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Enova International And 5 Other Stocks Have High Sales Growth And An Above 3% Return on Equity

Enova International And 5 Other Stocks Have High Sales Growth And An Above 3% Return on Equity

Enova International和其他5只股票的銷售增長率很高,股本回報率超過3%
Via news ·  04/27 06:23

(VIANEWS) – Enova International (ENVA), Kosmos Energy (KOS), Crescent Point Energy Corporation Ordinary Shares (CPG) are the highest sales growth and return on equity stocks on this list.

(VIANEWS)——伊諾瓦國際(ENVA)、科斯莫斯能源(KOS)、新月角能源公司普通股(CPG)是該清單上銷售增長和股票回報率最高的股票。

Here is a list of stocks with an above 5% expected next quarter sales growth, and a 3% or higher return on equity. May these stocks be a good medium-term investment option?

以下是預計下一季度銷售增長超過5%,股本回報率爲3%或更高的股票清單。這些股票可能是一個不錯的中期投資選擇嗎?

1. Enova International (ENVA)

1。伊諾瓦國際 (ENVA)

20.2% sales growth and 14.44% return on equity

20.2% 的銷售增長和 14.44% 的股本回報率

Enova International, Inc., a technology and analytics company, provides online financial services in the United States, Brazil, Australia, and Canada. The company offers installment loans; line of credit accounts; receivables purchase agreements; CSO programs, including arranging loans with independent third-party lenders and assisting in the preparation of loan applications and loan documents; and bank programs, such as marketing services and loan servicing for near-prime unsecured consumer installment loan. It markets its financing products under the CashNetUSA, NetCredit, OnDeck, Headway Capital, The Business Backer, Simplic, and Pangea names. Enova International, Inc. was incorporated in 2011 and is headquartered in Chicago, Illinois.

Enova International, Inc. 是一家技術和分析公司,在美國、巴西、澳大利亞和加拿大提供在線金融服務。該公司提供分期貸款;信貸額度賬戶;應收賬款購買協議;CSO計劃,包括與獨立的第三方貸款機構安排貸款並協助準備貸款申請和貸款文件;以及銀行計劃,例如爲近等無抵押消費者分期貸款提供營銷服務和貸款服務。它以CashNetUSA、NetCredit、OnDeck、Headway Capital、The Business Backer、Simplic和Pangea的名義銷售其融資產品。Enova International, Inc. 成立於 2011 年,總部位於伊利諾伊州芝加哥。

Earnings Per Share

每股收益

As for profitability, Enova International has a trailing twelve months EPS of $5.49.

至於盈利能力,Enova International的每股收益爲5.49美元。

PE Ratio

市盈率

Enova International has a trailing twelve months price to earnings ratio of 11.06. Meaning, the purchaser of the share is investing $11.06 for every dollar of annual earnings.

Enova International過去十二個月的市盈率爲11.06。這意味着,該股票的購買者每1美元的年收益將投資11.06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 14.44%.

該公司的股本回報率爲14.44%,用於衡量企業相對於股東權益的盈利能力。

Yearly Top and Bottom Value

年度最高值和最低值

Enova International's stock is valued at $60.71 at 06:22 EST, under its 52-week high of $64.51 and way higher than its 52-week low of $35.30.

截至美國東部標準時間 06:22,依諾瓦國際的股票估值爲60.71美元,低於52周高點64.51美元,遠高於其52周低點35.30美元。

Volume

音量

Today's last reported volume for Enova International is 220792 which is 18.4% below its average volume of 270598.

伊諾瓦國際今天公佈的交易量爲220792輛,比其平均270598筆交易量低18.4%。

Growth Estimates Quarters

增長估算季度

The company's growth estimates for the present quarter is a negative 3.9% and positive 34.9% for the next.

該公司本季度的增長預期爲負3.9%,下一季度的增長預期爲正34.9%。

Moving Average

移動平均線

Enova International's worth is under its 50-day moving average of $60.90 and way higher than its 200-day moving average of $52.90.

