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FACEBOOK, INC. (FB)
On 2021-04-28, Facebook, Inc. (FB) announced earnings per share of $3.30 for the fiscal quarter ending 2021-03-31, beating the average analyst estimate of $2.36.. The next expected annoucement date for quarterly earnings is 2021-07-29, with an average estimated earnings per share of $3.03 for the fiscal quarter ending 2021-06-30.. Note: Earnings figures are calculated as diluted VOLKSWAGEN AG (VWAGY) Net Income: Company's net profit or loss after all revenues, income items, and expenses have been accounted for. Because this figure is given after preferred dividend expense, it is the net income value allotted to common shareholders. Volkswagen AG (VWAGY) had Net Income of $9.52B for the most recently reported fiscal year, ending2020-12-31.
FACEBOOK, INC. (FB)
Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. Facebook, Inc. (FB) had 30-Day Implied Volatility (Mean) of 0.2430 for 2021-06-02. INTEL CORPORATION (INTC) Historical Volatility (Close-to-Close): The past volatility of the security over the selected time frame, calculated using the closing price on each trading day. Intel Corporation (INTC) had 150-Day Historical Volatility (Close-to-Close) of 0.3872 for 2021-05-28 . 10-Day 20-Day 30-Day 60-Day. 90-Day 120-Day 150-Day 180-Day. Figuresfor 2021-05-28.
GENERAL MOTORS COMPANY (GM) Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. General Motors Company (GM) had 30-Day Implied Volatility (Mean) of COSTCO WHOLESALE CORPORATION (COST) Receiveable Turnover: An accounting measure used to quantify a firm's effectiveness in extending credit as well as collecting debts. Calculated as: Total Revenues / Accounts Receivable. Costco Wholesale Corporation (COST) had Receiveable Turnover of 107.59 for the most recently reported fiscal year, ending 2020-08-31.WALMART INC. (WMT)
Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. Walmart Inc. (WMT) had 30-Day Implied Volatility (Mean) of 0.1483 for 2021-06-02.WALMART INC. (WMT)
Put-Call Ratio (Open Interest): The ratio of outstanding put contracts to outstanding call contracts at the close of the trading day, for options with the relevant expiration date. Walmart Inc. (WMT) had 20-Day Put-Call Ratio (Open Interest) of 1.2380 for 2021-06-08. PALANTIR TECHNOLOGIES INC. (PLTR) Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. Palantir Technologies Inc. (PLTR) had 150-Day Implied Volatility (Mean) of 0.5906 for 2021-06-04. ALPHAQUERY - GET DEEPER INSIGHTS INTO MORE STOCKS IN LESSDATA TABLESTOCK SCREENERQUERY TOOLPREDEFINED QUERIESSUBSCRIBELOG IN Get deeper insights into more stocks in less time. The market generates a vast amount of data, but it can be difficult to process the information efficiently in order to find the right stocks and uncover the specific metrics you want to see. AlphaQuery is a web application that makes your investment research simpler and moreproductive with
FACEBOOK, INC. (FB)
On 2021-04-28, Facebook, Inc. (FB) announced earnings per share of $3.30 for the fiscal quarter ending 2021-03-31, beating the average analyst estimate of $2.36.. The next expected annoucement date for quarterly earnings is 2021-07-29, with an average estimated earnings per share of $3.03 for the fiscal quarter ending 2021-06-30.. Note: Earnings figures are calculated as diluted VOLKSWAGEN AG (VWAGY) Net Income: Company's net profit or loss after all revenues, income items, and expenses have been accounted for. Because this figure is given after preferred dividend expense, it is the net income value allotted to common shareholders. Volkswagen AG (VWAGY) had Net Income of $9.52B for the most recently reported fiscal year, ending2020-12-31.
FACEBOOK, INC. (FB)
Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. Facebook, Inc. (FB) had 30-Day Implied Volatility (Mean) of 0.2430 for 2021-06-02. INTEL CORPORATION (INTC) Historical Volatility (Close-to-Close): The past volatility of the security over the selected time frame, calculated using the closing price on each trading day. Intel Corporation (INTC) had 150-Day Historical Volatility (Close-to-Close) of 0.3872 for 2021-05-28 . 10-Day 20-Day 30-Day 60-Day. 90-Day 120-Day 150-Day 180-Day. Figuresfor 2021-05-28.
GENERAL MOTORS COMPANY (GM) Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. General Motors Company (GM) had 30-Day Implied Volatility (Mean) of COSTCO WHOLESALE CORPORATION (COST) Receiveable Turnover: An accounting measure used to quantify a firm's effectiveness in extending credit as well as collecting debts. Calculated as: Total Revenues / Accounts Receivable. Costco Wholesale Corporation (COST) had Receiveable Turnover of 107.59 for the most recently reported fiscal year, ending 2020-08-31.WALMART INC. (WMT)
Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. Walmart Inc. (WMT) had 30-Day Implied Volatility (Mean) of 0.1483 for 2021-06-02.WALMART INC. (WMT)
Put-Call Ratio (Open Interest): The ratio of outstanding put contracts to outstanding call contracts at the close of the trading day, for options with the relevant expiration date. Walmart Inc. (WMT) had 20-Day Put-Call Ratio (Open Interest) of 1.2380 for 2021-06-08. PALANTIR TECHNOLOGIES INC. (PLTR) Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. Palantir Technologies Inc. (PLTR) had 150-Day Implied Volatility (Mean) of 0.5906 for 2021-06-04.APPLE INC. (AAPL)
Implied Volatility (Puts): The forecasted future volatility of the security over the selected time frame, derived from the pricing of the at-the-money put options with the relevant expiration date. Apple Inc. (AAPL) had 30-Day Implied Volatility (Puts) of 0.2111 for 2021-06-08. OPENDOOR TECHNOLOGIES INC. (OPEN) Operating Cash Flow per Share: A measure of financial performance calculated as operating cash flow, expressed on a per share basis. Calculated as: Cash Flow from Operations / Weighted Average Shares Outstanding (Diluted) Opendoor Technologies Inc. (OPEN) had Operating Cash Flow per Share of $6.24 for the most recently reported fiscal year, ending 2020-12-31. OPENDOOR TECHNOLOGIES INC. (OPEN) Net Income: Company's net profit or loss after all revenues, income items, and expenses have been accounted for. Because this figure is given after preferred dividend expense, it is the net income value allotted to common shareholders. Opendoor Technologies Inc. (OPEN) had Net Income of $-286.76M for the most recently reported fiscal year,ending 2020-12-31.
WALMART INC. (WMT)
Put-Call Ratio (Open Interest): The ratio of outstanding put contracts to outstanding call contracts at the close of the trading day, for options with the relevant expiration date. Walmart Inc. (WMT) had 20-Day Put-Call Ratio (Open Interest) of 1.2380 for 2021-06-08. SPDR S&P 500 ETF (SPY) Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. SPDR S&P 500 ETF (SPY) had 30-Day Implied Volatility (Mean) of 0.1200 for 2021-06-08. MEREO BIOPHARMA (MREO) Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. MEREO BIOPHARMA (MREO) had 20-Day Implied Volatility(Mean) of
APOLLO ENDOSURGERY, INC. (APEN) Put-Call Ratio (Open Interest): The ratio of outstanding put contracts to outstanding call contracts at the close of the trading day, for options with the relevant expiration date. Apollo Endosurgery, Inc. (APEN) had 90-Day Put-Call Ratio (Open Interest) of 0.3854 for2021-06-07.
APOLLO ENDOSURGERY, INC. (APEN) Put-Call Ratio (Volume): The ratio of puts traded to calls traded, for options with the relevant expiration date. Apollo Endosurgery, Inc. (APEN) had 90-Day Put-Call Ratio (Volume) of 0.0065 for 2021-06-07. GLOBAL TECHNOLOGIES LTD. (GTLL) Combined Ratio: A measure of profitability used by an insurance company to indicate how well it is performing in its daily operations. The combined ratio is calculated by taking the sum of incurred losses and expenses and then dividing them by earned premium. Calculated as: Total Operating Expenses / Net Premiums Earned APOLLO ENDOSURGERY, INC. (APEN) Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. Apollo Endosurgery, Inc. (APEN) had 120-Day Implied Volatility (Mean) of 0.9588 for 2021-06-07.FACEBOOK, INC. (FB)
On 2021-04-28, Facebook, Inc. (FB) announced earnings per share of $3.30 for the fiscal quarter ending 2021-03-31, beating the average analyst estimate of $2.36.. The next expected annoucement date for quarterly earnings is 2021-07-29, with an average estimated earnings per share of $3.03 for the fiscal quarter ending 2021-06-30.. Note: Earnings figures are calculated as dilutedFACEBOOK, INC. (FB)
Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. Facebook, Inc. (FB) had 30-Day Implied Volatility (Mean) of 0.2430 for 2021-06-02. 50-DAY MOVING AVERAGE CROSSED ABOVE 100-DAY MOVING AVERAGE 50-Day Moving Average Crossed Above 100-Day Moving Average. This query returns securities which had the 50-day simple moving average cross above the 100-day simple moving average on the last trading day. SPDR S&P 500 ETF (SPY) Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. SPDR S&P 500 ETF (SPY) had 30-Day Implied Volatility (Mean) of 0.1200 for 2021-06-08.NASDAQ 100 (NDX)
Put-Call Ratio (Open Interest): The ratio of outstanding put contracts to outstanding call contracts at the close of the trading day, for options with the relevant expiration date. Nasdaq 100 (NDX) had 10-Day Put-Call Ratio (Open Interest) of 8.4776 for 2015-01-30.TESLA, INC. (TSLA)
Put-Call Ratio (Open Interest): The ratio of outstanding put contracts to outstanding call contracts at the close of the trading day, for options with the relevant expiration date. Tesla, Inc. (TSLA) had 30-Day Put-Call Ratio (Open Interest) of 0.4132 for 2021-06-07. GENERAL MOTORS COMPANY (GM) Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. General Motors Company (GM) had 30-Day Implied Volatility (Mean) ofTESLA, INC. (TSLA)
Debt to Equity Ratio: A measure of a company's financial leverage calculated by dividing its long-term debt by shareholders equity. Calculated as: Total Debt / Shareholders Equity. Tesla, Inc. (TSLA) had Debt to Equity Ratio of 0.51 for the most recently reported fiscal year, ending 2020-12-31. COSTCO WHOLESALE CORPORATION (COST) Receiveable Turnover: An accounting measure used to quantify a firm's effectiveness in extending credit as well as collecting debts. Calculated as: Total Revenues / Accounts Receivable. Costco Wholesale Corporation (COST) had Receiveable Turnover of 107.59 for the most recently reported fiscal year, ending 2020-08-31. VOLKSWAGEN AG (VWAGY) Net Income: Company's net profit or loss after all revenues, income items, and expenses have been accounted for. Because this figure is given after preferred dividend expense, it is the net income value allotted to common shareholders. Volkswagen AG (VWAGY) had Net Income of $9.52B for the most recently reported fiscal year, ending2020-12-31.
FACEBOOK, INC. (FB)
On 2021-04-28, Facebook, Inc. (FB) announced earnings per share of $3.30 for the fiscal quarter ending 2021-03-31, beating the average analyst estimate of $2.36.. The next expected annoucement date for quarterly earnings is 2021-07-29, with an average estimated earnings per share of $3.03 for the fiscal quarter ending 2021-06-30.. Note: Earnings figures are calculated as dilutedFACEBOOK, INC. (FB)
Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. Facebook, Inc. (FB) had 30-Day Implied Volatility (Mean) of 0.2430 for 2021-06-02. 50-DAY MOVING AVERAGE CROSSED ABOVE 100-DAY MOVING AVERAGE 50-Day Moving Average Crossed Above 100-Day Moving Average. This query returns securities which had the 50-day simple moving average cross above the 100-day simple moving average on the last trading day. SPDR S&P 500 ETF (SPY) Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. SPDR S&P 500 ETF (SPY) had 30-Day Implied Volatility (Mean) of 0.1200 for 2021-06-08.NASDAQ 100 (NDX)
Put-Call Ratio (Open Interest): The ratio of outstanding put contracts to outstanding call contracts at the close of the trading day, for options with the relevant expiration date. Nasdaq 100 (NDX) had 10-Day Put-Call Ratio (Open Interest) of 8.4776 for 2015-01-30.TESLA, INC. (TSLA)
Put-Call Ratio (Open Interest): The ratio of outstanding put contracts to outstanding call contracts at the close of the trading day, for options with the relevant expiration date. Tesla, Inc. (TSLA) had 30-Day Put-Call Ratio (Open Interest) of 0.4132 for 2021-06-07. GENERAL MOTORS COMPANY (GM) Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. General Motors Company (GM) had 30-Day Implied Volatility (Mean) ofTESLA, INC. (TSLA)
Debt to Equity Ratio: A measure of a company's financial leverage calculated by dividing its long-term debt by shareholders equity. Calculated as: Total Debt / Shareholders Equity. Tesla, Inc. (TSLA) had Debt to Equity Ratio of 0.51 for the most recently reported fiscal year, ending 2020-12-31. COSTCO WHOLESALE CORPORATION (COST) Receiveable Turnover: An accounting measure used to quantify a firm's effectiveness in extending credit as well as collecting debts. Calculated as: Total Revenues / Accounts Receivable. Costco Wholesale Corporation (COST) had Receiveable Turnover of 107.59 for the most recently reported fiscal year, ending 2020-08-31. VOLKSWAGEN AG (VWAGY) Net Income: Company's net profit or loss after all revenues, income items, and expenses have been accounted for. Because this figure is given after preferred dividend expense, it is the net income value allotted to common shareholders. Volkswagen AG (VWAGY) had Net Income of $9.52B for the most recently reported fiscal year, ending2020-12-31.
APPLE INC. (AAPL)
On 2021-04-28, Apple Inc. (AAPL) announced earnings per share of $1.40 for the fiscal quarter ending 2021-03-31, beating the average analyst estimate of $1.00.. The next expected annoucement date for quarterly earnings is 2021-07-29, with an average estimated earnings per share of $0.99 for the fiscal quarter ending 2021-06-30.. Note: Earnings figures are calculated as dilutedAPPLE INC. (AAPL)
Historical Volatility (Close-to-Close): The past volatility of the security over the selected time frame, calculated using the closing price on each trading day. Apple Inc. (AAPL) had 30-Day Historical Volatility (Close-to-Close) of 0.2208 for 2021-06-08.APPLE INC. (AAPL)
Inventory Turnover: A ratio showing how many times a company's inventory is sold and replaced over a period. Calculated as: Cost of Goods Sold / Total Inventory. Apple Inc. (AAPL) had Inventory Turnover of 41.75 for the most recently reported fiscal year, ending2020-09-30.
COSTCO WHOLESALE CORPORATION (COST) Inventory Turnover: A ratio showing how many times a company's inventory is sold and replaced over a period. Calculated as: Cost of Goods Sold / Total Inventory. Costco Wholesale Corporation (COST) had Inventory Turnover of 11.84 for the APOLLO ENDOSURGERY, INC. (APEN) Put-Call Ratio (Volume): The ratio of puts traded to calls traded, for options with the relevant expiration date. Apollo Endosurgery, Inc. (APEN) had 90-Day Put-Call Ratio (Volume) of 0.0065 for 2021-06-07. APOLLO ENDOSURGERY, INC. (APEN) Put-Call Ratio (Open Interest): The ratio of outstanding put contracts to outstanding call contracts at the close of the trading day, for options with the relevant expiration date. Apollo Endosurgery, Inc. (APEN) had 90-Day Put-Call Ratio (Open Interest) of 0.3854 for2021-06-07.
APOLLO ENDOSURGERY, INC. (APEN) Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. Apollo Endosurgery, Inc. (APEN) had 20-Day Implied Volatility (Mean) of 0.9841 for 2021-06-07. OPENDOOR TECHNOLOGIES INC. (OPEN) Total Liabilities: The total value of all possible claims against the corporation. Opendoor Technologies Inc. (OPEN) had Total Liabilities of $575.58M for the most recently reported fiscal year, ending2020-12-31.
MILESTONE SCIENTIFIC, INC. (MLSS) Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. Milestone Scientific, Inc. (MLSS) 60-Day Implied Volatility (Mean) data VAXCYTE, INC. (PCVX) Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. Vaxcyte, Inc. (PCVX) had 20-Day Implied Volatility (Mean) of 0.7173 for 2021-06-07.FACEBOOK, INC. (FB)
On 2021-04-28, Facebook, Inc. (FB) announced earnings per share of $3.30 for the fiscal quarter ending 2021-03-31, beating the average analyst estimate of $2.36.. The next expected annoucement date for quarterly earnings is 2021-07-29, with an average estimated earnings per share of $3.03 for the fiscal quarter ending 2021-06-30.. Note: Earnings figures are calculated as dilutedFACEBOOK, INC. (FB)
Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. Facebook, Inc. (FB) had 30-Day Implied Volatility (Mean) of 0.2430 for 2021-06-02. SPDR S&P 500 ETF (SPY) Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. SPDR S&P 500 ETF (SPY) had 30-Day Implied Volatility (Mean) of 0.1165 for 2021-06-04. VOLKSWAGEN AG (VWAGY) Net Income: Company's net profit or loss after all revenues, income items, and expenses have been accounted for. Because this figure is given after preferred dividend expense, it is the net income value allotted to common shareholders. Volkswagen AG (VWAGY) had Net Income of $9.52B for the most recently reported fiscal year, ending2020-12-31.
GENERAL MOTORS COMPANY (GM) Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. General Motors Company (GM) had 30-Day Implied Volatility (Mean) of PALANTIR TECHNOLOGIES INC. (PLTR) Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. Palantir Technologies Inc. (PLTR) had 150-Day Implied Volatility (Mean) of 0.5906 for 2021-06-04. AMAZON.COM, INC. (AMZN) Historical Volatility (Close-to-Close): The past volatility of the security over the selected time frame, calculated using the closing price on each trading day. Amazon.com, Inc. (AMZN) had 90-Day Historical Volatility (Close-to-Close) of 0.2273 for 2021-06-03.NASDAQ 100 (NDX)
Put-Call Ratio (Open Interest): The ratio of outstanding put contracts to outstanding call contracts at the close of the trading day, for options with the relevant expiration date. Nasdaq 100 (NDX) had 10-Day Put-Call Ratio (Open Interest) of 8.4776 for 2015-01-30. COSTCO WHOLESALE CORPORATION (COST) Receiveable Turnover: An accounting measure used to quantify a firm's effectiveness in extending credit as well as collecting debts. Calculated as: Total Revenues / Accounts Receivable. Costco Wholesale Corporation (COST) had Receiveable Turnover of 107.59 for the most recently reported fiscal year, ending 2020-08-31. THE WALT DISNEY COMPANY (DIS) Inventory Turnover: A ratio showing how many times a company's inventory is sold and replaced over a period. Calculated as: Cost of Goods Sold / Total Inventory. The Walt Disney Company (DIS) had Inventory Turnover of 27.72 for the most recently reported fiscal year, ending 2020-09-30.FACEBOOK, INC. (FB)
On 2021-04-28, Facebook, Inc. (FB) announced earnings per share of $3.30 for the fiscal quarter ending 2021-03-31, beating the average analyst estimate of $2.36.. The next expected annoucement date for quarterly earnings is 2021-07-29, with an average estimated earnings per share of $3.03 for the fiscal quarter ending 2021-06-30.. Note: Earnings figures are calculated as dilutedFACEBOOK, INC. (FB)
Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. Facebook, Inc. (FB) had 30-Day Implied Volatility (Mean) of 0.2430 for 2021-06-02. SPDR S&P 500 ETF (SPY) Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. SPDR S&P 500 ETF (SPY) had 30-Day Implied Volatility (Mean) of 0.1165 for 2021-06-04. VOLKSWAGEN AG (VWAGY) Net Income: Company's net profit or loss after all revenues, income items, and expenses have been accounted for. Because this figure is given after preferred dividend expense, it is the net income value allotted to common shareholders. Volkswagen AG (VWAGY) had Net Income of $9.52B for the most recently reported fiscal year, ending2020-12-31.
