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Ship Finance International Limited, SSR Mining, Another 5 Companies Have A High Estimated Dividend Yield

Ship Finance International Limited, SSR Mining, Another 5 Companies Have A High Estimated Dividend Yield

Ship Finance International Limited、SSR Mining、另外5家公司的預計股息收益率很高
Via news ·  04/02 03:16

(VIANEWS) – Ship Finance International Limited (SFL), SSR Mining (SSRM), Landmark Bancorp (LARK)  have the highest dividend yield stocks on this list.

(VIANEWS)——船舶金融國際有限公司(SFL)、SSR Mining(SSRM)、Landmark Bancorp(LARK)的股息收益率是該清單上股息收益率最高的股票。

Financial Asset

Forward Dividend Yield

Updated (EST)

Ship Finance International Limited (SFL)

8.02%

2024-03-20 09:08:09

SSR Mining (SSRM)

5.96%

2024-04-01 23:10:06

Landmark Bancorp (LARK)

4.37%

2024-03-24 16:55:17

Nokia (NOK)

3.61%

2024-04-01 15:58:16

Cyclacel Pharmaceuticals (CYCCP)

3.24%

2024-03-23 01:09:07

FS Bancorp (FSBW)

3.11%

2024-03-23 19:06:08

American Eagle Outfitters (AEO)

2.16%

2024-03-16 02:23:06

金融資產

遠期股息收益率

已更新(美國東部標準時間)

船舶融資國際有限公司 (SFL)

8.02%

2024-03-20 09:08:09

SSR 挖礦 (SSRM)

5.96%

2024-04-01 23:10:06

Landmark Bancorp (LARK)

4.37%

2024-03-24 16:55:17

諾基亞 (NOK)

3.61%

2024-04-01 15:58:16

Cyclacel 製藥公司 (CYCCP)

3.24%

2024-03-23 01:09:07

FS Bancorp (FSBW)

3.11%

2024-03-23 19:06:08

American Eagle 服裝公司 (AEO)

2.16%

2024-03-16 02:23:06

A little less 2K companies listed in the Nasdaq and NYSE pay out dividends to its shareholders. The dividend yield is a dividend to price ratio showing how much a company pays out in dividends each year.

在納斯達克和紐約證券交易所上市的公司少了2K家向其股東派發股息。股息收益率是股息與價格的比率,顯示公司每年支付多少股息。

1. Ship Finance International Limited (SFL) – Dividend Yield: 8.02%

1。船舶融資國際有限公司(SFL)——股息收益率:8.02%

Ship Finance International Limited's last close was $12.97, 5.6% under its 52-week high of $13.74. Intraday change was -0.12%.

船舶融資國際有限公司的最後收盤價爲12.97美元,比其52周高點13.74美元低5.6%。盤中變動爲-0.12%。

SFL Corporation Ltd., a maritime and offshore asset owning and chartering company, engages in the ownership, operation, and chartering out of vessels and offshore related assets on medium and long-term charters. The company is also involved in the charter, purchase, and sale of assets. In addition, it operates in various sectors of the maritime, and shipping and offshore industries, including oil, chemical, oil product, container, and car transportation, as well as dry bulk shipments and drilling rigs. As of December 31, 2021, the company owned six crude oil tankers, 15 dry bulk carriers, 35 container vessels, two car carriers, one jack-up drilling rig, one ultra-deepwater drilling unit, two chemical tankers, and four oil product tankers. It primarily operates in Bermuda, Cyprus, Liberia, Norway, Singapore, the United Kingdom, and the Marshall Islands. The company was formerly known as Ship Finance International Limited and changed its name to SFL Corporation Ltd. in September 2019. SFL Corporation Ltd. was incorporated in 2003 and is based in Hamilton, Bermuda.