伊諾瓦國際的價值低於其50天移動平均線60.90美元,遠高於其200天移動平均線52.90美元。

2. Kosmos Energy (KOS)

2。科斯莫斯能源 (KOS)

19.3% sales growth and 23.46% return on equity

19.3% 的銷售增長和 23.46% 的股本回報率

Kosmos Energy Ltd., together with its subsidiaries, engages in the exploration, development, and production of oil and gas along the Atlantic Margins in the United States. The company's primary assets include production projects located in offshore Ghana, Equatorial Guinea, and the U.S. Gulf of Mexico, as well as gas projects located in offshore Mauritania and Senegal. It undertakes a proven basin exploration program in Equatorial Guinea and the U.S. Gulf of Mexico. Kosmos Energy Ltd. was founded in 2003 and is headquartered in Dallas, Texas.

Kosmos Energy Ltd. 及其子公司在美國大西洋邊緣從事石油和天然氣的勘探、開發和生產。該公司的主要資產包括位於加納、赤道幾內亞和美國墨西哥灣近海的生產項目,以及位於毛里塔尼亞和塞內加爾近海的天然氣項目。它在赤道幾內亞和美國墨西哥灣進行了一項久經考驗的盆地勘探計劃。Kosmos Energy Ltd.成立於2003年,總部位於德克薩斯州達拉斯。

Earnings Per Share

每股收益

As for profitability, Kosmos Energy has a trailing twelve months EPS of $0.44.

至於盈利能力,Kosmos Energy的每股收益爲0.44美元。

PE Ratio

市盈率

Kosmos Energy has a trailing twelve months price to earnings ratio of 14.09. Meaning, the purchaser of the share is investing $14.09 for every dollar of annual earnings.

Kosmos Energy過去十二個月的市盈率爲14.09。這意味着,該股票的購買者每1美元的年收益將投資14.09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 23.46%.

該公司的股本回報率爲23.46%,用於衡量企業相對於股東權益的盈利能力。

3. Crescent Point Energy Corporation Ordinary Shares (CPG)

3.新月角能源公司普通股(CPG)

11.7% sales growth and 11.97% return on equity

11.7% 的銷售增長和 11.97% 的股本回報率

Crescent Point Energy Corp. explores, develops, and produces light and medium crude oil and natural gas reserves in Western Canada and the United States. The company's crude oil and natural gas properties, and related assets are located in the provinces of Saskatchewan, Alberta, British Columbia, and Manitoba; and the states of North Dakota and Montana. Crescent Point Energy Corp. was incorporated in 1994 and is headquartered in Calgary, Canada.

Crescent Point Energy Corp. 在加拿大西部和美國勘探、開發和生產輕質和中型原油和天然氣儲量。該公司的原油和天然氣財產及相關資產位於薩斯喀徹溫省、艾伯塔省、不列顛哥倫比亞省和曼尼托巴省;以及北達科他州和蒙大拿州。Crescent Point Energy Corp. 成立於1994年,總部位於加拿大卡爾加里。

Earnings Per Share

每股收益

As for profitability, Crescent Point Energy Corporation Ordinary Shares has a trailing twelve months EPS of $1.06.

至於盈利能力,Crescent Point Energy Corporation普通股的每股收益爲1.06美元。

PE Ratio

市盈率

Crescent Point Energy Corporation Ordinary Shares has a trailing twelve months price to earnings ratio of 8.2. Meaning, the purchaser of the share is investing $8.2 for every dollar of annual earnings.

Crescent Point Energy Corporation普通股過去十二個月的市盈率爲8.2。這意味着,該股票的購買者每1美元的年收益將投資8.2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 11.97%.