GENERAL MOTORS COMPANY (GM) Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. General Motors Company (GM) had 30-Day Implied Volatility (Mean) of PALANTIR TECHNOLOGIES INC. (PLTR) Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. Palantir Technologies Inc. (PLTR) had 150-Day Implied Volatility (Mean) of 0.5906 for 2021-06-04. AMAZON.COM, INC. (AMZN) Historical Volatility (Close-to-Close): The past volatility of the security over the selected time frame, calculated using the closing price on each trading day. Amazon.com, Inc. (AMZN) had 90-Day Historical Volatility (Close-to-Close) of 0.2273 for 2021-06-03.NASDAQ 100 (NDX)
Put-Call Ratio (Open Interest): The ratio of outstanding put contracts to outstanding call contracts at the close of the trading day, for options with the relevant expiration date. Nasdaq 100 (NDX) had 10-Day Put-Call Ratio (Open Interest) of 8.4776 for 2015-01-30. COSTCO WHOLESALE CORPORATION (COST) Receiveable Turnover: An accounting measure used to quantify a firm's effectiveness in extending credit as well as collecting debts. Calculated as: Total Revenues / Accounts Receivable. Costco Wholesale Corporation (COST) had Receiveable Turnover of 107.59 for the most recently reported fiscal year, ending 2020-08-31. THE WALT DISNEY COMPANY (DIS) Inventory Turnover: A ratio showing how many times a company's inventory is sold and replaced over a period. Calculated as: Cost of Goods Sold / Total Inventory. The Walt Disney Company (DIS) had Inventory Turnover of 27.72 for the most recently reported fiscal year, ending 2020-09-30.APPLE INC. (AAPL)
Implied Volatility (Puts): The forecasted future volatility of the security over the selected time frame, derived from the pricing of the at-the-money put options with the relevant expiration date. Apple Inc. (AAPL) had 30-Day Implied Volatility (Puts) of 0.2142 for 2021-06-04. COSTCO WHOLESALE CORPORATION (COST) Inventory Turnover: A ratio showing how many times a company's inventory is sold and replaced over a period. Calculated as: Cost of Goods Sold / Total Inventory. Costco Wholesale Corporation (COST) had Inventory Turnover of 11.84 for the SPDR S&P 500 ETF (SPY) Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. SPDR S&P 500 ETF (SPY) had 30-Day Implied Volatility (Mean) of 0.1165 for 2021-06-04. MEREO BIOPHARMA (MREO) Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. MEREO BIOPHARMA (MREO) had 20-Day Implied Volatility(Mean) of
APOLLO ENDOSURGERY, INC. (APEN) Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. Apollo Endosurgery, Inc. (APEN) had 120-Day Implied Volatility (Mean) of 0.9588 for 2021-06-07. APOLLO ENDOSURGERY, INC. (APEN) Put-Call Ratio (Volume): The ratio of puts traded to calls traded, for options with the relevant expiration date. Apollo Endosurgery, Inc. (APEN) had 90-Day Put-Call Ratio (Volume) of 0.0065 for 2021-06-07. VAXCYTE, INC. (PCVX) Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. Vaxcyte, Inc. (PCVX) had 20-Day Implied Volatility (Mean) of 0.7173 for 2021-06-07. APOLLO ENDOSURGERY, INC. (APEN) Put-Call Ratio (Open Interest): The ratio of outstanding put contracts to outstanding call contracts at the close of the trading day, for options with the relevant expiration date. Apollo Endosurgery, Inc. (APEN) had 90-Day Put-Call Ratio (Open Interest) of 0.3854 for2021-06-07.
MILESTONE SCIENTIFIC, INC. (MLSS) Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. Milestone Scientific, Inc. (MLSS) 20-Day Implied Volatility (Mean) data GARRETT MOTION INC. (GTX) Earnings per Share (EPS) (Diluted): A company's net earnings or losses attributable to common shareholders per diluted share basis, which includes all convertible securities and debt, options and warrants. Garrett Motion Inc. (GTX) had Earnings per Share (EPS) (Diluted) of $1.05 for the most recently reported fiscal year, ending 2020-12-31.FACEBOOK, INC. (FB)
On 2021-04-28, Facebook, Inc. (FB) announced earnings per share of $3.30 for the fiscal quarter ending 2021-03-31, beating the average analyst estimate of $2.36.. The next expected annoucement date for quarterly earnings is 2021-07-29, with an average estimated earnings per share of $3.03 for the fiscal quarter ending 2021-06-30.. Note: Earnings figures are calculated as diluted AMAZON.COM, INC. (AMZN) On 2021-04-29, Amazon.com, Inc. (AMZN) announced earnings per share of $15.79 for the fiscal quarter ending 2021-03-31, beating the average analyst estimate of $9.75.. The next expected annoucement date for quarterly earnings is 2021-07-29, with an average estimated earnings per share of $11.84 for the fiscal quarter ending 2021-06-30.. Note: Earnings figures are calculated as dilutedFACEBOOK, INC. (FB)
Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. Facebook, Inc. (FB) had 30-Day Implied Volatility (Mean) of 0.2430 for 2021-06-02. SPDR S&P 500 ETF (SPY) Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. SPDR S&P 500 ETF (SPY) had 30-Day Implied Volatility (Mean) of 0.1165 for 2021-06-04. VOLKSWAGEN AG (VWAGY) Net Income: Company's net profit or loss after all revenues, income items, and expenses have been accounted for. Because this figure is given after preferred dividend expense, it is the net income value allotted to common shareholders. Volkswagen AG (VWAGY) had Net Income of $9.52B for the most recently reported fiscal year, ending2020-12-31.
GENERAL MOTORS COMPANY (GM) Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. General Motors Company (GM) had 30-Day Implied Volatility (Mean) of UNDER ARMOUR, INC. (UAA) Current Ratio: A liquidity ratio that measures a company's ability to pay short-term obligations. Calculated as: Total Current Assets / Total Current Liabilities. Under Armour, Inc. (UAA) had Current Ratio of 2.56 for the most recently reported fiscal quarter, ending2021-03-31.
TESLA, INC. (TSLA)
Expense Ratio: A measure of profitability used by an insurance company to indicate how well it is performing in its daily operations. The expense ratio is calculated by taking the operating expenses and then dividing them by earned premium. Calculated as: (Total Operating Expenses - Underwriting Losses Total) / Net Premiums EarnedWALMART INC. (WMT)
Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. Walmart Inc. (WMT) had 30-Day Implied Volatility (Mean) of 0.1483 for 2021-06-02. THE WALT DISNEY COMPANY (DIS) Inventory Turnover: A ratio showing how many times a company's inventory is sold and replaced over a period. Calculated as: Cost of Goods Sold / Total Inventory. The Walt Disney Company (DIS) had Inventory Turnover of 27.72 for the most recently reported fiscal year, ending 2020-09-30.FACEBOOK, INC. (FB)
On 2021-04-28, Facebook, Inc. (FB) announced earnings per share of $3.30 for the fiscal quarter ending 2021-03-31, beating the average analyst estimate of $2.36.. The next expected annoucement date for quarterly earnings is 2021-07-29, with an average estimated earnings per share of $3.03 for the fiscal quarter ending 2021-06-30.. Note: Earnings figures are calculated as diluted AMAZON.COM, INC. (AMZN) On 2021-04-29, Amazon.com, Inc. (AMZN) announced earnings per share of $15.79 for the fiscal quarter ending 2021-03-31, beating the average analyst estimate of $9.75.. The next expected annoucement date for quarterly earnings is 2021-07-29, with an average estimated earnings per share of $11.84 for the fiscal quarter ending 2021-06-30.. Note: Earnings figures are calculated as dilutedFACEBOOK, INC. (FB)
Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. Facebook, Inc. (FB) had 30-Day Implied Volatility (Mean) of 0.2430 for 2021-06-02. SPDR S&P 500 ETF (SPY) Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. SPDR S&P 500 ETF (SPY) had 30-Day Implied Volatility (Mean) of 0.1165 for 2021-06-04. VOLKSWAGEN AG (VWAGY) Net Income: Company's net profit or loss after all revenues, income items, and expenses have been accounted for. Because this figure is given after preferred dividend expense, it is the net income value allotted to common shareholders. Volkswagen AG (VWAGY) had Net Income of $9.52B for the most recently reported fiscal year, ending2020-12-31.
GENERAL MOTORS COMPANY (GM) Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. General Motors Company (GM) had 30-Day Implied Volatility (Mean) of UNDER ARMOUR, INC. (UAA) Current Ratio: A liquidity ratio that measures a company's ability to pay short-term obligations. Calculated as: Total Current Assets / Total Current Liabilities. Under Armour, Inc. (UAA) had Current Ratio of 2.56 for the most recently reported fiscal quarter, ending2021-03-31.