SFL Corporation Ltd. 是一家海事和離岸資產擁有和租船公司,通過中長期租船從事船舶和離岸相關資產的所有權、運營和租賃。該公司還參與資產的租賃、購買和出售。此外,它在海運、航運和近海行業的各個領域開展業務,包括石油、化工、石油產品、集裝箱和汽車運輸,以及幹散裝貨運輸和鑽機。截至2021年12月31日,該公司擁有六艘原油油輪、15艘幹散貨船、35艘集裝箱船、兩艘汽車運輸船、一臺自升式鑽機、一臺超深水鑽探裝置、兩艘化學品船和四艘成品油船。它主要在百慕大、塞浦路斯、利比里亞、挪威、新加坡、英國和馬紹爾群島開展業務。該公司前身爲船舶融資國際有限公司,並於2019年9月更名爲SFL Corporation Ltd.SFL Corporation Ltd. 成立於 2003 年,總部位於百慕大漢密爾頓。

Earnings Per Share

每股收益

As for profitability, Ship Finance International Limited has a trailing twelve months EPS of $0.66.

至於盈利能力,Ship Finance International Limited的每股收益爲0.66美元。

PE Ratio

市盈率

Ship Finance International Limited has a trailing twelve months price to earnings ratio of 19.63. Meaning, the purchaser of the share is investing $19.63 for every dollar of annual earnings.

船舶融資國際有限公司過去十二個月的市盈率爲19.63。這意味着,該股票的購買者每1美元的年收益將投資19.63美元。

The company's return on equity, which measures the profitability of a business relative to shareholder's equity, for the twelve trailing months is 7.88%.

該公司的股本回報率爲7.88%,用於衡量企業相對於股東權益的盈利能力。

Dividend Yield

股息收益率

As maintained by Morningstar, Inc., the next dividend payment is on Mar 14, 2024, the estimated forward annual dividend rate is 1.04 and the estimated forward annual dividend yield is 8.02%.

根據晨星公司的說法,下一次股息將在2024年3月14日支付,預計的遠期年度股息率爲1.04,預計的遠期年度股息收益率爲8.02%。

Earnings Before Interest, Taxes, Depreciation, and Amortization

利息、稅項、折舊和攤銷前的收益

Ship Finance International Limited's EBITDA is 5.56.

船舶融資國際有限公司的息稅折舊攤銷前利潤爲5.56。

Sales Growth

銷售增長

Ship Finance International Limited's sales growth is 28.3% for the ongoing quarter and 6.6% for the next.

船舶融資國際有限公司本季度的銷售增長爲28.3%,下一季度的銷售增長6.6%。

2. SSR Mining (SSRM) – Dividend Yield: 5.96%

2。SSR Mining (SSRM) — 股息收益率:5.96%

SSR Mining's last close was $4.70, 73.48% under its 52-week high of $17.72. Intraday change was 5.38%.

SSR Mining的最後收盤價爲4.70美元,比其52周高點17.72美元低73.48%。盤中變動爲5.38%。

SSR Mining Inc., together with its subsidiaries, engages in the acquisition, exploration, development, and operation of precious metal resource properties in Turkey and the Americas. The company explores for gold, silver, copper, lead, and zinc deposits. Its projects include the Çöpler Gold mine located in Erzincan, Turkey; the Marigold mine located in Humboldt County, Nevada, the United States; the Seabee Gold Operation located in Saskatchewan, Canada; and the Puna Operations in Jujuy, Argentina. The company was formerly known as Silver Standard Resources Inc. and changed its name to SSR Mining Inc. in August 2017. SSR Mining Inc. was incorporated in 1946 and is based in Denver, Colorado.

SSR Mining Inc. 及其子公司在土耳其和美洲從事貴金屬資源資產的收購、勘探、開發和運營。該公司勘探金、銀、銅、鉛和鋅礦牀。其項目包括位於土耳其埃爾津坎的Cpler金礦;位於美國內華達州洪堡縣的萬壽菊礦;位於加拿大薩斯喀徹溫省的Seabee黃金業務;以及位於阿根廷胡胡伊的普納業務。該公司前身爲白銀標準資源公司,並於2017年8月更名爲SSR Mining Inc.SSR 礦業公司成立於 1946 年,總部位於科羅拉多州丹佛市。

Earnings Per Share

每股收益

As for profitability, SSR Mining has a trailing twelve months EPS of $-0.48.

至於盈利能力,SSR Mining的每股收益爲-0.48美元。

The company's return on equity, which measures the profitability of a business relative to shareholder's equity, for the twelve trailing months is negative -2.85%.

該公司的股本回報率是衡量企業相對於股東權益的盈利能力,在過去十二個月中爲負-2.85%。

3. Landmark Bancorp (LARK) – Dividend Yield: 4.37%

3.Landmark Bancorp (LARK) — 股息收益率:4.37%

Landmark Bancorp's last close was $19.22, 11.75% under its 52-week high of $21.78. Intraday change was 0.1%.

Landmark Bancorp的最後收盤價爲19.22美元,比其52周高點21.78美元低11.75%。盤中變動爲0.1%。

Landmark Bancorp, Inc. operates as the financial holding company for Landmark National Bank that provides various financial and banking services to its local communities. It offers non-interest bearing demand, money market, checking, and savings accounts, as well as certificates of deposit. The company also provides one-to-four family residential real estate, construction and land, commercial real estate, commercial, paycheck protection program, municipal, and agriculture loans; and consumer and other loans, including automobile, boat, and home improvement and home equity loans, as well as insurance, and mobile and online banking services. In addition, the company invests in certain investment and mortgage-related securities. It operates in the eastern, central, southeast, and southwest Kansas. The company was founded in 1885 and is headquartered in Manhattan, Kansas.

Landmark Bancorp, Inc. 是Landmark National Bank的金融控股公司,該銀行爲當地社區提供各種金融和銀行服務。它提供非計息需求、貨幣市場、支票和儲蓄賬戶以及存款證。該公司還提供一至四戶家庭住宅房地產、建築和土地、商業地產、工資保護計劃、市政和農業貸款;以及消費者和其他貸款,包括汽車、船隻、家居裝修和房屋淨值貸款,以及保險、移動和網上銀行服務。此外,該公司還投資於某些投資和抵押貸款相關證券。它在堪薩斯州的東部、中部、東南部和西南部開展業務。該公司成立於1885年,總部位於堪薩斯州曼哈頓。

Earnings Per Share

每股收益

As for profitability, Landmark Bancorp has a trailing twelve months EPS of $2.23.

至於盈利能力,Landmark Bancorp的每股收益爲2.23美元。

PE Ratio

市盈率

Landmark Bancorp has a trailing twelve months price to earnings ratio of 8.62. Meaning, the purchaser of the share is investing $8.62 for every dollar of annual earnings.

Landmark Bancorp過去十二個月的市盈率爲8.62。這意味着,該股票的購買者每1美元的年收益將投資8.62美元。

The company's return on equity, which measures the profitability of a business relative to shareholder's equity, for the twelve trailing months is 10.27%.

該公司的股本回報率爲10.27%,用於衡量企業相對於股東權益的盈利能力。

Moving Average

移動平均線

Landmark Bancorp's value is below its 50-day moving average of $20.01 and above its 200-day moving average of $19.20.

Landmark Bancorp的價值低於其50天移動平均線20.01美元,也高於其200天移動平均線19.20美元。

Volume

音量

Today's last reported volume for Landmark Bancorp is 2012 which is 44.86% below its average volume of 3649.

Landmark Bancorp今天公佈的最後一次交易量是2012年,比其平均交易量3649筆低44.86%。

Yearly Top and Bottom Value

年度最高值和最低值

Landmark Bancorp's stock is valued at $19.22 at 03:15 EST, way below its 52-week high of $21.78 and way above its 52-week low of $15.70.

美國東部標準時間03點15分,Landmark Bancorp的股票估值爲19.22美元,遠低於其52周高點21.78美元,也遠高於其52周低點15.70美元。

4. Nokia (NOK) – Dividend Yield: 3.61%

4。諾基亞(NOK)——股息收益率:3.61%

Nokia's last close was $3.50, 29.58% under its 52-week high of $4.97. Intraday change was -1.13%.

諾基亞最後收盤價爲3.50美元,比其52周高點4.97美元低29.58%。盤中變動爲-1.13%。

Nokia Oyj provides mobile, fixed, and cloud network solutions worldwide. The company operates through four segments: Network Infrastructure, Mobile Networks, Cloud and Network Services, and Nokia Technologies. The company provides fixed networking solutions, such as fiber and copper-based access infrastructure, in-home Wi-Fi solutions, and cloud and virtualization services; IP networking solutions, including IP access, aggregation, and edge and core routing for residential, mobile, enterprise and cloud applications; optical networks solutions that provides optical transport networks for metro, regional, and long-haul applications, and subsea applications; and submarine networks for undersea cable transmission. It serves its products and services to communications service providers, webscales and hyperscalers, digital industries, and government. The company also offers mobile technology products and services for radio access networks and microwave radio links for transport networks, network management solutions, as well as network planning, optimization, network deployment, and technical support services. In addition, it offers cloud and network services, including core network solutions, such as voice and packet core; business applications, such as security, automation, and monetization; cloud and cognitive services; and enterprise solutions, including private wireless and industrial automation. Further, the company licenses intellectual property, including patents, technologies, and the Nokia brand. Nokia Oyj was founded in 1865 and is headquartered in Espoo, Finland.

諾基亞 Oyj 在全球範圍內提供移動、固定和雲網絡解決方案。該公司通過四個部門運營:網絡基礎設施、移動網絡、雲和網絡服務以及諾基亞技術。該公司提供固定網絡解決方案,例如光纖和銅基接入基礎設施、家庭Wi-Fi解決方案以及雲和虛擬化服務;IP網絡解決方案,包括用於住宅、移動、企業和雲應用的IP接入、聚合以及邊緣和核心路由;爲地鐵、區域和長途應用以及海底應用提供光傳輸網絡的光網絡解決方案;以及用於海底電纜傳輸的海底網絡。它向通信服務提供商、網絡秤和超大規模提供商、數字行業和政府提供其產品和服務。該公司還爲無線電接入網絡和傳輸網絡的微波無線電鏈路提供移動技術產品和服務、網絡管理解決方案以及網絡規劃、優化、網絡部署和技術支持服務。此外,它還提供雲和網絡服務,包括核心網絡解決方案,例如語音和分組核心;業務應用程序,例如安全、自動化和貨幣化;雲和認知服務;以及企業解決方案,包括私有無線和工業自動化。此外,該公司還許可知識產權,包括專利、技術和諾基亞品牌。諾基亞 Oyj 成立於 1865 年,總部位於芬蘭埃斯波。

Earnings Per Share

每股收益

As for profitability, Nokia has a trailing twelve months EPS of $0.13.

至於盈利能力,諾基亞十二個月的每股收益爲0.13美元。

PE Ratio

市盈率

Nokia has a trailing twelve months price to earnings ratio of 26.92. Meaning, the purchaser of the share is investing $26.92 for every dollar of annual earnings.

諾基亞過去十二個月的市盈率爲26.92。這意味着,該股票的購買者每1美元的年收益將投資26.92美元。

The company's return on equity, which measures the profitability of a business relative to shareholder's equity, for the twelve trailing months is 3.2%.

該公司的股本回報率爲3.2%,用於衡量企業相對於股東權益的盈利能力。

Dividend Yield

股息收益率

According to Morningstar, Inc., the next dividend payment is on Jan 29, 2024, the estimated forward annual dividend rate is 0.13 and the estimated forward annual dividend yield is 3.61%.

根據晨星公司的數據,下一次股息將在2024年1月29日支付,預計的遠期年度股息率爲0.13,預計的遠期年度股息收益率爲3.61%。

Earnings Before Interest, Taxes, Depreciation, and Amortization

利息、稅項、折舊和攤銷前的收益

Nokia's EBITDA is 0.75.

諾基亞的息稅折舊攤銷前利潤爲0.75。

Moving Average

移動平均線

Nokia's worth is below its 50-day moving average of $3.54 and under its 200-day moving average of $3.70.

諾基亞的價值低於其50天移動平均線3.54美元,也低於其200天移動平均線3.70美元。

Revenue Growth

收入增長

Year-on-year quarterly revenue growth declined by 23.4%, now sitting on 22.26B for the twelve trailing months.

季度收入同比增長了23.4%,在過去的十二個月中目前爲222.6億美元。

5. Cyclacel Pharmaceuticals (CYCCP) – Dividend Yield: 3.24%

5。Cyclacel 製藥(CYCCP)——股息收益率:3.24%

Cyclacel Pharmaceuticals's last close was $18.50, 16.67% below its 52-week high of $22.20. Intraday change was 7.12%.

Cyclacel Pharmicals的最後收盤價爲18.50美元,比其52周高點22.20美元低16.67%。盤中變動爲7.12%。

Cyclacel Pharmaceuticals, Inc., a clinical-stage biopharmaceutical company, develops medicines for the treatment of cancer and other proliferative diseases. The company's oncology development programs include fadraciclib, a cyclin dependent kinase Inhibitors (CDK) that is in Phase I clinical trial for the treatment of solid tumors, as well as in combination with venetoclax to treat relapsed or refractory chronic lymphocytic leukemia; and CYC140, a polo-like kinase inhibitor program, which is in Phase I clinical trial for the treatment of advanced leukemias. Its oncology development programs also comprise Sapacitabine, an orally available prodrug of CNDAC, which is a novel nucleoside analog. In addition, the company's oncology development programs include seliciclib, a CDK inhibitor. It has a clinical collaboration agreement with the University of Texas MD Anderson Cancer Center to clinically evaluate the safety and efficacy of three cyclacel medicines in patients with hematological malignancies, including chronic lymphocytic leukemias, acute myeloid leukemias, myelodysplastic syndromes, and other advanced leukemias. Cyclacel Pharmaceuticals, Inc. was founded in 1992 and is headquartered in Berkeley Heights, New Jersey.

Cyclacel Pharmicals, Inc. 是一家處於臨床階段的生物製藥公司,致力於開發治療癌症和其他增殖性疾病的藥物。該公司的腫瘤學開發項目包括fadraciclib,一種細胞週期蛋白依賴性激酶抑制劑(CDK),目前正處於治療實體瘤的I期臨床試驗,以及與venetoclax聯合治療復發或難治性慢性淋巴細胞白血病的項目;以及一種polo樣激酶抑制劑計劃,用於治療晚期白血病的I期臨床試驗。CYC140其腫瘤學開發項目還包括薩帕西他濱,這是CNDAC的口服前藥,是一種新的核苷類似物。此外,該公司的腫瘤學開發項目還包括CDK抑制劑seliclib。它與德克薩斯大學醫學博士安德森癌症中心簽訂了臨床合作協議,以臨床評估三種環拉賽藥物對血液系統惡性腫瘤患者的安全性和有效性,包括慢性淋巴細胞白血病、急性髓系白血病、骨髓增生異常綜合徵和其他晚期白血病。Cyclacel 製藥公司成立於1992年,總部位於新澤西州伯克利高地。

Earnings Per Share

每股收益

As for profitability, Cyclacel Pharmaceuticals has a trailing twelve months EPS of $-2.05.