該公司的股本回報率爲11.97%,用於衡量企業相對於股東權益的盈利能力。

4. Eaton Corporation (ETN)

4。伊頓公司 (ETN)

9.6% sales growth and 17.83% return on equity

9.6% 的銷售增長和 17.83% 的股本回報率

Eaton Corporation plc operates as a power management company worldwide. The company's Electrical Americas and Electrical Global segment provides electrical components, industrial components, power distribution and assemblies, residential products, single and three phase power quality and connectivity products, wiring devices, circuit protection products, utility power distribution products, power reliability equipment, and services, as well as hazardous duty electrical equipment, emergency lighting, fire detection, explosion-proof instrumentation, and structural support systems. Its Aerospace segment offers pumps, motors, hydraulic power units, hoses and fittings, and electro-hydraulic pumps; valves, cylinders, electronic controls, electromechanical actuators, sensors, aircraft flap and slat systems, and nose wheel steering systems; hose, thermoplastic tubing products, fittings, adapters, couplings, and sealing and ducting products; air-to-air refueling systems, fuel pumps, fuel inerting products, sensors, and adapters and regulators; oxygen generation system, payload carriages, and thermal management products; and wiring connectors and cables, as well as hydraulic and bag filters, strainers and cartridges, and golf grips for manufacturers of commercial and military aircraft, and related after-market customers, as well as industrial applications. The company's Vehicle segment offers transmissions, clutches, hybrid power systems, superchargers, engine valves and valve actuation systems, locking and limited slip differentials, transmission controls, and fuel vapor components for the vehicle industry. Its eMobility segment provides voltage inverters, converters, fuses, circuit protection units, vehicle controls, power distribution systems, fuel tank isolation valves, and commercial vehicle hybrid systems. Eaton Corporation plc was founded in 1911 and is based in Dublin, Ireland.

伊頓公司是一家全球電源管理公司。該公司的美洲電氣和全球電氣部門提供電氣元件、工業組件、配電和組件、住宅產品、單相和三相電能質量和連接產品、接線設備、電路保護產品、公用事業配電產品、電力可靠性設備和服務,以及危險負荷電氣設備、應急照明、火災探測、防爆儀表和結構支持系統。其航空航天部門提供泵、電機、液壓動力裝置、軟管和接頭以及電動液壓泵;閥門、氣缸、電子控制裝置、機電執行器、傳感器、飛機襟翼和板條系統以及前輪轉向系統;軟管、熱塑性管道產品、接頭、適配器、聯軸器以及密封和管道產品;空對空加油系統、燃料惰化產品、傳感器、適配器和調節器;氧氣生成系統,有效載荷車和熱管理產品;以及接線連接器和電纜、液壓過濾器和袋式過濾器、過濾器和濾筒以及高爾夫球手柄,供商用和軍用飛機制造商和相關的售後市場客戶以及工業應用使用。該公司的車輛部門爲汽車行業提供變速箱、離合器、混合動力系統、增壓器、發動機氣門和氣門驅動系統、鎖定和限滑差速器、變速箱控制裝置和燃油蒸氣組件。其電動交通部門提供電壓逆變器、轉換器、保險絲、電路保護單元、車輛控制、配電系統、油箱隔離閥和商用車混合動力系統。伊頓公司成立於1911年,總部設在愛爾蘭都柏林。

Earnings Per Share

每股收益

As for profitability, Eaton Corporation has a trailing twelve months EPS of $8.03.

至於盈利能力,伊頓公司的每股收益爲8.03美元。

PE Ratio

市盈率

Eaton Corporation has a trailing twelve months price to earnings ratio of 39.66. Meaning, the purchaser of the share is investing $39.66 for every dollar of annual earnings.

伊頓公司過去十二個月的市盈率爲39.66。這意味着,該股票的購買者每1美元的年收益將投資39.66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 17.83%.

該公司的股本回報率爲17.83%,用於衡量企業相對於股東權益的盈利能力。

Volume

音量

Today's last reported volume for Eaton Corporation is 1784370 which is 9.55% below its average volume of 1972900.

伊頓公司今天上次公佈的交易量爲1784370,比其1972900的平均交易量低9.55%。

Yearly Top and Bottom Value

年度最高值和最低值

Eaton Corporation's stock is valued at $318.50 at 06:22 EST, below its 52-week high of $331.47 and way above its 52-week low of $161.12.

美國東部標準時間06點22分,伊頓公司的股票估值爲318.50美元,低於其52周高點331.47美元,遠高於其52周低點161.12美元。

Dividend Yield

股息收益率

As maintained by Morningstar, Inc., the next dividend payment is on Mar 8, 2024, the estimated forward annual dividend rate is 3.52 and the estimated forward annual dividend yield is 1.16%.

根據晨星公司的說法,下一次股息將在2024年3月8日支付,預計的遠期年度股息率爲3.52,預計的遠期年度股息收益率爲1.16%。

Sales Growth

銷售增長

Eaton Corporation's sales growth is 7.5% for the ongoing quarter and 9.6% for the next.

伊頓公司本季度的銷售增長爲7.5%,下一季度的銷售增長9.6%。

5. Fastenal Company (FAST)

5。緊固件公司 (FAST)

7.5% sales growth and 34.56% return on equity

7.5% 的銷售增長和 34.56% 的股本回報率

Fastenal Company, together with its subsidiaries, engages in the wholesale distribution of industrial and construction supplies in the United States, Canada, Mexico, North America, and internationally. It offers fasteners, and related industrial and construction supplies under the Fastenal name. The company's fastener products include threaded fasteners, bolts, nuts, screws, studs, and related washers that are used in manufactured products and construction projects, as well as in the maintenance and repair of machines. It also offers miscellaneous supplies and hardware, including pins, machinery keys, concrete anchors, metal framing systems, wire ropes, strut products, rivets, and related accessories. The company serves the manufacturing market comprising original equipment manufacturers; maintenance, repair, and operations customers; non-residential construction market; farmers, truckers, railroads, mining companies, schools, and retail trades; and oil exploration, production, and refinement companies, as well as federal, state, and local governmental entities. Fastenal Company was founded in 1967 and is headquartered in Winona, Minnesota.

Fastenal Company及其子公司在美國、加拿大、墨西哥、北美和國際上從事工業和建築用品的批發分銷。它以Fastenal的名義提供緊固件以及相關的工業和建築用品。該公司的緊固件產品包括螺紋緊固件、螺栓、螺母、螺釘、螺柱和相關墊圈,這些墊圈用於製成品和建築項目以及機器的維護和維修。它還提供各種用品和硬件,包括別針、機械鑰匙、混凝土錨、金屬框架系統、鋼絲繩、支柱產品、鉚釘和相關配件。該公司爲製造業市場提供服務,包括原始設備製造商;維護、維修和運營客戶;非住宅建築市場;農民、卡車司機、鐵路、礦業公司、學校和零售行業;石油勘探、生產和煉化公司以及聯邦、州和地方政府實體。Fastenal公司成立於1967年,總部位於明尼蘇達州的威諾納。

Earnings Per Share

每股收益

As for profitability, Fastenal Company has a trailing twelve months EPS of $2.02.

至於盈利能力,Fastenal Company的每股收益爲2.02美元。

PE Ratio

市盈率

Fastenal Company has a trailing twelve months price to earnings ratio of 34.88. Meaning, the purchaser of the share is investing $34.88 for every dollar of annual earnings.

Fastenal公司過去十二個月的市盈率爲34.88。這意味着,該股票的購買者每1美元的年收益將投資34.88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 34.56%.

該公司的股本回報率爲34.56%,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 Apr 24, 2024, the estimated forward annual dividend rate is 1.56 and the estimated forward annual dividend yield is 2.31%.

根據晨星公司的規定,下一次股息將在2024年4月24日支付,預計的遠期年度股息率爲1.56,預計的遠期年度股息收益率爲2.31%。

6. Ship Finance International Limited (SFL)

6。船舶融資國際有限公司 (SFL)

7.1% sales growth and 7.88% return on equity

7.1% 的銷售增長和 7.88% 的股本回報率

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 19.74. Meaning, the purchaser of the share is investing $19.74 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19.74。這意味着,該股票的購買者每1美元的年收益將投資19.74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。

Moving Average

移動平均線

Ship Finance International Limited's worth is under its 50-day moving average of $13.04 and way above its 200-day moving average of $11.53.

船舶融資國際有限公司的價值低於其50天移動平均線13.04美元,遠高於其200天移動平均線11.53美元。

Volume

音量

Today's last reported volume for Ship Finance International Limited is 416890 which is 42.58% below its average volume of 726072.

船舶融資國際有限公司今天上次公佈的交易量爲416890輛,比其平均交易量726072低42.58%。

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