TESLA, INC. (TSLA)
Expense Ratio: A measure of profitability used by an insurance company to indicate how well it is performing in its daily operations. The expense ratio is calculated by taking the operating expenses and then dividing them by earned premium. Calculated as: (Total Operating Expenses - Underwriting Losses Total) / Net Premiums EarnedWALMART INC. (WMT)
Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. Walmart Inc. (WMT) had 30-Day Implied Volatility (Mean) of 0.1483 for 2021-06-02. THE WALT DISNEY COMPANY (DIS) Inventory Turnover: A ratio showing how many times a company's inventory is sold and replaced over a period. Calculated as: Cost of Goods Sold / Total Inventory. The Walt Disney Company (DIS) had Inventory Turnover of 27.72 for the most recently reported fiscal year, ending 2020-09-30. QUERY TOOL - ALPHAQUERY The Query Tool enables you to run a custom query on the database of securities, using any set of fields from a list hundreds of variables. Enter an SQL SELECT query below, using the VAXCYTE, INC. (PCVX) Historical Volatility (Close-to-Close): The past volatility of the security over the selected time frame, calculated using the closing price on each trading day. Vaxcyte, Inc. (PCVX) had 90-Day Historical Volatility (Close-to-Close) of 0.7898 for 2021-06-04. SPDR S&P 500 ETF (SPY) Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. SPDR S&P 500 ETF (SPY) had 30-Day Implied Volatility (Mean) of 0.1165 for 2021-06-04. MILESTONE SCIENTIFIC, INC. (MLSS) Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. Milestone Scientific, Inc. (MLSS) 30-Day Implied Volatility (Mean) data GARRETT MOTION INC. (GTX) Current Ratio: A liquidity ratio that measures a company's ability to pay short-term obligations. Calculated as: Total Current Assets / Total Current Liabilities. Garrett Motion Inc. (GTX) had Current Ratio of 1.02 for the most recently reported fiscal year, ending 2020-12-31. MILESTONE SCIENTIFIC, INC. (MLSS) Put-Call Ratio (Volume): The ratio of puts traded to calls traded, for options with the relevant expiration date. Milestone Scientific, Inc.(MLSS) had 30-Day
MILESTONE SCIENTIFIC, INC. (MLSS) Put-Call Implied Volatility Ratio: The ratio of implied volatilities of the at-the-money puts to the at-the-money calls. Milestone Scientific, Inc. (MLSS) 30-Day Put-Call Implied Volatility Ratio data is not available for 2021-06-04. BRISTOW GROUP INC. (VTOL) Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. Bristow Group Inc. (VTOL) had 20-Day Implied Volatility (Mean) of 0.3940 for 2021-06-04.MOGO INC (MOGO)
Implied Volatility (Mean): The forecasted future volatility of the security over the selected time frame, derived from the average of the put and call implied volatilities for options with the relevant expiration date. Mogo Inc (MOGO) had 30-Day Implied Volatility (Mean) of 1.0186 for 2021-06-04. BRIDGETOWN HOLDINGS LIMITED (BTWN) Put-Call Ratio (Open Interest): The ratio of outstanding put contracts to outstanding call contracts at the close of the trading day, for options with the relevant expiration date. Bridgetown Holdings Limited (BTWN) had 30-Day Put-Call Ratio (Open Interest) of 0.2228 for2021-06-04.
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Each market day, we import comprehensive financial data from several sources, perform a multitude of calculations on top of the data, and consolidate the information into a single table with hundreds of variables, both fundamental and technical. All of these variables can be used with the Data Table tool, Stock Screenerand Query Tool .
* Profile
* Recent Price/Volume* High/Low Price
* High/Low Volume
* Money Flow
* Total Volume
* Percent Change in Price * New High/Low in Price * Consecutive Days/Weeks of Increasing/Decreasing Price * Consecutive Days/Weeks of Increasing/Decreasing Volume * New High/Low in Volume* Moving Averages
* Technical Indicators * Income Statement Financials * Balance Sheet Financials * Cash Flow Statement Financials * Fundamental Ratios* Earnings
* Dividends
* Percent Growth in Revenue/Net Income * New High/Low in Revenue/Net Income * Consecutive Quarters/Years of Increasing/Decreasing Revenue/NetIncome
* Splits
* Percentiles Within Industry of Price Performance * Percentiles Within Industry of Revenue/Net Income Growth * Percentiles Within Industry of Fundamental Ratios and Percentages * Percentiles Within Sector of Price Performance * Percentiles Within Sector of Revenue/Net Income Growth * Percentiles Within Sector of Fundamental Ratios and Percentages * Percentiles Within Market of Price Performance * Percentiles Within Market of Revenue/Net Income Growth * Percentiles Within Market of Fundamental Ratios and PercentagesProfile
NAME
DESCRIPTION
Ticker
The security's trading symbol.Security Name
The name of the security.Exchange
Exchange traded.
Sector
The company's economic sector.Industry
The company's industry.Free Float
Shares outstanding available to common shareholders on the open market, calculated as total shares outstanding times one minus the percentage held by insiders. Market Capitalization Market capitalization, calculated as current price times current shares outstanding, including all classes of common shares. Average Volume (Last 20 Days) Average daily volume in actual shares traded for the last 20trading days.
Beta (Past 60 Months) Stock return relative to the S&P 500 over the past 60 months, including dividends. Percentage Held By Insiders (Latest Annual Proxy Report) Percentage of shares outstanding held by insiders from the latest annual proxy report. Percentage Held By Institutions (Latest 13F Reports) Percentage of shares outstanding held by institutions from the latest 13F reports filed.Recent Price/Volume
NAME
DESCRIPTION
Closing Price
Closing price on the last trading day.Opening Price
Opening price on the last trading day.High Price
High price on the last trading day.Low Price
Low price on the last trading day.Volume
Volume on the last trading day. Previous Closing Price Closing price on the trading day before the last trading day. Previous Opening Price Opening price on the trading day before the last trading day.Previous High Price
High price on the trading day before the last trading day.Previous Low Price
Low price on the trading day before the last trading day.Previous Volume
Volume on the trading day before the last trading day.High/Low Price
NAME
DESCRIPTION
52-Week High Price
The security's 52-week high price, adjusting for splits anddividends.
26-Week High Price
The security's 26-week high price, adjusting for splits anddividends.
13-Week High Price
The security's 13-week high price, adjusting for splits anddividends.
4-Week High Price
The security's 4-week high price, adjusting for splits anddividends.
2-Week High Price
The security's 2-week high price, adjusting for splits anddividends.
1-Week High Price
The security's 1-week high price, adjusting for splits anddividends.
52-Week Low Price
The security's 52-week low price, adjusting for splits anddividends.
26-Week Low Price
The security's 26-week low price, adjusting for splits anddividends.
13-Week Low Price
The security's 13-week low price, adjusting for splits anddividends.
4-Week Low Price
The security's 4-week low price, adjusting for splits anddividends.
2-Week Low Price
The security's 2-week low price, adjusting for splits anddividends.
1-Week Low Price
The security's 1-week low price, adjusting for splits anddividends.
High/Low Volume
NAME
DESCRIPTION
52-Week High Volume
The security's 52-week high volume, adjusting for splits.26-Week High Volume
The security's 26-week high volume, adjusting for splits.13-Week High Volume
The security's 13-week high volume, adjusting for splits.4-Week High Volume
The security's 4-week high volume, adjusting for splits.2-Week High Volume
The security's 2-week high volume, adjusting for splits.1-Week High Volume
The security's 1-week high volume, adjusting for splits.52-Week Low Volume
The security's 52-week low volume, adjusting for splits.26-Week Low Volume
The security's 26-week low volume, adjusting for splits.13-Week Low Volume
The security's 13-week low volume, adjusting for splits.4-Week Low Volume
The security's 4-week low volume, adjusting for splits.2-Week Low Volume
The security's 2-week low volume, adjusting for splits.1-Week Low Volume
The security's 1-week low volume, adjusting for splits.Money Flow
NAME
DESCRIPTION
Total Money Flow, Past 52 Weeks The security's total money flow over the past 52 weeks. Money flow of a security for a given day is defined to be the average of the high, low, and closing prices multiplied by volume. Total Money Flow, Past 26 Weeks The security's total money flow over the past 26 weeks. Money flow of a security for a given day is defined to be the average of the high, low, and closing prices multiplied by volume. Total Money Flow, Past 13 Weeks The security's total money flow over the past 13 weeks. Money flow of a security for a given day is defined to be the average of the high, low, and closing prices multiplied by volume. Total Money Flow, Past 4 Weeks The security's total money flow over the past 4 weeks. Money flow of a security for a given day is defined to be the average of the high, low, and closing prices multiplied by volume. Total Money Flow, Past 2 Weeks The security's total money flow over the past 2 weeks. Money flow of a security for a given day is defined to be the average of the high, low, and closing prices multiplied by volume. Total Money Flow, Past Week The security's total money flow over the past week. Money flow of a security for a given day is defined to be the average of the high, low, and closing prices multiplied by volume. Total Money Flow, 1 Day The security's total money flow on the last trading day. Money flow of a security for a given day is defined to be the average of the high, low, and closing prices multiplied by volume.Total Volume
NAME
DESCRIPTION
Total Volume, Past 52 Weeks The security's total number of shares traded over the past 52 weeks. Volume on past days is adjusted for splits when calculating total volume over a period of time. Total Volume, Past 26 Weeks The security's total number of shares traded over the past 26 weeks. Volume on past days is adjusted for splits when calculating total volume over a period of time. Total Volume, Past 13 Weeks The security's total number of shares traded over the past 13 weeks. Volume on past days is adjusted for splits when calculating total volume over a period of time. Total Volume, Past 4 Weeks The security's total number of shares traded over the past 4 weeks. Volume on past days is adjusted for splits when calculating total volume over a period of time. Total Volume, Past 2 Weeks The security's total number of shares traded over the past 2 weeks. Volume on past days is adjusted for splits when calculating total volume over a period of time. Total Volume, Past Week The security's total number of shares traded over the past week. Volume on past days is adjusted for splits when calculating total volume over a period of time. Percent Change in PriceNAME
DESCRIPTION
Percent Change in Price, Past 52 Weeks The security's close-to-close percent change in price over the past52 weeks.
