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Cohen & Steers Infrastructure Fund, V.F. Corporation, Another 8 Companies Have A High Estimated Dividend Yield

Cohen & Steers Infrastructure Fund, V.F. Corporation, Another 8 Companies Have A High Estimated Dividend Yield

Cohen & Steers 基础设施基金,V.F. Corporation,另外8家公司的估计股息收益率很高
Via news ·  2023/11/21 01:16

(VIANEWS) – Cohen & Steers Infrastructure Fund (UTF), V.F. Corporation (VFC), Kewaunee Scientific Corporation (KEQU)  have the highest dividend yield stocks on this list.

(VIANEWS)— Cohen & Steers 基础设施基金(UTF)、V.F. Corporation(VFC)、Kewaunee Scientific Corporation(KEQU)是该名单上股息收益率最高的股票。

Financial Asset

Forward Dividend Yield

Updated (EST)

Cohen & Steers Infrastructure Fund (UTF)

8.93%

2023-11-18 03:14:05

V.F. Corporation (VFC)

7.1%

2023-11-20 12:22:37

Kewaunee Scientific Corporation (KEQU)

5.91%

2023-11-03 21:23:06

Nuveen AMT (NUW)

4.01%

2023-11-16 16:55:27

IDT Corporation (IDT)

3.93%

2023-11-15 11:14:05

Abeona Therapeutics (ABEO)

3.82%

2023-11-06 19:13:05

Dreyfus Municipal Bond Infrastructure Fund (DMB)

3.77%

2023-11-14 07:23:06

Bank of America (BAC)

3.2%

2023-11-20 12:52:39

Ituran Location and Control Ltd. (ITRN)

2.32%

2023-11-03 19:12:04

Ampco (AP)

2.29%

2023-11-13 05:09:05

金融资产

远期股息收益率

已更新(美国东部标准时间)

Cohen & Steers 基础设施基金 (UTF)

8.93%

2023-11-18 03:14:05

V.F. Corporation (VFC)

7.1%

2023-11-20 12:22:37

Kewaunee 科学公司 (KEQU)

5.91%

2023-11-03 21:23:06

Nuveen AMT (NUW)

4.01%

2023-11-16 16:55:27

IDT 公司 (IDT)

3.93%

2023-11-15 11:14:05

Abeona Therapeutics (ABEO)

3.82%

2023-11-06 19:13:05

德雷福斯市政债券基础设施基金(DMB)

3.77%

2023-11-14 07:23:06

美国银行 (BAC)

3.2%

2023-11-20 12:52:39

伊图兰定位与控制有限公司 (ITRN)

2.32%

2023-11-03 19:12:04

Ampco (美联社)

2.29%

2023-11-13 05:09:05

Almost 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.

在纳斯达克和纽约证券交易所上市的近2K家公司向其股东派发股息。股息收益率是股息与价格的比率,显示公司每年支付多少股息。

1. Cohen & Steers Infrastructure Fund (UTF) – Dividend Yield: 8.93%

1。Cohen & Steers 基础设施基金(UTF)——股息收益率:8.93%

Cohen & Steers Infrastructure Fund's last close was $20.83, 20.47% below its 52-week high of $26.19. Intraday change was -1.28%.

科恩和斯蒂尔基础设施基金的最后收盘价为20.83美元,比其52周高点26.19美元低20.47%。盘中变动为-1.28%。

Cohen & Steers Infrastructure Fund, Inc. is a closed-end equity fund launched by Cohen & Steers, Inc. The fund is managed by Cohen & Steers Capital Management, Inc. It invests in public equity markets of the United States. The fund invests primarily in value stocks of infrastructure companies across all market capitalizations. It employs fundamental analysis to make its investments. The fund benchmarks the performance of its portfolio against a composite index of 80% FTSE Global Core Infrastructure 50/50 Net Tax Index (FTSE 50/50) and 20% BofA Merrill Lynch Fixed-Rate Preferred Securities Index. It was formerly known as Cohen & Steers Select Utility Fund, Inc. Cohen & Steers Infrastructure Fund, Inc. was formed on January 8, 2004 and is domiciled in the United States.

Cohen & Steers Infrastructure Fund, Inc.是由Cohen & Steers, Inc.发起的封闭式股票基金。该基金由Cohen & Steers Capital Management, Inc.管理。它投资于美国的公开股票市场。该基金主要投资于基础设施公司所有市值的价值股。它采用基本面分析进行投资。该基金将其投资组合的表现与80%的富时全球核心基础设施50/50净税指数(富时50/50)和美国银行美林证券固定利率优先证券指数20%的综合指数进行基准。它前身为Cohen & Steers Select公用事业基金公司。Cohen & Steers基础设施基金公司成立于2004年1月8日,注册地为美国。

Earnings Per Share

每股收益

As for profitability, Cohen & Steers Infrastructure Fund has a trailing twelve months EPS of $-0.36.

在盈利能力方面,Cohen & Steers基础设施基金过去十二个月的每股收益为-0.36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 -1.48%.

衡量企业相对于股东权益的盈利能力的公司在过去十二个月中的股本回报率为负-1.48%。

Dividend Yield

股息收益率

As maintained by Morningstar, Inc., the next dividend payment is on Dec 11, 2023, the estimated forward annual dividend rate is 1.86 and the estimated forward annual dividend yield is 8.93%.

根据晨星公司的说法,下一次股息将于2023年12月11日支付,预计的远期年度股息率为1.86,预计的远期年度股息收益率为8.93%。

Yearly Top and Bottom Value

年度最高值和最低值

Cohen & Steers Infrastructure Fund's stock is valued at $20.83 at 01:15 EST, way below its 52-week high of $26.19 and way above its 52-week low of $18.15.

美国东部标准时间 01:15,科恩和斯蒂尔基础设施基金的股票价值为20.83美元,远低于其52周高点26.19美元,远高于其52周低点18.15美元。

Volume

音量

Today's last reported volume for Cohen & Steers Infrastructure Fund is 215026 which is 19.83% below its average volume of 268217.

今天Cohen & Steers基础设施基金最后公布的交易量为215026笔,比其268217笔的平均交易量低19.83%。

2. V.F. Corporation (VFC) – Dividend Yield: 7.1%

2。V.F. Corporation(VFC)— 股息收益率:7.1%

V.F. Corporation's last close was $17.21, 50.69% under its 52-week high of $34.90. Intraday change was -0.78%.

V.F. Corporation的最新收盘价为17.21美元,比其52周高点34.90美元低50.69%。盘中变动为-0.78%。

V.F. Corporation, together with its subsidiaries, engages in the design, procurement, marketing, and distribution of branded lifestyle apparel, footwear, and related products for men, women, and children in the Americas, Europe, and the Asia-Pacific. It operates through three segments: Outdoor, Active, and Work. The company offers outdoor, merino wool and other natural fibers-based, lifestyle, and casual apparel; footwear; equipment; accessories; outdoor-inspired, performance-based, youth culture/action sports-inspired, streetwear, and protective work footwear; handbags, luggage, backpacks, and totes; and work and work-inspired lifestyle apparel and footwear. It provides its products under The North Face, Timberland, Smartwool, Icebreaker, Altra, Vans, