3%.

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 2.11 P/E Ratio 24.34
Previous Tue, Jul 16, 2019
Latest Tue, Oct 15, 2019 (1 days ago) Price +3.40%

JNJ Dividend

Yield 2.81% / $3.80
Ex-Date Mon, Aug 26, 2019 (51 days ago)
Pay Date Tue, Sep 10, 2019
History 191 Payments (Quarterly)

JNJ Charts

$121.00
1 Year
$148.99
Dec 24, 2018
Dec 4, 2018


PG $117.53 0.33 (0.28%)
Procter & Gamble ProcterGamble
NYSE: PG $303 Billion Large-Cap. Dow Industrial. S&P 500. Consumer Products industry. 5 Year Return 41%. 1 Year Return 45%. 2019 YTD Return 29%. 2.5% dividend yield. 136 total dividend payments. Current Ex-Date in 0 days on Thu, Oct 17. (Use the Dividend tab below to add this date to your calendar.) Thu, Oct 17. Dividend Aristocrat25+ consecutive years of increasing dividends. Dogs Of The Dow. Earnings in 5 days on Tue, Oct 22. (Use the Earnings tab below to add this date to your calendar.) Compare PG vs UL.

PG Profile

Market Cap 303 Billion
PG Description

Since its founding in 1837, Procter & Gamble has become the world's largest consumer product manufacturer. It operates with a lineup of leading brands, including 21 that generate more than $1 billion in annual global sales such as Tide laundry detergent, Charmin toilet paper, Pantene shampoo, and Pampers diapers. P&G sold its last remaining food brand, Pringles, to Kellogg in 2012. Sales beyond its home turf represent around 55% of the firm's consolidated total, with around one third coming from emerging markets.


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PG Earnings

EPS -2.12 P/E Ratio 25.19
Previous Tue, Jul 30, 2019
Latest Tue, Oct 22, 2019 (In 6 days)

PG Dividend

Yield 2.54% / $2.98
Ex-Date Thu, Oct 17, 2019 Tomorrow
Pay Date Fri, Nov 15, 2019
History 136 Payments (Quarterly)

PG Charts

All Time High $125.36 set on Mon, Sep 30, 2019.
$80.00
1 Year
$125.36
Oct 18, 2018
Sep 30, 2019


BAC $30.17 0.44 (1.48%)
Bank of America BankofAmerica
NYSE: BAC $274 Billion Large-Cap. S&P 500. Banking industry. 5 Year Return 86%. 1 Year Return 4%. 2019 YTD Return 21%. 2.4% dividend yield. 136 total dividend payments. Earnings Today. Compare BAC vs WFC.

BAC Profile

Market Cap 274 Billion
BAC Description

Bank of America is one of the largest financial institutions in the United States, with more than $2.3 trillion in assets. It is organized into four major segments: consumer banking, global wealth and investment management, global banking, and global markets. Bank of America's consumer-facing lines of business include its network of branches and deposit-gathering operations, home mortgage lending, vehicle lending, credit and debit cards, and small-business services. The company's Merrill Lynch operations provide brokerage and wealth management services, as does U.S. Trust private bank. Wholesale lines of business include investment banking, corporate and commercial real estate lending, and capital markets operations. Bank of America has operations in several countries.


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BAC Earnings

EPS 0.75 P/E Ratio 11.43
Previous Wed, Jul 17, 2019
Latest Wed, Oct 16, 2019 Today

BAC Dividend

Yield 2.39% / $0.72
Ex-Date Thu, Sep 5, 2019 (41 days ago)
Pay Date Fri, Sep 27, 2019
History 136 Payments (Quarterly)

BAC Charts

$22.66
1 Year
$31.17
Dec 24, 2018
Apr 29, 2019


MA $278.27 0.29 (0.10%)
MasterCard Mastercard
NYSE: MA $274 Billion Large-Cap. S&P 500. Specialty Finance industry. 5 Year Return 289%. 1 Year Return 34%. 2019 YTD Return 47%. 0.5% dividend yield. 53 total dividend payments. Earnings in 12 days on Tue, Oct 29. (Use the Earnings tab below to add this date to your calendar.) Compare AXP vs MA vs PYPL vs V.

MA Profile

Market Cap 274 Billion
MA Description

Mastercard is the second- largest payment processor in the world and processed $4.3 trillion in purchase transactions in 2018. Mastercard operates in over 200 countries and processes transactions in over 150 currencies.


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MA Earnings

EPS 2.01 P/E Ratio 39.55
Previous Tue, Jul 30, 2019
Latest Tue, Oct 29, 2019 (In 13 days)

MA Dividend

Yield 0.47% / $1.32
Ex-Date Tue, Oct 8, 2019 (8 days ago)
Pay Date Fri, Nov 8, 2019
History 53 Payments (Quarterly)

MA Charts

All Time High $293.69 set on Mon, Sep 9, 2019.
$171.89
1 Year
$293.69
Dec 24, 2018
Sep 9, 2019


KO $53.49 0.02 (0.04%)
Coca-Cola CocaCola
NYSE: KO $234 Billion Large-Cap. Dow Industrial. S&P 500. Consumer Products industry. 5 Year Return 25%. 1 Year Return 17%. 2019 YTD Return 14%. 3.0% dividend yield. 135 total dividend payments. Dividend Aristocrat25+ consecutive years of increasing dividends. Dogs Of The Dow. Earnings in 1 days on Fri, Oct 18. (Use the Earnings tab below to add this date to your calendar.) Compare KO vs PEP.

KO Profile

Market Cap 234 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.


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KO Earnings

EPS 0.61 P/E Ratio 29.94
Previous Tue, Jul 23, 2019
Latest Fri, Oct 18, 2019 (In 2 days)

KO Dividend

Yield 2.99% / $1.60
Ex-Date Fri, Sep 13, 2019 (33 days ago)
Pay Date Tue, Oct 1, 2019
History 135 Payments (Quarterly)

KO Charts

All Time High $55.92 set on Wed, Sep 4, 2019.
$44.42
1 Year
$55.92
Feb 27, 2019
Sep 4, 2019


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

WFC Profile

Market Cap 215 Billion
WFC Description

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


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WFC Earnings

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

WFC Dividend

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

WFC Charts

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


COST $298.78 0.39 (0.13%)
Costco Wholesale costcocanada
NASDAQ: COST $128 Billion Large-Cap. Nasdaq 100. S&P 500. Retail Consumer Staples industry. 5 Year Return 140%. 1 Year Return 31%. 2019 YTD Return 46%. 0.9% dividend yield. 66 total dividend payments. Since Earnings 5%.

COST Profile

Market Cap 128 Billion
COST Description

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


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COST Earnings

EPS 2.49 P/E Ratio 31.95
Previous Thu, May 30, 2019
Latest Thu, Oct 3, 2019 (13 days ago) Price +4.79%

COST Dividend

Yield 0.87% / $2.60
Ex-Date Thu, Aug 29, 2019 (48 days ago)
Pay Date Fri, Sep 13, 2019
History 66 Payments (Quarterly)

COST Charts

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


UPS $117.50 1.02 (0.88%)
United Parcel Service UPS
NYSE: UPS $105 Billion Large-Cap. Dow Transport. S&P 500. Transportation & Logistics industry. 5 Year Return 21%. 1 Year Return 0%. 2019 YTD Return 21%. 3.3% dividend yield. 80 total dividend payments. Earnings in 5 days on Tue, Oct 22. (Use the Earnings tab below to add this date to your calendar.) Compare FDX vs UPS.

UPS Profile

Market Cap 105 Billion
UPS Description

As the world's largest parcel delivery company, United Parcel Service uses more than 500 planes and 100,000 vehicles to deliver on average 1 million packages per day to residences and businesses around the globe. Domestic package operations generate about 61% of consolidated revenue, and international package adds 20%; less-than-truckload freight delivery, freight forwarding, logistics services, and retail stores contribute another 19% of sales.


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UPS Earnings

EPS 1.95 P/E Ratio 20.72
Previous Wed, Jul 24, 2019
Latest Tue, Oct 22, 2019 (In 6 days)

UPS Dividend

Yield 3.27% / $3.84
Ex-Date Fri, Aug 16, 2019 (61 days ago)
Pay Date Wed, Sep 4, 2019
History 80 Payments (Quarterly)

UPS Charts

$89.89
1 Year
$123.63
Dec 24, 2018
Sep 12, 2019


AXP $117.41 0.18 (0.15%)
American Express AmericanExpress
NYSE: AXP $98 Billion Large-Cap. Dow Industrial. S&P 500. Specialty Finance industry. 5 Year Return 42%. 1 Year Return 13%. 2019 YTD Return 23%. 1.5% dividend yield. 136 total dividend payments. Earnings in 1 days on Fri, Oct 18. (Use the Earnings tab below to add this date to your calendar.) Compare AXP vs MA vs PYPL vs V.

AXP Profile

Market Cap 98 Billion
AXP Description

American Express is a global financial institution, operating in about 130 countries, that provides consumers and businesses charge and credit card payment products. The company operates a highly profitable merchant payment network. Since 2018, the company has operated in three segments: global consumer services, global commercial services, and global merchant and network services. In addition to payment products, the company's commercial business offers expense management tools, consulting services, and business loans.


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AXP Earnings

EPS 2.07 P/E Ratio 13.97
Previous Fri, Jul 19, 2019
Latest Fri, Oct 18, 2019 (In 2 days)

AXP Dividend

Yield 1.46% / $1.72
Ex-Date Thu, Oct 3, 2019 (13 days ago)
Pay Date Fri, Nov 8, 2019
History 136 Payments (Quarterly)

AXP Charts

$89.05
1 Year
$129.34
Dec 26, 2018
Jul 16, 2019


CHTR $438.10 5.18 (1.20%)
Charter Communications chartercom
NASDAQ: CHTR $94 Billion Large-Cap. New ALL-TIME HIGH today. Nasdaq 100. S&P 500. Media industry. 5 Year Return 175%. 1 Year Return 37%. 2019 YTD Return 52%. Earnings in 8 days on Fri, Oct 25. (Use the Earnings tab below to add this date to your calendar.)

CHTR Profile

Market Cap 94 Billion
CHTR Description

Charter is the product of the 2016 merger of three cable companies, each with a decades-long history in the business: Legacy Charter, Time Warner Cable, and Bright House Networks. The firm now holds networks capable of providing television, Internet access, and phone services to roughly 51 million U.S. homes and businesses, around 40% of the country. Across this footprint, Charter serves 27 million residential and 2 million commercial customer accounts under the Spectrum brand, making it the second- largest U.S. cable company behind Comcast. The firm also owns, in whole or in part, sports and news networks, including Spectrum SportsNet (long-term local rights to Los Angeles Lakers games), SportsNet LA (Los Angeles Dodgers), SportsNet New York (New York Mets), and Spectrum News NY1.


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CHTR Earnings

EPS 1.41 P/E Ratio 8.48
Previous Fri, Jul 26, 2019
Latest Fri, Oct 25, 2019 (In 9 days)

CHTR Dividend

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

CHTR Charts

$272.91
1 Year
$440.27
Dec 26, 2018
Today


USB $54.57 0.81 (1.51%)
US Bancorp
NYSE: USB $88 Billion Large-Cap. S&P 500. Banking industry. 5 Year Return 39%. 1 Year Return 3%. 2019 YTD Return 18%. 3.1% dividend yield. 139 total dividend payments. Earnings Today.

USB Profile

Market Cap 88 Billion
USB Description

As a diversified financial-services provider, U.S. Bancorp is the nation's fifth-largest bank with branches in well over 20 states, primarily in the western and midwestern United States. The bank offers many services, including retail banking, commercial banking, trust and wealth services, credit cards, mortgages, and other payments capabilities.


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USB Earnings

EPS 1.09 P/E Ratio 12.37
Previous Wed, Jul 17, 2019
Latest Wed, Oct 16, 2019 Today

USB Dividend

Yield 3.08% / $1.68
Ex-Date Fri, Sep 27, 2019 (19 days ago)
Pay Date Tue, Oct 15, 2019
History 139 Payments (Quarterly)

USB Charts

$43.14
1 Year
$57.81
Dec 26, 2018
Jul 31, 2019


MDLZ $54.27 0.23 (0.43%)
Mondelez International MDLZ
NASDAQ: MDLZ $80 Billion Large-Cap. Nasdaq 100. S&P 500. Consumer Products industry. 5 Year Return 66%. 1 Year Return 32%. 2019 YTD Return 36%. 2.1% dividend yield. 73 total dividend payments. Earnings in 12 days on Tue, Oct 29. (Use the Earnings tab below to add this date to your calendar.)

MDLZ Profile

Market Cap 80 Billion
MDLZ Description

Mondelez has operated independently since October 2012, following the split from the former Kraft Foods North American grocery business. The firm is a leading player in the global snack arena with a presence in the biscuit (43% of sales), chocolate (31.5%), gum/candy (13.5%), beverage (5%), and cheese and grocery (7%) aisles. Mondelez's portfolio includes well-known brands like Oreo, Chips Ahoy, Halls, Trident, and Cadbury, among others. The firm derives almost 40% of revenue from developing markets, a similar level from Europe, and the remainder from North America.


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MDLZ Earnings

EPS 0.56 P/E Ratio 22.05
Previous Tue, Jul 30, 2019
Latest Tue, Oct 29, 2019 (In 13 days)

MDLZ Dividend

Yield 2.10% / $1.14
Ex-Date Fri, Sep 27, 2019 (19 days ago)
Pay Date Mon, Oct 14, 2019
History 73 Payments (Quarterly)

MDLZ Charts

All Time High $56.72 set on Fri, Sep 6, 2019.
$38.79
1 Year
$56.72
Dec 26, 2018
Sep 6, 2019


GS $207.42 0.96 (0.46%)
Goldman Sachs Group
NYSE: GS $78 Billion Large-Cap. Dow Industrial. S&P 500. Institutional Financial Services industry. 5 Year Return 17%. 1 Year Return 9%. 2019 YTD Return 21%. 2.4% dividend yield. 81 total dividend payments. Since Earnings 1%. Compare JPM vs GS.

GS Profile

Market Cap 78 Billion
GS Description

Goldman Sachs is a global investment banking firm whose activities are organized into investment banking, institutional client services, investing and lending, and investment management segments. Approximately 60% of the company's net revenue is generated in the Americas, 15% in Asia, and 25% in Europe, the Middle East, and Africa. In 2008, Goldman reorganized itself as a financial holding company regulated by the Federal Reserve System.


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GS Earnings

EPS 4.83 P/E Ratio 8.57
Previous Tue, Jul 16, 2019
Latest Tue, Oct 15, 2019 (1 days ago) Price +0.78%

GS Dividend

Yield 2.41% / $5.00
Ex-Date Thu, Aug 29, 2019 (48 days ago)
Pay Date Fri, Sep 27, 2019
History 81 Payments (Quarterly)

GS Charts

$151.70
1 Year
$234.06
Dec 26, 2018
Nov 8, 2018


PNC $141.46 0.41 (0.29%)
PNC Financial Services Group
NYSE: PNC $61 Billion Large-Cap. S&P 500. Banking industry. 5 Year Return 77%. 1 Year Return 11%. 2019 YTD Return 19%. 3.3% dividend yield. 136 total dividend payments. Current Ex-Date Wed, Oct 16. Earnings Today.

PNC Profile

Market Cap 61 Billion
PNC Description

PNC Financial Services Group is a diversified financial services company offering retail banking, corporate and institutional banking, asset management, and residential mortgage banking. PNC has 2,600 branches in 19 states and the District of Columbia and is the sixth- largest U.S. bank by assets.


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PNC Earnings

EPS 2.89 P/E Ratio 9.90
Previous Wed, Jul 17, 2019
Latest Wed, Oct 16, 2019 Today

PNC Dividend

Yield 3.25% / $4.60
Ex-Date Wed, Oct 16, 2019 Today
Pay Date Tue, Nov 5, 2019
History 136 Payments (Quarterly)

PNC Charts

$108.45
1 Year
$144.32
Dec 26, 2018
Jul 29, 2019


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

GM Profile

Market Cap 56 Billion
GM Description

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


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GM Earnings

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

GM Dividend

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

GM Charts

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


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

SU Profile

Market Cap 48 Billion
SU Description

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


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SU Earnings

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

SU Dividend

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

SU Charts

$25.81
1 Year
$36.63
Dec 26, 2018
Oct 17, 2018


PSX $106.26 1.04 (0.97%)
Phillips 66
NYSE: PSX $46 Billion Large-Cap. S&P 500. Oil, Gas & Coal industry. 5 Year Return 47%. 1 Year Return 2%. 2019 YTD Return 21%. 3.4% dividend yield. 30 total dividend payments. Earnings in 8 days on Fri, Oct 25. (Use the Earnings tab below to add this date to your calendar.)

PSX Profile

Market Cap 46 Billion
PSX Description

Phillips 66 is an independent refiner with 13 refineries with a total throughput capacity of 2.1 million barrels per day. Its DCP Midstream joint venture holds 61 natural gas processing facilities, 12 natural gas liquids fractionation plants, and a natural gas pipeline system with 64,000 miles of pipeline. Its CPChem chemical joint venture operates facilities in the United States and the Middle East and primarily produces olefins and polyolefins. Phillips 66 also holds a 75% interest in Phillips 66 Partners after exchanging its GP IDR interest for LP units.


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PSX Earnings

EPS 3.13 P/E Ratio 6.72
Previous Fri, Jul 26, 2019
Latest Fri, Oct 25, 2019 (In 9 days)

PSX Dividend

Yield 3.39% / $3.60
Ex-Date Fri, Nov 15, 2019 (In 30 days)
Pay Date Mon, Dec 2, 2019
History 30 Payments (Quarterly)

PSX Charts

$78.44
1 Year
$110.65
Dec 24, 2018
Oct 17, 2018


BK $44.44 0.08 (0.18%)
Bank of New York Mellon
NYSE: BK $43 Billion Large-Cap. S&P 500. Institutional Financial Services industry. 5 Year Return 22%. 1 Year Return 10%. 2019 YTD Return 6%. 2.8% dividend yield. 141 total dividend payments. Earnings Today.

BK Profile

Market Cap 43 Billion
BK Description

BNY Mellon is a global investment company involved in the management and servicing of financial assets throughout the investment lifecycle. The bank provides financial services for institutions, corporations, and individual investors, and delivers investment management and investment services in 35 countries and more than 100 markets. BNY Mellon is the largest global custody bank in the world, with over $32 trillion in under custody and administration, and can act as a single point of contact for clients looking to create, trade, hold, manage, service, distribute, or restructure investment.


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BK Earnings

EPS 1.01 P/E Ratio 14.14
Previous Wed, Jul 17, 2019
Latest Wed, Oct 16, 2019 Today

BK Dividend

Yield 2.79% / $1.24
Ex-Date Fri, Jul 26, 2019 (82 days ago)
Pay Date Fri, Aug 9, 2019
History 141 Payments (Quarterly)

BK Charts

52 Week Low $40.52 set on Wed, Aug 28, 2019
$40.52
1 Year
$54.27
Aug 28, 2019
Mar 19, 2019


MCO $217.15 1.54 (0.70%)
Moodys
NYSE: MCO $40 Billion Large-Cap. S&P 500. Technology Services industry. 5 Year Return 137%. 1 Year Return 34%. 2019 YTD Return 54%. 0.9% dividend yield. 143 total dividend payments. Earnings in 13 days on Wed, Oct 30. (Use the Earnings tab below to add this date to your calendar.)

MCO Profile

Market Cap 40 Billion
MCO Description

Moody's is the world's second- largest provider of credit ratings, trailing only S&P Global. The company provides ratings on more than a third of the total bond ratings in existence. Within ratings, roughly half of its revenue is derived from corporate issuers, while the rest of its corporate ratings are split among financial institutions, structured products, and public institutions. Moody's Analytics (13.5% of operating income) provides ancillary software and data solutions to issuers and investors. In 2017, the company bought Bureau van Dijk, a provider of private company data, for $3.5 billion to bolster its efforts in analytics.


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MCO Earnings

EPS 1.64 P/E Ratio 28.07
Previous Wed, Jul 31, 2019
Latest Wed, Oct 30, 2019 (In 14 days)

MCO Dividend

Yield 0.92% / $2.00
Ex-Date Mon, Aug 19, 2019 (58 days ago)
Pay Date Tue, Sep 10, 2019
History 143 Payments (Quarterly)

MCO Charts

All Time High $222.85 set on Fri, Sep 6, 2019.
$129.26
1 Year
$222.85
Dec 24, 2018
Sep 6, 2019


TRV $142.57 0.74 (0.52%)
Travelers Companies
NYSE: TRV $39 Billion Large-Cap. Dow Industrial. S&P 500. Insurance industry. 5 Year Return 53%. 1 Year Return 13%. 2019 YTD Return 21%. 2.3% dividend yield. 138 total dividend payments. Earnings in 5 days on Tue, Oct 22. (Use the Earnings tab below to add this date to your calendar.)

TRV Profile

Market Cap 39 Billion
TRV Description

Travelers offers a broad product range and participates in both commercial and personal insurance lines. Its commercial operations offer a variety of coverage types for companies of any size but concentrate on serving midsize businesses. Its personal lines are roughly evenly split between auto and homeowners insurance. Policies are distributed via a network of more than 11,000 brokers and independent agents.


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TRV Earnings

EPS 2.11 P/E Ratio 15.54
Previous Tue, Jul 23, 2019
Latest Tue, Oct 22, 2019 (In 6 days)

TRV Dividend

Yield 2.30% / $3.28
Ex-Date Mon, Sep 9, 2019 (37 days ago)
Pay Date Mon, Sep 30, 2019
History 138 Payments (Quarterly)

TRV Charts

All Time High $155.09 set on Tue, Jul 16, 2019.
$111.08
1 Year
$155.09
Dec 26, 2018
Jul 16, 2019


DAL $53.17 0.47 (0.88%)
Delta Air Lines
NYSE: DAL $38 Billion Large-Cap. Dow Transport. S&P 500. Airlines industry. 5 Year Return 55%. 1 Year Return 2%. 2019 YTD Return 6%. 3.0% dividend yield. 26 total dividend payments. Current Ex-Date in 6 days on Wed, Oct 23. (Use the Dividend tab below to add this date to your calendar.) Wed, Oct 23. Since Earnings 1%.

DAL Profile

Market Cap 38 Billion
DAL Description

Atlanta-based Delta Air Lines is one of the world's largest airlines, flying to more than 325 destinations in 60 countries. Delta operates a hub-and-spoke system, where it gathers and distributes passengers across the globe through key locations in Atlanta, New York, Salt Lake City, Detroit, Seattle, and Minneapolis-St. Paul. Delta generated just over $41 billion in revenue during 2018 and operated a mainline fleet of more than 850 aircraft.


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DAL Earnings

EPS 2.32 P/E Ratio 10.52
Previous Thu, Jul 11, 2019
Latest Thu, Oct 10, 2019 (6 days ago) Price -1.39%

DAL Dividend

Yield 3.03% / $1.61
Ex-Date Wed, Oct 23, 2019 (In 7 days)
Pay Date Thu, Nov 14, 2019
History 26 Payments (Quarterly)

DAL Charts

$45.08
1 Year
$63.44
Jan 3, 2019
Jul 24, 2019


KHC $27.44 0.05 (0.18%)
Kraft Heinz
NASDAQ: KHC $36 Billion Large-Cap. Nasdaq 100. S&P 500. Consumer Products industry. 5 Year Return 62%. 1 Year Return 51%. 2019 YTD Return 37%. 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. 5.8% dividend yield. 18 total dividend payments. Earnings in 14 days on Thu, Oct 31. (Use the Earnings tab below to add this date to your calendar.)

KHC Profile

Market Cap 36 Billion
KHC Description

In July 2015, Kraft merged with Heinz to create the third-largest food and beverage manufacturer in North America behind PepsiCo and Nestle and the fifth-largest player in the world. Beyond its namesake brands, the combined firm's portfolio includes Oscar Mayer, Planters, Ore-Ida, and Philadelphia. Outside of North America, the firm's global reach includes a distribution network in Europe and emerging markets that drive around one fifth of its consolidated sales base, as its products are sold in more than 190 countries and territories around the world.


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KHC Earnings

EPS 0.37 P/E Ratio 0.00
Previous Thu, Aug 8, 2019
Latest Thu, Oct 31, 2019 (In 15 days)

KHC Dividend

Yield 5.83% / $1.60
Ex-Date Tue, Aug 20, 2019 (57 days ago)
Pay Date Fri, Sep 13, 2019
History 18 Payments (Quarterly)

KHC Charts

52 Week Low $24.86 set on Wed, Aug 28, 2019
$24.86
1 Year
$58.08
Aug 28, 2019
Oct 22, 2018


LUV $53.67 0.49 (0.90%)
Southwest Airlines
NYSE: LUV $29 Billion Large-Cap. Dow Transport. S&P 500. Airlines industry. 5 Year Return 73%. 1 Year Return 9%. 2019 YTD Return 14%. 1.3% dividend yield. 140 total dividend payments. Earnings in 7 days on Thu, Oct 24. (Use the Earnings tab below to add this date to your calendar.)

LUV Profile

Market Cap 29 Billion
LUV Description

Southwest Airlines is the largest domestic carrier in the United States, as measured by the number of originating passengers boarded. Southwest operates over 700 aircraft in an all-Boeing fleet. Despite expanding into longer routes, the airline still specializes in short-haul flights, using a point-to-point network. The firm employs almost 59,000 workers and generated approximately $22 billion in revenue during 2018.


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LUV Earnings

EPS 1.37 P/E Ratio 12.19
Previous Thu, Jul 25, 2019
Latest Thu, Oct 24, 2019 (In 8 days)

LUV Dividend

Yield 1.34% / $0.72
Ex-Date Tue, Aug 20, 2019 (57 days ago)
Pay Date Wed, Sep 11, 2019
History 140 Payments (Quarterly)

LUV Charts

$44.28
1 Year
$60.86
Dec 26, 2018
Oct 17, 2018


SIRI $6.43 0.01 (0.16%)
Sirius XM Holdings
NASDAQ: SIRI $29 Billion Large-Cap. Nasdaq 100. Media industry. 5 Year Return 97%. 1 Year Return 3%. 2019 YTD Return 9%. 0.8% dividend yield. 14 total dividend payments. Current Ex-Date in 21 days on Thu, Nov 7. (Use the Dividend tab below to add this date to your calendar.) Thu, Nov 7. Earnings in 14 days on Thu, Oct 31. (Use the Earnings tab below to add this date to your calendar.)

SIRI Profile

Market Cap 29 Billion
SIRI Description

SiriusXM Holdings is now composed of two businesses: SiriusXM and Pandora. SiriusXM transmits music, talk shows, sports, and news via its two satellite radio networks, primarily to consumers in vehicles who pay a subscription fee. The firm's radios come preinstalled on a wide range of light vehicles in the U.S. and Canada. The firm acquired Pandora Media in February 2019 via an all-stock transaction. Pandora is a streaming music platform that offers an ad-supported radio option and a paid on-demand service. Liberty Media owns 68% of SiriusXM, traded through its Liberty SiriusXM Group tracking stock.


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SIRI Earnings

EPS 0.06 P/E Ratio 31.20
Previous Tue, Jul 30, 2019
Latest Thu, Oct 31, 2019 (In 15 days)

SIRI Dividend

Yield 0.83% / $0.05
Ex-Date Thu, Nov 7, 2019 (In 22 days)
Pay Date Fri, Nov 29, 2019
History 14 Payments (Quarterly)

SIRI Charts

$5.23
1 Year
$6.51
Jun 3, 2019
Sep 12, 2019


UAL $89.70 1.82 (2.07%)
United Continental Holdings
NASDAQ: UAL $23 Billion Large-Cap. Dow Transport. Nasdaq 100. S&P 500. Airlines industry. 5 Year Return 101%. 1 Year Return 1%. 2019 YTD Return 7%. Since Earnings 3%.

UAL Profile

Market Cap 23 Billion
UAL Description

United Airlines operates more than 4,500 flights a day to five continents. United's hubs include San Francisco, Chicago, Houston, Denver, Los Angeles, New York/Newark, and Washington, D.C. United operates more than 740 mainline aircraft. The airline is a member of the Star Alliance, which provides service to 192 countries via member airlines. In 2018, the carrier posted $41.3 billion in revenue, of which $37.7 billion was passenger revenue.


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UAL Earnings

EPS 4.03 P/E Ratio 10.67
Previous Tue, Jul 16, 2019
Latest Tue, Oct 15, 2019 (1 days ago) Price +3.14%

UAL Dividend

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

UAL Charts

All Time High $97.85 set on Mon, Dec 3, 2018.
$77.02
1 Year
$97.85
Mar 26, 2019
Dec 3, 2018


VRSN $185.34 1.32 (0.71%)
VeriSign
NASDAQ: VRSN $23 Billion Large-Cap. Nasdaq 100. S&P 500. Media industry. 5 Year Return 242%. 1 Year Return 27%. 2019 YTD Return 25%. Earnings in 7 days on Thu, Oct 24. (Use the Earnings tab below to add this date to your calendar.)

VRSN Profile

Market Cap 23 Billion
VRSN Description

VeriSign is the sole authorized registry for several generic top-level domains, including the widely utilized .com and .net top-level domains. Additionally, the company operates two of the world's 13 root servers that are used to route Internet traffic. In 2018, the firm sold off its security services business, signaling a renewed focus on the core registry business. VeriSign generates about 60% of its sales from the United States.


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VRSN Earnings

EPS 1.24 P/E Ratio 39.29
Previous Thu, Jul 25, 2019
Latest Thu, Oct 24, 2019 (In 8 days)

VRSN Dividend

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

VRSN Charts

$131.28
1 Year
$221.78
Oct 26, 2018
Jul 15, 2019


SYF $33.49 0.20 (0.59%)
Synchrony Financial
NYSE: SYF $23 Billion Large-Cap. S&P 500. Specialty Finance industry. 5 Year Return 35%. 1 Year Return 11%. 2019 YTD Return 38%. 2.6% dividend yield. 13 total dividend payments. Earnings in 1 days on Fri, Oct 18. (Use the Earnings tab below to add this date to your calendar.)

SYF Profile

Market Cap 23 Billion
SYF Description

Synchrony Financial, formerly GE Capital's retail finance business, is the largest provider of private-label credit cards in the United States based on purchase volume and receivables. Through its partners' 350,000 locations in the U.S. and Canada along with websites and mobile applications, Synchrony offers a variety of credit products through three sales platforms: retail card (private-label credit cards), payment solutions (consumer financing for major purchases), and CareCredit (financing for elective healthcare procedures).


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SYF Earnings

EPS 1.25 P/E Ratio 7.68
Previous Fri, Jul 19, 2019
Latest Fri, Oct 18, 2019 (In 2 days)

SYF Dividend

Yield 2.63% / $0.88
Ex-Date Fri, Aug 2, 2019 (75 days ago)
Pay Date Thu, Aug 15, 2019
History 13 Payments (Quarterly)

SYF Charts

$21.78
1 Year
$36.87
Dec 26, 2018
Jul 25, 2019


MTB $158.93 0.11 (0.07%)
M&T Bank
NYSE: MTB $21 Billion Large-Cap. S&P 500. Banking industry. 5 Year Return 41%. 1 Year Return 2%. 2019 YTD Return 10%. 2.5% dividend yield. 139 total dividend payments. Earnings Tomorrow.

MTB Profile

Market Cap 21 Billion
MTB Description

M&T Bank is one of the largest regional banks in the United States, with branches in New York, Pennsylvania, West Virginia, Virginia, Maryland, Delaware, and New Jersey. The bank was founded to serve manufacturing and trading businesses around the Erie Canal.


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MTB Earnings

EPS 3.34 P/E Ratio 13.59
Previous Thu, Jul 18, 2019
Latest Thu, Oct 17, 2019 Tomorrow

MTB Dividend

Yield 2.52% / $4.00
Ex-Date Fri, Aug 30, 2019 (47 days ago)
Pay Date Mon, Sep 30, 2019
History 139 Payments (Quarterly)

MTB Charts

$133.78
1 Year
$176.11
Dec 26, 2018
Feb 20, 2019


LBTYA $26.19 0.47 (1.83%)
Liberty Global PLC - Class A
NASDAQ: LBTYA $20 Billion Large-Cap. Nasdaq 100. Media industry. 5 Year Return 26%. 1 Year Return 0%. 2019 YTD Return 23%. Earnings in 20 days on Wed, Nov 6. (Use the Earnings tab below to add this date to your calendar.)

LBTYA Profile

Market Cap 20 Billion
LBTYA Description

Liberty Global is currently the largest cable network operator in Europe, with operations in the United Kingdom, Switzerland, Belgium (60%-owned), Germany, the Netherlands (50%-owned), Ireland, Hungary, Romania, Poland, Czech Republic, and Slovakia. The firm has agreed to sell its businesses in Germany, Romania, Hungary, and the Czech Republic to Vodafone. It has also agreed to sell its Swiss business to rival Sunrise. After these transactions close, the firm will serve about 8.2 million Internet access customers across its remaining reported footprint and another 3.3 million in the Netherlands, which it does not consolidate in its financial statements. Liberty will also serve 5.8 million wireless customers in consolidated markets, with another 5.0 million in the Netherlands.


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LBTYA Earnings

EPS -0.50 P/E Ratio 0.00
Previous Thu, Aug 8, 2019
Latest Wed, Nov 6, 2019 (In 21 days)

LBTYA Dividend

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

LBTYA Charts

$19.88
1 Year
$28.62
Dec 26, 2018
Jul 18, 2019


LBTYK $24.85 0.25 (1.02%)
Liberty Global PLC - Class C
NASDAQ: LBTYK $20 Billion Large-Cap. Nasdaq 100. Media industry. 5 Year Return 27%. 1 Year Return 3%. 2019 YTD Return 20%.

LBTYK Profile

Market Cap 20 Billion
LBTYK Description

Liberty Global is currently the largest cable network operator in Europe, with operations in the United Kingdom, Switzerland, Belgium (60%-owned), Germany, the Netherlands (50%-owned), Ireland, Hungary, Romania, Poland, Czech Republic, and Slovakia. The firm has agreed to sell its businesses in Germany, Romania, Hungary, and the Czech Republic to Vodafone. It has also agreed to sell its Swiss business to rival Sunrise. After these transactions close, the firm will serve about 8.2 million Internet access customers across its remaining reported footprint and another 3.3 million in the Netherlands, which it does not consolidate in its financial statements. Liberty will also serve 5.8 million wireless customers in consolidated markets, with another 5.0 million in the Netherlands.


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LBTYK Earnings

EPS -0.50 P/E Ratio 0.00
Previous --
Latest --

LBTYK Dividend

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

LBTYK Charts

$19.24
1 Year
$27.84
Dec 26, 2018
Jul 18, 2019


QSR $69.70 0.33 (0.48%)
Restaurant Brands
NYSE: QSR $18 Billion Large-Cap. Gaming, Lodging & Restaurants industry. 5 Year Return 98%. 1 Year Return 22%. 2019 YTD Return 36%. 2.9% dividend yield. 18 total dividend payments. Earnings in 6 days on Wed, Oct 23. (Use the Earnings tab below to add this date to your calendar.)

QSR Profile

Market Cap 18 Billion
QSR Description

The consolidation of Burger King, Tim Hortons, and Popeyes Louisiana Kitchen as Restaurant Brands International creates the third-largest global quick-service restaurant chain, with $32 billion in pro forma system sales generated in 2018 and more than 26,000 units (99% franchised) as of June 2019. Revenue comes largely from franchise royalties and distribution sales to franchisees. Worldwide, there are 18,000 Burger King locations, almost 4,900 Tim Hortons locations, and more than 3,200 Popeyes locations.


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QSR Earnings

EPS 0.56 P/E Ratio 27.46
Previous Fri, Aug 2, 2019
Latest Wed, Oct 23, 2019 (In 7 days)

QSR Dividend

Yield 2.87% / $2.00
Ex-Date Mon, Sep 16, 2019 (30 days ago)
Pay Date Thu, Oct 3, 2019
History 18 Payments (Quarterly)

QSR Charts

$50.20
1 Year
$79.46
Dec 26, 2018
Aug 30, 2019


LSXMA $42.96 0.03 (0.07%)
Liberty Sirius XM Group Series A
NASDAQ: LSXMA $13 Billion Large-Cap. Media industry. 5 Year Return 38%. 1 Year Return 0%. 2019 YTD Return 15%. Since Earnings 7%.

LSXMA Profile

Market Cap 13 Billion
LSXMA Description

Liberty SiriusXM Group through its subsidiary holding is engaged in providing a subscription-based satellite radio service. It transmits music, sports, entertainment, comedy, talk, news, traffic and weather channels, as well as infotainment services. The company distributes its satellite radios through automakers and rental car companies, as well as through its retail locations and Website; and satellite radio services to various automaker customers. Geographically it offers services in the region of the US and Canada.


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LSXMA Earnings

EPS 0.52 P/E Ratio 19.14
Previous Thu, Nov 8, 2018
Latest Thu, Feb 28, 2019 (230 days ago) Price +7.40%

LSXMA Dividend

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

LSXMA Charts

$34.92
1 Year
$43.57
Dec 26, 2018
Oct 18, 2018


LSXMK $43.44 0.06 (0.14%)
Liberty Media Corporation - Series C
NASDAQ: LSXMK $13 Billion Large-Cap. Entertainment industry. 5 Year Return 45%. 1 Year Return 1%. 2019 YTD Return 16%. Earnings in 28 days on Thu, Nov 14. (Use the Earnings tab below to add this date to your calendar.)

LSXMK Profile

Market Cap 13 Billion
LSXMK Description

Liberty SiriusXM Group through its subsidiary holding is engaged in providing a subscription-based satellite radio service. It transmits music, sports, entertainment, comedy, talk, news, traffic and weather channels, as well as infotainment services. The company distributes its satellite radios through automakers and rental car companies, as well as through its retail locations and Website; and satellite radio services to various automaker customers. Geographically it offers services in the region of the US and Canada.


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LSXMK Earnings

EPS 0.52 P/E Ratio 19.16
Previous Thu, Aug 8, 2019
Latest Thu, Nov 14, 2019 (In 29 days)

LSXMK Dividend

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

LSXMK Charts

$34.84
1 Year
$43.73
Dec 26, 2018
Oct 15, 2019


AAL $28.05 0.22 (0.78%)
American Airlines
NASDAQ: AAL $13 Billion Large-Cap. Dow Transport. Nasdaq 100. S&P 500. Airlines industry. 5 Year Return 16%. 1 Year Return 16%. 2019 YTD Return 14%. Negative 5 year, 1 year & YTD returns. You may want to avoid this one until things turn around. Check out some Uptrending symbols instead. 1.4% dividend yield. 21 total dividend payments. Earnings in 7 days on Thu, Oct 24. (Use the Earnings tab below to add this date to your calendar.)

AAL Profile

Market Cap 13 Billion
AAL Description

American Airlines operates almost 7,000 flights per day to more than 350 destinations in 50 countries from hubs in Charlotte, Chicago, Dallas/Fort Worth, Los Angeles, Miami, New York, Philadelphia, Phoenix, and Washington, D.C. The company generated roughly $45 billion in revenue during 2018.


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AAL Earnings

EPS 1.49 P/E Ratio 11.34
Previous Thu, Jul 25, 2019
Latest Thu, Oct 24, 2019 (In 8 days)

AAL Dividend

Yield 1.43% / $0.40
Ex-Date Tue, Aug 6, 2019 (71 days ago)
Pay Date Wed, Aug 21, 2019
History 21 Payments (Quarterly)

AAL Charts

$24.23
1 Year
$40.58
Aug 28, 2019
Dec 3, 2018


GL $94.27 0.88 (0.92%)
Globe Life
NYSE: GL $10 Billion Large-Cap. S&P 500. Insurance industry. 5 Year Return 84%. 1 Year Return 10%. 2019 YTD Return 24%. 0.7% dividend yield. 138 total dividend payments. Earnings in 6 days on Wed, Oct 23. (Use the Earnings tab below to add this date to your calendar.)

GL Profile

Market Cap 10 Billion
GL Description

Globe Life Inc, formerly Torchmark offers life and health insurance products to several niche target groups. The life insurance segment, which contributes to over 70% of annual premium revenue, focuses primarily on traditional whole life and term life policies. The health insurance segment offers Medicare supplement policies, Medicare Part D prescription drug insurance, and limited-benefit plans. About a third of annual premiums are generated through the direct-response channel, while the rest is through agents.


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GL Earnings

EPS 1.70 P/E Ratio 13.52
Previous --
Latest Wed, Oct 23, 2019 (In 7 days)

GL Dividend

Yield 0.73% / $0.69
Ex-Date Thu, Oct 3, 2019 (13 days ago)
Pay Date Fri, Nov 1, 2019
History 138 Payments (Quarterly)

GL Charts

All Time High $96.92 set on Fri, Sep 27, 2019.
$69.68
1 Year
$96.92
Dec 26, 2018
Sep 27, 2019


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

DVA Profile

Market Cap 10 Billion
DVA Description

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


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DVA Earnings

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

DVA Dividend

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

DVA Charts

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


TEVA $6.95 0.02 (0.29%)
Teva Pharmaceutical Industries Ltd (ADR) ADR
NYSE: TEVA $9 Billion Mid-Cap. Biotech & Pharma industry. 5 Year Return 86%. 1 Year Return 67%. 2019 YTD Return 56%. Negative 5 year, 1 year & YTD returns. You may want to avoid this one until things turn around. Check out some Uptrending symbols instead. This is clearly Downtrending. Avoid for now. Earnings in 21 days on Thu, Nov 7. (Use the Earnings tab below to add this date to your calendar.)

TEVA Profile

Market Cap 9 Billion
TEVA Description

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


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TEVA Earnings

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

TEVA Dividend

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

TEVA Charts

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


STNE $33.96 0.24 (0.71%)
StoneCo Ltd
NASDAQ: STNE $9 Billion Mid-Cap. Software industry. 5 Year Return 8%. 1 Year Return 8%. 2019 YTD Return 78%.

STNE Profile

Market Cap 9 Billion
STNE Description

StoneCo Ltd is a provider of financial technology solutions. The company offers solutions that empower merchants and integrated partners to conduct electronic commerce seamlessly across in-store, online, and mobile channels in Brazil.


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STNE Earnings

EPS 0.62 P/E Ratio 92.69
Previous Wed, Aug 14, 2019
Latest Mon, Nov 25, 2019 (In 40 days)

STNE Dividend

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

STNE Charts

$16.14
1 Year
$45.62
Dec 24, 2018
Apr 2, 2019


STOR $37.57 0.06 (0.16%)
Store Capital Corp
NYSE: STOR $8 Billion Mid-Cap. Real Estate industry. 5 Year Return 93%. 1 Year Return 32%. 2019 YTD Return 37%. This is Uptrending. A good sign. 3.7% dividend yield. 20 total dividend payments. Earnings in 14 days on Thu, Oct 31. (Use the Earnings tab below to add this date to your calendar.)

STOR Profile

Market Cap 8 Billion
STOR Description

STORE Capital Corp is a real estate investment trust involved in the acquisition and management of single tenant operation real estate, or STORE, properties across the U.S. STORE Capital primarily leases facilities at which a company operates its business and generates sales to middle-market and large businesses through long-term agreements. Most of STORE's revenue comes from its service sector customers, which include, notably, restaurants, movie theaters, health clubs, early childhood education centers, and furniture stores. A sizable percentage of STORE's total real estate portfolio is comprised of restaurant and industrial locations. Specifically, properties in Texas, Illinois, and Georgia make up a large amount of STORE's investments as well.


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STOR Earnings

EPS 0.30 P/E Ratio 31.49
Previous Thu, Aug 1, 2019
Latest Thu, Oct 31, 2019 (In 15 days)

STOR Dividend

Yield 3.73% / $1.40
Ex-Date Fri, Sep 27, 2019 (19 days ago)
Pay Date Tue, Oct 15, 2019
History 20 Payments (Quarterly)

STOR Charts

All Time High $38.76 set on Wed, Sep 4, 2019.
$27.35
1 Year
$38.76
Jan 2, 2019
Sep 4, 2019


AXTA $28.72 0.08 (0.28%)
Axalta Coating Systems Ltd
NYSE: AXTA $7 Billion Mid-Cap. Chemicals industry. 5 Year Return 38%. 1 Year Return 12%. 2019 YTD Return 22%. Earnings in 7 days on Thu, Oct 24. (Use the Earnings tab below to add this date to your calendar.)

AXTA Profile

Market Cap 7 Billion
AXTA Description

Axalta Coating Systems Ltd manufactures, markets and distributes performance coating and transportation coating systems. It operates in the business segments of Performance Coatings and Transportation Coatings. It derives key revenue from the Performance coating segment through which the company provides liquid and powder coatings solutions to a fragmented and local customer base. The end-markets within the Performance coating segment include refinish and industrial. The Transportation coatings segment relates to the provision of coating technologies to original equipment manufacturers of light and commercial vehicles. The company operates in the geographic areas of North America, EMEA countries, Asia-Pacific and Latin America.


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AXTA Earnings

EPS 0.42 P/E Ratio 32.38
Previous Thu, Jul 25, 2019
Latest Thu, Oct 24, 2019 (In 8 days)

AXTA Dividend

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

AXTA Charts

$21.58
1 Year
$32.20
Dec 18, 2018
Sep 17, 2019


LILA $18.12 0.12 (0.67%)
Liberty Global PLC - Class A Ordinary Shares
NASDAQ: LILA $3 Billion Mid-Cap. Media industry. 5 Year Return 63%. 1 Year Return 7%. 2019 YTD Return 20%.

LILA Profile

Market Cap 3 Billion
LILA Description

Liberty Latin America Ltd is a telecommunications company. It is a provider of video, broadband internet, fixed-line telephony and mobile services to residential and business customers. The company's reportable segments include Cable and Wireless Communication, VTR and Liberty Puerto Rico. It generates its revenue from Cable and Wireless Communication.


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LILA Earnings

EPS -0.64 P/E Ratio 0.00
Previous --
Latest --

LILA Dividend

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

LILA Charts

$13.96
1 Year
$21.90
Dec 26, 2018
Apr 5, 2019


LILAK $17.92 0.10 (0.56%)
Liberty Global PLC - Class C Ordinary Shares
NASDAQ: LILAK $3 Billion Mid-Cap. Media industry. 5 Year Return 63%. 1 Year Return 7%. 2019 YTD Return 19%.

LILAK Profile

Market Cap 3 Billion
LILAK Description

Liberty Latin America Ltd is a telecommunications company. It is a provider of video, broadband internet, fixed-line telephony and mobile services to residential and business customers. The company's reportable segments include Cable and Wireless Communication, VTR and Liberty Puerto Rico. It generates its revenue from Cable and Wireless Communication.


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LILAK Earnings

EPS -0.64 P/E Ratio 0.00
Previous --
Latest --

LILAK Dividend

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

LILAK Charts

$13.96
1 Year
$21.93
Dec 27, 2018
Apr 5, 2019




Symbol Price Day Δ YTD Δ
AAPL $234.37 -0.40% 48.41%
AMZN $1,777.43 0.57% 15.48%
AXP $117.41 -0.15% 23.21%
BAC $30.17 1.48% 20.87%
BK $44.44 0.18% -6.44%
CHTR $438.10 1.20% 52.12%
COST $298.78 0.13% 45.92%
DAL $53.17 -0.88% 6.15%
DVA $57.01 0.51% 10.21%
GM $36.65 1.08% 8.95%
GS $207.42 0.46% 20.57%
JNJ $135.17 1.75% 5.81%
JPM $119.68 -0.23% 21.49%
KHC $27.44 -0.18% -36.69%
KO $53.49 -0.04% 13.98%
LBTYA $26.19 1.83% 22.61%
LBTYK $24.85 1.02% 20.05%
LUV $53.67 -0.90% 13.85%
MA $278.27 -0.10% 46.66%
MCO $217.15 -0.70% 54.17%
MDLZ $54.27 0.43% 36.05%
MTB $158.93 0.07% 9.69%
PG $117.53 0.28% 28.76%
PNC $141.46 -0.29% 19.06%
PSX $106.26 -0.97% 20.59%
SIRI $6.43 -0.16% 8.98%
SYF $33.49 -0.59% 37.99%
GL $94.27 -0.92% 23.70%
TRV $142.57 -0.52% 21.47%
UAL $89.70 2.07% 6.56%
UPS $117.50 0.88% 20.87%
USB $54.57 1.51% 17.73%
V $177.87 -0.49% 33.82%
VRSN $185.34 -0.71% 25.43%
WFC $49.59 -1.04% 5.65%
LILA $18.12 0.67% 19.84%
LILAK $17.92 0.56% 18.52%
AAL $28.05 -0.78% -13.64%
AXTA $28.72 -0.28% 21.59%
LSXMA $42.96 -0.07% 14.80%
QSR $69.70 0.48% 35.55%
STOR $37.57 -0.16% 36.82%
TEVA $6.95 -0.29% -56.15%
LSXMK $43.44 -0.14% 15.78%
STNE $33.96 0.71% 78.08%
SU $29.90 0.44% 5.77%

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