Percent Change in Price, Past 26 Weeks The security's close-to-close percent change in price over the past26 weeks.
Percent Change in Price, Past 13 Weeks The security's close-to-close percent change in price over the past13 weeks.
Percent Change in Price, Past 4 Weeks The security's close-to-close percent change in price over the past4 weeks.
Percent Change in Price, Past 2 Weeks The security's close-to-close percent change in price over the past2 weeks.
Percent Change in Price, Past Week The security's close-to-close percent change in price over the pastweek.
Percent Change in Price, 1 Day The security's close-to-close percent change in price on the lasttrading day.
New High/Low in PriceNAME
DESCRIPTION
Reached New 52-Week High Price Indicates if the security reached a new 52-week high price on the last trading day. Value is 1 (True) or 0 (False). Reached New 26-Week High Price Indicates if the security reached a new 26-week high price on the last trading day. Value is 1 (True) or 0 (False). Reached New 13-Week High Price Indicates if the security reached a new 13-week high price on the last trading day. Value is 1 (True) or 0 (False). Reached New 4-Week High Price Indicates if the security reached a new 4-week high price on the last trading day. Value is 1 (True) or 0 (False). Reached New 2-Week High Price Indicates if the security reached a new 2-week high price on the last trading day. Value is 1 (True) or 0 (False). Reached New 1-Week High Price Indicates if the security reached a new 1-week high price on the last trading day. Value is 1 (True) or 0 (False). Reached New 52-Week Low Price Indicates if the security reached a new 52-week low price on the last trading day. Value is 1 (True) or 0 (False). Reached New 26-Week Low Price Indicates if the security reached a new 26-week low price on the last trading day. Value is 1 (True) or 0 (False). Reached New 13-Week Low Price Indicates if the security reached a new 13-week low price on the last trading day. Value is 1 (True) or 0 (False). Reached New 4-Week Low Price Indicates if the security reached a new 4-week low price on the last trading day. Value is 1 (True) or 0 (False). Reached New 2-Week Low Price Indicates if the security reached a new 2-week low price on the last trading day. Value is 1 (True) or 0 (False). Reached New 1-Week Low Price Indicates if the security reached a new 1-week low price on the last trading day. Value is 1 (True) or 0 (False). Consecutive Days/Weeks of Increasing/Decreasing PriceNAME
DESCRIPTION
Consecutive Days of Increasing Price The number of consecutive trading days the security has had a close-to-close increase in price. Consecutive Weeks of Increasing Price The number of consecutive weeks the security has had a close-to-close increase in price. Consecutive Days of Decreasing Price The number of consecutive trading days the security has had a close-to-close decrease in price. Consecutive Weeks of Decreasing Price The number of consecutive weeks the security has had a close-to-close decrease in price. Consecutive Days/Weeks of Increasing/Decreasing VolumeNAME
DESCRIPTION
Consecutive Days of Increasing Volume The number of consecutive trading days the security has hadincreasing volume.
Consecutive Weeks of Increasing Volume The number of consecutive weeks the security has had increasingweekly volume.
Consecutive Days of Decreasing Volume The number of consecutive trading days the security has haddecreasing volume.
Consecutive Weeks of Decreasing Volume The number of consecutive weeks the security has had decreasingweekly volume.
New High/Low in VolumeNAME
DESCRIPTION
Had New 52-Week High Volume Indicates if the security had a new 52-week high volume on the last trading day. Value is 1 (True) or 0 (False). Had New 26-Week High Volume Indicates if the security had a new 26-week high volume on the last trading day. Value is 1 (True) or 0 (False). Had New 13-Week High Volume Indicates if the security had a new 13-week high volume on the last trading day. Value is 1 (True) or 0 (False). Had New 4-Week High Volume Indicates if the security had a new 4-week high volume on the last trading day. Value is 1 (True) or 0 (False). Had New 2-Week High Volume Indicates if the security had a new 2-week high volume on the last trading day. Value is 1 (True) or 0 (False). Had New 1-Week High Volume Indicates if the security had a new 1-week high volume on the last trading day. Value is 1 (True) or 0 (False). Had New 52-Week Low Volume Indicates if the security had a new 52-week low volume on the last trading day. Value is 1 (True) or 0 (False). Had New 26-Week Low Volume Indicates if the security had a new 26-week low volume on the last trading day. Value is 1 (True) or 0 (False). Had New 13-Week Low Volume Indicates if the security had a new 13-week low volume on the last trading day. Value is 1 (True) or 0 (False). Had New 4-Week Low Volume Indicates if the security had a new 4-week low volume on the last trading day. Value is 1 (True) or 0 (False). Had New 2-Week Low Volume Indicates if the security had a new 2-week low volume on the last trading day. Value is 1 (True) or 0 (False). Had New 1-Week Low Volume Indicates if the security had a new 1-week low volume on the last trading day. Value is 1 (True) or 0 (False).Moving Averages
NAME
DESCRIPTION
Simple Moving Average (5-Day) The 5-day simple moving average of the security's closing price. Simple Moving Average (10-Day) The 10-day simple moving average of the security's closing price. Simple Moving Average (20-Day) The 20-day simple moving average of the security's closing price. Simple Moving Average (50-Day) The 50-day simple moving average of the security's closing price. Simple Moving Average (100-Day) The 100-day simple moving average of the security's closing price. Simple Moving Average (200-Day) The 200-day simple moving average of the security's closing price. Previous Simple Moving Average (5-Day) The 5-day simple moving average of the security's closing price, on the trading day before the last trading day. Previous Simple Moving Average (10-Day) The 10-day simple moving average of the security's closing price, on the trading day before the last trading day. Previous Simple Moving Average (20-Day) The 20-day simple moving average of the security's closing price, on the trading day before the last trading day. Previous Simple Moving Average (50-Day) The 50-day simple moving average of the security's closing price, on the trading day before the last trading day. Previous Simple Moving Average (100-Day) The 100-day simple moving average of the security's closing price, on the trading day before the last trading day. Previous Simple Moving Average (200-Day) The 200-day simple moving average of the security's closing price, on the trading day before the last trading day. Technical IndicatorsNAME
DESCRIPTION
MACD (12, 26, 9)
The value of the Moving Average Convergence Divergence (MACD) indicator with a 12-day fast period and a 26-day slow period. MACD (12, 26, 9) Signal The value of the Moving Average Convergence Divergence (MACD) signal line with a 12-day fast period, 26-day slow period, and 9-dayEMA signal line.
Previous MACD (12, 26, 9) The value of the Moving Average Convergence Divergence (MACD) indicator with a 12-day fast period and a 26-day slow period, on the trading day before the last trading day. Previous MACD (12, 26, 9) Signal The value of the Moving Average Convergence Divergence (MACD) signal line with a 12-day fast period, 26-day slow period, and 9-day EMA signal line, on the trading day before the last trading day.RSI (14-Day)
The value of the 14-day Relative Strength Index (RSI) on the lasttrading day.
Previous RSI (14-Day) The value of the 14-day Relative Strength Index (RSI) on the trading day before the last trading day. Stochastic (14, 3, 3) %K The value of the 14-day Stochastic Oscillator %K line with a 3-day %K smoothing period. Stochastic (14, 3, 3) %D The value of the 14-day Stochastic Oscillator %D line with a 3-day %K smoothing period and a 3-day %D period. Previous Stochastic (14, 3, 3) %K The value of the 14-day Stochastic Oscillator %K line with a 3-day %K smoothing period, on the trading day before the last trading day. Previous Stochastic (14, 3, 3) %D The value of the 14-day Stochastic Oscillator %D line with a 3-day %K smoothing period and a 3-day %D period, on the trading day before the last trading day. Upper Bollinger Band (20, 2) The value of the 20-day, 2-standard-deviation upper Bollinger Band on the last trading day. Lower Bollinger Band (20, 2) The value of the 20-day, 2-standard-deviation lower Bollinger Band on the last trading day. Previous Upper Bollinger Band (20, 2) The value of the 20-day, 2-standard-deviation upper Bollinger Band on the last trading day before the last trading day. Previous Lower Bollinger Band (20, 2) The value of the 20-day, 2-standard-deviation lower Bollinger Band on the last trading day before the last trading day. Income Statement FinancialsNAME
DESCRIPTION
Quarterly Revenue (MRQ) The revenue for the most recent fiscal quarter. Quarterly Net Income (MRQ) The net income for the most recent fiscal quarter. Previous Quarterly Revenue (QoQ) The revenue for the fiscal quarter before the most recent fiscalquarter.
Previous Quarterly Revenue (YoY) The revenue for the fiscal quarter one year prior to the most recent fiscal quarter. Previous Quarterly Net Income (QoQ) The net income for the fiscal quarter before the most recent fiscalquarter.
Previous Quarterly Net Income (YoY) The net income for the fiscal quarter one year prior to the most recent fiscal quarter.Revenue (MRY)
The sum of all revenue fields included for a company's operating activities. Value is for the most recent fiscal year.Net Income (MRY)
Company's net profit or loss after all revenues, income items, and expenses have been accounted for. Because this figure is given after preferred dividend expense, it is the net income value allotted to common shareholders. Value is for the most recent fiscal year. Previous Annual Revenue The revenue for the fiscal year before the most recent fiscal year.Previous Net Income
The net income for the fiscal year before the most recent fiscalyear.
Cost of Goods Sold (MRY) The difference between beginning and ending inventories for tangible products, resulting in an expense that reflects production and sales costs. Value is for the most recent fiscal year.Gross Profit (MRY)
Revenues from operations less the associated costs. Value is for the most recent fiscal year. Operating Expenses (MRY) The sum of all operating expenses for the given industry. Value is for the most recent fiscal year. Operating Income (MRY) The income after operating expenses. Value is for the most recentfiscal year.
Non-Operating Income/Expense (MRY) The sum of all non-operating expenses for the given industry. Value is for the most recent fiscal year. Pre-Tax Income (MRY) Company's earnings or loss before taxes on income have been accounted for. Value is for the most recent fiscal year. Normalized Pre-Tax Income (MRY) A company's income before income tax expense smoothed out by removing non-recurring items. Value is for the most recent fiscalyear.
Income after Taxes (MRY) Earnings or losses after income tax expense but before minority interest, extraordinary items, discontinued operations, preferred dividends and accounting changes have been accounted for. Value is for the most recent fiscal year. Income from Continuous Operations (MRY) A company's total income or loss before discontinued operations, extraordinary items, preferred stock dividends and accounting change. Value is for the most recent fiscal year. Consolidated Net Income/Loss (MRY) A company's total income or loss before preferred stock dividends. Value is for the most recent fiscal year. Normalized Income after Taxes (MRY) A company's after tax profit or loss smoothed out by elimination of all non-recurring items. Value is for the most recent fiscal year.EBIT (MRY)
Income before interest and taxes. Value is for the most recentfiscal year.
EBITDA (MRY)
Income before interest, taxes, depreciation and amortization. Value is for the most recent fiscal year. Balance Sheet FinancialsNAME
DESCRIPTION
Current Assets (MRQ) The sum of all assets that are classified as current, because they will provide a benefit within one year. Value is for the most recentfiscal quarter.
Property, Plant, and Equipment (MRQ) The sum of all net property, plant & Equipment fields. Where companies do not report a break down of plant, property, & equipment, the value is entered in this field alone. Value is for the most recentfiscal quarter.
Long-Term Assets (MRQ) The sum of all assets classified as non-current. Value is for the most recent fiscal quarter.Total Assets (MRQ)
The sum of all assets on a company's balance sheet. Value is for the most recent fiscal quarter. Current Liabilities (MRQ) The sum of all liabilities classified as current for having maturities of less than one year. Value is for the most recent fiscalquarter.
Long-Term Debt (MRQ) The sum of all long term debt fields. Value is for the most recentfiscal quarter.
Long-Term Liabilities (MRQ) The sum of all non-current liabilities. Value is for the most recent fiscal quarter. Total Liabilities (MRQ) The total value of all possible claims against the corporation. Value is for the most recent fiscal quarter.Common Equity (MRQ)
The sum of all common equity items. Value is for the most recentfiscal quarter.
Tangible Shareholders Equity (MRQ) The value shareholders equity less intangible assets. Value is for the most recent fiscal quarter. Shareholders Equity (MRQ) The sum of preferred and common equity items. Value is for the most recent fiscal quarter. Common Shares Outstanding (MRQ) The number of class A shares currently held by investors. Value is for the most recent fiscal quarter. Cash Flow Statement FinancialsNAME
DESCRIPTION
Cash Flow from Operating Activities (MRY) A company's cash flows from operations. Value is for the mostrecent fiscal year.
Cash Flow from Investing Activities (MRY) The total change in cash resulting from a company's investments. Value is for the most recent fiscal year. Cash Flow from Financial Activities (MRY) The net amount of cash transactions used in funding activities. Value is for the most recent fiscal year. Beginning Cash (MRY) The amount of cash reported by the company on its previous statement. Value is for the most recent fiscal year.End Cash (MRY)
The amount of cash held by the company for the given period. Value is for the most recent fiscal year. Increase/Decrease in Cash (MRY) The total change in cash for the company over the given period. Value is for the most recent fiscal year.Fundamental Ratios
NAME
DESCRIPTION
PE Ratio (Current Year Earnings Estimate) Price to earnings (PE) ratio using current price over mean EPS estimate before non-recurring items for the current fiscal year. PE Ratio (Trailing 12 Months) Price to earnings (PE) ratio using current price over trailing 12 months of EPS estimate before non-recurring items. PEG Ratio (Long Term Growth Estimate) Price to earnings growth (PEG) ratio, F1 P/E Ratio divided by the Long Term Growth rate estimate. Price to Sales Ratio (Trailing 12 Months) Current price over trailing 12 months of total revenues. Price to Book Ratio (Most Recent Quarterly Book Value per Share) Current price over most current available quarterly book value percommon share.
Price to Cash Ratio (Most Recent Annual Cash Flow per Share) Current price over most current available annual cash flow percommon share.
Pre-Tax Margin (Trailing 12 Months) Pre-tax margin for the most recent trailing twelve month period, Pre-Tax Income divided by Net Sales. Net Margin (Trailing 12 Months) Net margin for the most recent trailing twelve month period, GAAP Net Income divided by Net Sales. Return on Equity (Trailing 12 Months) Return on common equity for the most recent trailing twelve month period, TTM Net Income divided by Avg Total Common Equity. Return on Assets (Trailing 12 Months) Return on assets for the most recent trailing twelve month period, TTM Net Income divided by Avg Total Assets. Current Ratio (Most Recent Fiscal Quarter) Most recent quarter current ratio: Current Assets divided by Current Liabilities. Quick Ratio (Most Recent Fiscal Quarter) Most recent reported quarter quick ratio, (Current Assets - Inventory) divided by Current Liabilities. Debt to Common Equity (Most Recent Fiscal Quarter) Most recent reported quarter's Total Long-Term debt over most recent quarter's Total Common Equity. Inventory Turnover (Trailing 12 Months) Inventory turnover: Cost of Goods Sold (trailing 12 months) divided by 4 Qtrs Avg Total Inventory. Book Value per Share (Most Recent Fiscal Quarter) Most recent quarterly book value per common share.Earnings
NAME
DESCRIPTION
Fiscal Period End, Next Quarterly Earnings Report The end date of the next fiscal quarter to have earnings reported. Quarterly Earnings per Share Estimate The consensus earnings per share (EPS) estimate for the next fiscal quarter to be reported. Next Expected Quarterly Earnings Report Date The date of the next expected quarterly earnings report. Days Until Next Expected Quarterly Earnings Report The number of days until the next expected quarterly earningsreport.
Fiscal Period End, Last Quarterly Earnings Report The end date of the last fiscal quarter to have earnings reported. Last Quarterly Earnings per Share Estimate The consensus earnings per share (EPS) estimate for the last fiscal quarter to be reported. Last Quarterly Earnings per Share Actual earnings per share (EPS) for the last reported fiscalquarter.
Last Quarterly Earnings Report Date The date of the last quarterly earnings report. Days Since Last Quarterly Earnings Report The number of days since the last quarterly earnings report. Earnings per Share (Most Recent Fiscal Year) Actual earnings per share (EPS) for the last reported fiscal year(FR0).
Diluted Earnings per Share (Trailing 12 Months) Diluted earnings per share (EPS) for the most recent trailing 12months.
Dividends
NAME
DESCRIPTION
Last Dividend Date
The last date the security went ex-dividend. Last Dividend Amount The amount of the last dividend. Days Since Last Dividend The number of days since the security's last ex-dividend date. Annual Dividend (Based on Last Quarter) Indicated annual dividend (IAD), based on the dividend paid lastquarter.
Dividend Yield (Based on Last Quarter) Indicated Annual Dividend (IAD) divided by Price Per Share. Percent Growth in Revenue/Net IncomeNAME
DESCRIPTION
Percent Growth in Quarterly Revenue (QoQ) The percent growth in quarterly revenue between the most recent twofiscal quarters.
Percent Growth in Quarterly Revenue (YoY) The percent growth in quarterly revenue between the most recent fiscal quarter and the corresponding fiscal quarter one year prior. Percent Growth in Annual Revenue The percent growth in annual revenue between the most recent twofiscal years.
Percent Growth in Quarterly Net Income (QoQ) The percent growth in quarterly net income between the most recent two fiscal quarters. Percent Growth in Quarterly Net Income (YoY) The percent growth in quarterly net income between the most recent fiscal quarter and the corresponding fiscal quarter one year prior. Percent Growth in Annual Net Income The percent growth in annual net income between the most recent twofiscal years.
New High/Low in Revenue/Net IncomeNAME
DESCRIPTION
New 5-Year High Annual Revenue Indicates if the company had its highest annual revenue in 5 years, in the most recent fiscal year. Value is 1 (True) or 0 (False). New 5-Year Low Annual Revenue Indicates if the company had its lowest annual revenue in 5 years, in the most recent fiscal year. Value is 1 (True) or 0 (False). New 5-Year High Quarterly Revenue (QoQ) Indicates if the company had its highest quarterly revenue in 5 years, in the most recent fiscal quarter. Value is 1 (True) or 0(False).
New 5-Year Low Quarterly Revenue (QoQ) Indicates if the company had its lowest quarterly revenue in 5 years, in the most recent fiscal quarter. Value is 1 (True) or 0(False).