至於盈利能力,Cyclacel Pharmaceuticals的每股收益爲-2.05美元。

The company's return on equity, which measures the profitability of a business relative to shareholder's equity, for the twelve trailing months is negative -272.63%.

在過去的十二個月中,該公司的股本回報率爲負-272.63%,用於衡量企業相對於股東權益的盈利能力。

Moving Average

移動平均線

Cyclacel Pharmaceuticals's worth is below its 50-day moving average of $19.20 and way higher than its 200-day moving average of $14.76.

Cyclacel Pharmicals的價值低於其50天移動平均線19.20美元,遠高於其200天移動平均線14.76美元。

6. FS Bancorp (FSBW) – Dividend Yield: 3.11%

6。FS Bancorp (FSBW) — 股息收益率:3.11%

FS Bancorp's last close was $33.47, 13.51% under its 52-week high of $38.70. Intraday change was -0.98%.

FS Bancorp的最後收盤價爲33.47美元,比其52周高點38.70美元低13.51%。盤中變動爲-0.98%。

FS Bancorp, Inc. operates as a bank holding company for 1st Security Bank of Washington that provides banking and financial services to local families, local and regional businesses, and industry niches. The company operates in two segments, Commercial and Consumer Banking; and Home Lending. It offers various deposit instruments, including checking accounts, money market deposit accounts, savings accounts, and certificates of deposit. The company provides one-to-four-family residential first mortgages, second mortgage/home equity loan products, non-mortgage commercial business loans, commercial real estate loans, and construction and development loans, as well as consumer loans, which primarily include personal lines of credit, credit cards, automobile, direct home improvement, loans on deposit, and recreational loans. As of December 31, 2021, it operated 21 full bank service branches and 10 home loan production offices in suburban communities in the greater Puget Sound area, including Snohomish, King, Pierce, Jefferson, Kitsap, Clallam, Grays Harbor, Thurston, and Lewis counties; and one loan production office in the market area of the Tri-Cities. The company was founded in 1936 and is headquartered in Mountlake Terrace, Washington.

FS Bancorp, Inc. 作爲華盛頓第一安全銀行的銀行控股公司運營,該銀行爲當地家庭、當地和地區企業以及行業利基市場提供銀行和金融服務。該公司分爲兩個部門,即商業和個人銀行;以及住房貸款。它提供各種存款工具,包括支票賬戶、貨幣市場存款賬戶、儲蓄賬戶和存款證。該公司提供一至四戶住宅首次抵押貸款、第二抵押貸款/房屋淨值貸款產品、非抵押商業商業貸款、商業房地產貸款、建築和開發貸款以及消費貸款,主要包括個人信貸額度、信用卡、汽車、直接家居裝修、存款貸款和娛樂貸款。截至2021年12月31日,它在大普吉特海灣地區的郊區經營了21個全方位銀行服務分行和10個住房貸款製作辦公室,包括斯諾霍米什、金、皮爾斯、傑斐遜、基薩普、克拉拉姆、格雷斯港、瑟斯頓和劉易斯縣;在三城市的市場區設有一個貸款生產辦事處。該公司成立於1936年,總部位於華盛頓州的芒特萊克露臺。

Earnings Per Share

每股收益

As for profitability, FS Bancorp has a trailing twelve months EPS of $4.56.

至於盈利能力,FS Bancorp的每股收益爲4.56美元。

PE Ratio

市盈率

FS Bancorp has a trailing twelve months price to earnings ratio of 7.34. Meaning, the purchaser of the share is investing $7.34 for every dollar of annual earnings.

FS Bancorp過去十二個月的市盈率爲7.34。這意味着,該股票的購買者每1美元的年收益將投資7.34美元。

The company's return on equity, which measures the profitability of a business relative to shareholder's equity, for the twelve trailing months is 14.53%.