New 5-Year High Quarterly Revenue (YoY) Indicates if the company had its highest quarterly revenue in 5 years, in the most recent fiscal quarter, on a year-over-year basis. Value is 1 (True) or 0 (False). New 5-Year Low Quarterly Revenue (YoY) Indicates if the company had its lowest quarterly revenue in 5 years, in the most recent fiscal quarter, on a year-over-year basis. Value is 1 (True) or 0 (False). New 5-Year High Annual Net Income Indicates if the company had its highest annual net income in 5 years, in the most recent fiscal year. Value is 1 (True) or 0 (False). New 5-Year Low Annual Net Income Indicates if the company had its lowest annual net income in 5 years, in the most recent fiscal year. Value is 1 (True) or 0 (False). New 5-Year High Quarterly Net Income (QoQ) Indicates if the company had its highest quarterly net income in 5 years, in the most recent fiscal quarter. Value is 1 (True) or 0(False).
New 5-Year Low Quarterly Net Income (QoQ) Indicates if the company had its lowest quarterly net income in 5 years, in the most recent fiscal quarter. Value is 1 (True) or 0(False).
New 5-Year High Quarterly Net Income (YoY) Indicates if the company had its highest quarterly net income in 5 years, in the most recent fiscal quarter, on a year-over-year basis. Value is 1 (True) or 0 (False). New 5-Year Low Quarterly Net Income (YoY) Indicates if the company had its lowest quarterly net income in 5 years, in the most recent fiscal quarter, on a year-over-year basis. Value is 1 (True) or 0 (False). Consecutive Quarters/Years of Increasing/Decreasing Revenue/NetIncome
NAME
DESCRIPTION
Consecutive Quarters of Increasing Revenue (QoQ) The number of consecutive fiscal quarters the company has hadincreasing revenue.
Consecutive Quarters of Decreasing Revenue (QoQ) The number of consecutive fiscal quarters the company has haddecreasing revenue.
Consecutive Quarters of Increasing Revenue (YoY) The number of consecutive fiscal quarters the company has had an increase in revenue from the fiscal quarter one year prior. Consecutive Quarters of Decreasing Revenue (YoY) The number of consecutive fiscal quarters the company has had a decrease in revenue from the fiscal quarter one year prior. Consecutive Years of Increasing Revenue The number of consecutive fiscal years the company has hadincreasing revenue.
Consecutive Years of Decreasing Revenue The number of consecutive fiscal years the company has haddecreasing revenue.
Consecutive Quarters of Increasing Net Income (QoQ) The number of consecutive fiscal quarters the company has had increasing net income. Consecutive Quarters of Decreasing Net Income (QoQ) The number of consecutive fiscal quarters the company has had decreasing net income. Consecutive Quarters of Increasing Net Income (YoY) The number of consecutive fiscal quarters the company has had an increase in net income from the fiscal quarter one year prior. Consecutive Quarters of Decreasing Net Income (YoY) The number of consecutive fiscal quarters the company has had a decrease in net income from the fiscal quarter one year prior. Consecutive Years of Increasing Net Income The number of consecutive fiscal years the company has had increasing net income. Consecutive Years of Decreasing Net Income The number of consecutive fiscal years the company has had decreasing net income.Splits
NAME
DESCRIPTION
Last Split Date (if within past year) The date of the security's last stock split, if there has been a split within the past year. Last Split Ratio (if within past year) The share ratio of the security's last stock split, if there has been a split within the past year. Days Since Last Split (if within past year) The number of days since the security's last stock split, if there has been a split within the past year. Percentiles Within Industry of Price PerformanceNAME
DESCRIPTION
Percentile Within Industry, Percent Change in Price, Past 52 Weeks The security's percentile within its industry of the close-to-close percent change in price over the past 52 weeks. Percentile Within Industry, Percent Change in Price, Past 26 Weeks The security's percentile within its industry of the close-to-close percent change in price over the past 26 weeks. Percentile Within Industry, Percent Change in Price, Past 13 Weeks The security's percentile within its industry of the close-to-close percent change in price over the past 13 weeks. Percentile Within Industry, Percent Change in Price, Past 4 Weeks The security's percentile within its industry of the close-to-close percent change in price over the past 4 weeks. Percentile Within Industry, Percent Change in Price, Past 2 Weeks The security's percentile within its industry of the close-to-close percent change in price over the past 2 weeks. Percentile Within Industry, Percent Change in Price, Past Week The security's percentile within its industry of the close-to-close percent change in price over the past week. Percentile Within Industry, Percent Change in Price, 1 Day The security's percentile within its industry of the close-to-close percent change in price on the last trading day. Percentiles Within Industry of Revenue/Net Income GrowthNAME
DESCRIPTION
Percentile Within Industry, Percent Growth in Quarterly Revenue(QoQ)
The security's percentile within its industry of the percent growth in quarterly revenue between the most recent two fiscal quarters. Percentile Within Industry, Percent Growth in Quarterly Revenue(YoY)
The security's percentile within its industry of the percent growth in quarterly revenue between the most recent fiscal quarter and the corresponding fiscal quarter one year prior. Percentile Within Industry, Percent Growth in Annual Revenue The security's percentile within its industry of the percent growth in annual revenue between the most recent two fiscal years. Percentile Within Industry, Percent Growth in Quarterly Net Income(QoQ)
The security's percentile within its industry of the percent growth in quarterly net income between the most recent two fiscal quarters. Percentile Within Industry, Percent Growth in Quarterly Net Income(YoY)
The security's percentile within its industry of the percent growth in quarterly net income between the most recent fiscal quarter and the corresponding fiscal quarter one year prior. Percentile Within Industry, Percent Growth in Annual Net Income The security's percentile within its industry of the percent growth in annual net income between the most recent two fiscal years. Percentiles Within Industry of Fundamental Ratios and PercentagesNAME
DESCRIPTION
Percentile Within Industry, PE Ratio (Current Year EarningsEstimate)
The security's percentile within its industry of price to earnings (PE) ratio using current price over mean EPS estimate before non-recurring items for the current fiscal year. Percentile Within Industry, PE Ratio (Trailing 12 Months) The security's percentile within its industry of price to earnings (PE) ratio using current price over trailing 12 months of EPS estimate before non-recurring items. Percentile Within Industry, PEG Ratio (Long Term Growth Estimate) The security's percentile within its industry of price to earnings growth (PEG) ratio, F1 P/E Ratio divided by the Long Term Growth rateestimate.
Percentile Within Industry, Price to Sales Ratio (Trailing 12Months)
The security's percentile within its industry of current price over trailing 12 months of total revenues. Percentile Within Industry, Price to Book Ratio (Most Recent Quarterly Book Value per Share) The security's percentile within its industry of current price over most current available quarterly book value per common share. Percentile Within Industry, Price to Cash Ratio (Most Recent Annual Cash Flow per Share) The security's percentile within its industry of current price over most current available annual cash flow per common share. Percentile Within Industry, Pre-Tax Margin (Trailing 12 Months) The security's percentile within its industry of pre-tax margin for the most recent trailing twelve month period, Pre-Tax Income dividedby Net Sales.
Percentile Within Industry, Net Margin (Trailing 12 Months) The security's percentile within its industry of net margin for the most recent trailing twelve month period, GAAP Net Income divided byNet Sales.
Percentile Within Industry, Return on Equity (Trailing 12 Months) The security's percentile within its industry of return on common equity for the most recent trailing twelve month period, TTM Net Income divided by Avg Total Common Equity. Percentile Within Industry, Return on Assets (Trailing 12 Months) The security's percentile within its industry of return on assets for the most recent trailing twelve month period, TTM Net Income divided by Avg Total Assets. Percentile Within Industry, Current Ratio (Most Recent FiscalQuarter)
The security's percentile within its industry of most recent quarter current ratio: Current Assets divided by Current Liabilities. Percentile Within Industry, Quick Ratio (Most Recent FiscalQuarter)
The security's percentile within its industry of most recent reported quarter quick ratio, (Current Assets - Inventory) divided by Current Liabilities. Percentile Within Industry, Debt to Common Equity (Most RecentFiscal Quarter)
The security's percentile within its industry of most recent reported quarter's Total Long-Term debt over most recent quarter's Total Common Equity. Percentile Within Industry, Inventory Turnover (Trailing 12 Months) The security's percentile within its industry of inventory turnover: Cost of Goods Sold (trailing 12 months) divided by 4 Qtrs Avg Total Inventory. Percentile Within Industry, Dividend Yield (Based on Last Quarter) The security's percentile within its industry of indicated Annual Dividend (IAD) divided by Price Per Share. Percentile Within Industry, Percentage Held By Insiders (Latest Annual Proxy Report) The security's percentile within its industry of percentage of shares outstanding held by insiders from the latest annual proxyreport.
Percentile Within Industry, Percentage Held By Institutions (Latest13F Reports)
The security's percentile within its industry of percentage of shares outstanding held by institutions from the latest 13F reportsfiled.
Percentiles Within Sector of Price PerformanceNAME
DESCRIPTION
Percentile Within Sector, Percent Change in Price, Past 52 Weeks The security's percentile within its sector of the close-to-close percent change in price over the past 52 weeks. Percentile Within Sector, Percent Change in Price, Past 26 Weeks The security's percentile within its sector of the close-to-close percent change in price over the past 26 weeks. Percentile Within Sector, Percent Change in Price, Past 13 Weeks The security's percentile within its sector of the close-to-close percent change in price over the past 13 weeks. Percentile Within Sector, Percent Change in Price, Past 4 Weeks The security's percentile within its sector of the close-to-close percent change in price over the past 4 weeks. Percentile Within Sector, Percent Change in Price, Past 2 Weeks The security's percentile within its sector of the close-to-close percent change in price over the past 2 weeks. Percentile Within Sector, Percent Change in Price, Past Week The security's percentile within its sector of the close-to-close percent change in price over the past week. Percentile Within Sector, Percent Change in Price, 1 Day The security's percentile within its sector of the close-to-close percent change in price on the last trading day. Percentiles Within Sector of Revenue/Net Income GrowthNAME
DESCRIPTION
Percentile Within Sector, Percent Growth in Quarterly Revenue (QoQ) The security's percentile within its sector of the percent growth in quarterly revenue between the most recent two fiscal quarters. Percentile Within Sector, Percent Growth in Quarterly Revenue (YoY) The security's percentile within its sector of the percent growth in quarterly revenue between the most recent fiscal quarter and the corresponding fiscal quarter one year prior. Percentile Within Sector, Percent Growth in Annual Revenue The security's percentile within its sector of the percent growth in annual revenue between the most recent two fiscal years. Percentile Within Sector, Percent Growth in Quarterly Net Income(QoQ)
The security's percentile within its sector of the percent growth in quarterly net income between the most recent two fiscal quarters. Percentile Within Sector, Percent Growth in Quarterly Net Income(YoY)
The security's percentile within its sector of the percent growth in quarterly net income between the most recent fiscal quarter and the corresponding fiscal quarter one year prior. Percentile Within Sector, Percent Growth in Annual Net Income The security's percentile within its sector of the percent growth in annual net income between the most recent two fiscal years. Percentiles Within Sector of Fundamental Ratios and PercentagesNAME
DESCRIPTION
Percentile Within Sector, PE Ratio (Current Year Earnings Estimate) The security's percentile within its sector of price to earnings (PE) ratio using current price over mean EPS estimate before non-recurring items for the current fiscal year. Percentile Within Sector, PE Ratio (Trailing 12 Months) The security's percentile within its sector of price to earnings (PE) ratio using current price over trailing 12 months of EPS estimate before non-recurring items. Percentile Within Sector, PEG Ratio (Long Term Growth Estimate) The security's percentile within its sector of price to earnings growth (PEG) ratio, F1 P/E Ratio divided by the Long Term Growth rateestimate.
Percentile Within Sector, Price to Sales Ratio (Trailing 12 Months) The security's percentile within its sector of current price over trailing 12 months of total revenues. Percentile Within Sector, Price to Book Ratio (Most Recent Quarterly Book Value per Share) The security's percentile within its sector of current price over most current available quarterly book value per common share. Percentile Within Sector, Price to Cash Ratio (Most Recent Annual Cash Flow per Share) The security's percentile within its sector of current price over most current available annual cash flow per common share. Percentile Within Sector, Pre-Tax Margin (Trailing 12 Months) The security's percentile within its sector of pre-tax margin for the most recent trailing twelve month period, Pre-Tax Income dividedby Net Sales.
Percentile Within Sector, Net Margin (Trailing 12 Months) The security's percentile within its sector of net margin for the most recent trailing twelve month period, GAAP Net Income divided byNet Sales.
Percentile Within Sector, Return on Equity (Trailing 12 Months) The security's percentile within its sector of return on common equity for the most recent trailing twelve month period, TTM Net Income divided by Avg Total Common Equity. Percentile Within Sector, Return on Assets (Trailing 12 Months) The security's percentile within its sector of return on assets for the most recent trailing twelve month period, TTM Net Income divided by Avg Total Assets. Percentile Within Sector, Current Ratio (Most Recent FiscalQuarter)
The security's percentile within its sector of most recent quarter current ratio: Current Assets divided by Current Liabilities. Percentile Within Sector, Quick Ratio (Most Recent Fiscal Quarter) The security's percentile within its sector of most recent reported quarter quick ratio, (Current Assets - Inventory) divided by CurrentLiabilities.
Percentile Within Sector, Debt to Common Equity (Most Recent FiscalQuarter)
The security's percentile within its sector of most recent reported quarter's Total Long-Term debt over most recent quarter's Total CommonEquity.
Percentile Within Sector, Inventory Turnover (Trailing 12 Months) The security's percentile within its sector of inventory turnover: Cost of Goods Sold (trailing 12 months) divided by 4 Qtrs Avg TotalInventory.
Percentile Within Sector, Dividend Yield (Based on Last Quarter) The security's percentile within its sector of indicated Annual Dividend (IAD) divided by Price Per Share. Percentile Within Sector, Percentage Held By Insiders (Latest Annual Proxy Report) The security's percentile within its sector of percentage of shares outstanding held by insiders from the latest annual proxy report. Percentile Within Sector, Percentage Held By Institutions (Latest13F Reports)
The security's percentile within its sector of percentage of shares outstanding held by institutions from the latest 13F reports filed. Percentiles Within Market of Price PerformanceNAME
DESCRIPTION
Percentile Within Market, Percent Change in Price, Past 52 Weeks The security's percentile within the overall market of the close-to-close percent change in price over the past 52 weeks. Percentile Within Market, Percent Change in Price, Past 26 Weeks The security's percentile within the overall market of the close-to-close percent change in price over the past 26 weeks. Percentile Within Market, Percent Change in Price, Past 13 Weeks The security's percentile within the overall market of the close-to-close percent change in price over the past 13 weeks. Percentile Within Market, Percent Change in Price, Past 4 Weeks The security's percentile within the overall market of the close-to-close percent change in price over the past 4 weeks. Percentile Within Market, Percent Change in Price, Past 2 Weeks The security's percentile within the overall market of the close-to-close percent change in price over the past 2 weeks. Percentile Within Market, Percent Change in Price, Past Week The security's percentile within the overall market of the close-to-close percent change in price over the past week. Percentile Within Market, Percent Change in Price, 1 Day The security's percentile within the overall market of the close-to-close percent change in price on the last trading day. Percentiles Within Market of Revenue/Net Income GrowthNAME
DESCRIPTION
Percentile Within Market, Percent Growth in Quarterly Revenue (QoQ) The security's percentile within the overall market of the percent growth in quarterly revenue between the most recent two fiscalquarters.
Percentile Within Market, Percent Growth in Quarterly Revenue (YoY) The security's percentile within the overall market of the percent growth in quarterly revenue between the most recent fiscal quarter and the corresponding fiscal quarter one year prior. Percentile Within Market, Percent Growth in Annual Revenue The security's percentile within the overall market of the percent growth in annual revenue between the most recent two fiscal years. Percentile Within Market, Percent Growth in Quarterly Net Income(QoQ)
The security's percentile within the overall market of the percent growth in quarterly net income between the most recent two fiscalquarters.
Percentile Within Market, Percent Growth in Quarterly Net Income(YoY)
The security's percentile within the overall market of the percent growth in quarterly net income between the most recent fiscal quarter and the corresponding fiscal quarter one year prior. Percentile Within Market, Percent Growth in Annual Net Income The security's percentile within the overall market of the percent growth in annual net income between the most recent two fiscal years. Percentiles Within Market of Fundamental Ratios and PercentagesNAME
DESCRIPTION
Percentile Within Market, PE Ratio (Current Year Earnings Estimate) The security's percentile within the overall market of price to earnings (PE) ratio using current price over mean EPS estimate before non-recurring items for the current fiscal year. Percentile Within Market, PE Ratio (Trailing 12 Months) The security's percentile within the overall market of price to earnings (PE) ratio using current price over trailing 12 months of EPS estimate before non-recurring items. Percentile Within Market, PEG Ratio (Long Term Growth Estimate) The security's percentile within the overall market of price to earnings growth (PEG) ratio, F1 P/E Ratio divided by the Long Term Growth rate estimate. Percentile Within Market, Price to Sales Ratio (Trailing 12 Months) The security's percentile within the overall market of current price over trailing 12 months of total revenues. Percentile Within Market, Price to Book Ratio (Most Recent Quarterly Book Value per Share) The security's percentile within the overall market of current price over most current available quarterly book value per commonshare.
Percentile Within Market, Price to Cash Ratio (Most Recent Annual Cash Flow per Share) The security's percentile within the overall market of current price over most current available annual cash flow per common share. Percentile Within Market, Pre-Tax Margin (Trailing 12 Months) The security's percentile within the overall market of pre-tax margin for the most recent trailing twelve month period, Pre-Tax Income divided by Net Sales. Percentile Within Market, Net Margin (Trailing 12 Months) The security's percentile within the overall market of net margin for the most recent trailing twelve month period, GAAP Net Income divided by Net Sales. Percentile Within Market, Return on Equity (Trailing 12 Months) The security's percentile within the overall market of return on common equity for the most recent trailing twelve month period, TTM Net Income divided by Avg Total Common Equity. Percentile Within Market, Return on Assets (Trailing 12 Months) The security's percentile within the overall market of return on assets for the most recent trailing twelve month period, TTM Net Income divided by Avg Total Assets. Percentile Within Market, Current Ratio (Most Recent FiscalQuarter)
The security's percentile within the overall market of most recent quarter current ratio: Current Assets divided by Current Liabilities. Percentile Within Market, Quick Ratio (Most Recent Fiscal Quarter) The security's percentile within the overall market of most recent reported quarter quick ratio, (Current Assets - Inventory) divided by Current Liabilities. Percentile Within Market, Debt to Common Equity (Most Recent FiscalQuarter)
The security's percentile within the overall market of most recent reported quarter's Total Long-Term debt over most recent quarter's Total Common Equity. Percentile Within Market, Inventory Turnover (Trailing 12 Months) The security's percentile within the overall market of inventory turnover: Cost of Goods Sold (trailing 12 months) divided by 4 Qtrs Avg Total Inventory. Percentile Within Market, Dividend Yield (Based on Last Quarter) The security's percentile within the overall market of indicated Annual Dividend (IAD) divided by Price Per Share. Percentile Within Market, Percentage Held By Insiders (Latest Annual Proxy Report) The security's percentile within the overall market of percentage of shares outstanding held by insiders from the latest annual proxyreport.
Percentile Within Market, Percentage Held By Institutions (Latest13F Reports)
The security's percentile within the overall market of percentage of shares outstanding held by institutions from the latest 13F reportsfiled.
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