該公司的股本回報率爲14.53%,用於衡量企業相對於股東權益的盈利能力。

7. American Eagle Outfitters (AEO) – Dividend Yield: 2.16%

7。American Eagle Outfitters (AEO) — 股息收益率:2.16%

American Eagle Outfitters's last close was $23.16, 12.41% under its 52-week high of $26.44. Intraday change was 0.35%.

American Eagle Outfitters的最後收盤價爲23.16美元,比52周高點26.44美元低12.41%。盤中變動爲0.35%。

American Eagle Outfitters, Inc. operates as a specialty retailer that provides clothing, accessories, and personal care products under the American Eagle and Aerie brands. The company provides jeans, and specialty apparel and accessories for men and women; and intimates, activewear, and swim collections, as well as personal care products for women. In addition, it offers sports apparel under the Tailgate brand; and menswear products under the Todd Snyder New York brand name. As of February 1, 2020, it operated approximately 940 American Eagle stores, 148 Aerie stand-alone stores, 5 Tailgate stores, and two Todd Snyder stores in the United States, Canada, Mexico, China, and Hong Kong. It also ships to 81 countries through its Websites; and offers its merchandise at 217 locations operated by licensees in 24 countries, as well as provides products through its Websites ae.com, aerie.com, and ToddSnyder.com. American Eagle Outfitters, Inc. was founded in 1977 and is headquartered in Pittsburgh, Pennsylvania.

American Eagle Outfitters, Inc. 是一家專業零售商,以 American Eagle 和 Aerie 品牌提供服裝、配飾和個人護理產品。該公司爲男士和女士提供牛仔褲以及專業服裝和配飾;爲女性提供內衣、運動服和游泳系列以及個人護理產品。此外,它還以Tailgate品牌提供運動服裝;以Todd Snyder New York品牌提供男裝產品。截至2020年2月1日,它在美國、加拿大、墨西哥、中國和香港經營約940家美國鷹門店、148家Aerie獨立門店、5家Tailgate門店和兩家Todd Snyder門店。它還通過其網站向81個國家發貨;在24個國家的被許可人運營的217個地點提供商品,並通過其網站ae.com、aerie.com和Toddsnyder.com提供產品。American Eagle Outfitters, Inc. 成立於 1977 年,總部位於賓夕法尼亞州匹茲堡。

Earnings Per Share

每股收益

As for profitability, American Eagle Outfitters has a trailing twelve months EPS of $0.86.

至於盈利能力,American Eagle Outfitters的每股收益爲0.86美元。

PE Ratio

市盈率

American Eagle Outfitters has a trailing twelve months price to earnings ratio of 26.93. Meaning, the purchaser of the share is investing $26.93 for every dollar of annual earnings.

American Eagle Outfitters過去十二個月的市盈率爲26.93。這意味着,該股票的購買者每1美元的年收益將投資26.93美元。

The company's return on equity, which measures the profitability of a business relative to shareholder's equity, for the twelve trailing months is 10.19%.

在過去的十二個月中,該公司的股本回報率爲10.19%,衡量企業相對於股東權益的盈利能力。

Growth Estimates Quarters

增長估算季度

The company's growth estimates for the present quarter and the next is 52.9% and 36%, respectively.

該公司對本季度和下一季度的增長預期分別爲52.9%和36%。

Yearly Top and Bottom Value

年度最高值和最低值

American Eagle Outfitters's stock is valued at $23.16 at 03:15 EST, way under its 52-week high of $26.44 and way higher than its 52-week low of $9.95.

美國東部標準時間03點15分,American Eagle Outfitters的股票估值爲23.16美元,遠低於其52周高點26.44美元,遠高於其52周低點9.95美元。

Earnings Before Interest, Taxes, Depreciation, and Amortization

利息、稅項、折舊和攤銷前的收益

American Eagle Outfitters's EBITDA is 24.69.

美國之鷹服裝公司的息稅折舊攤銷前利潤爲24.69。

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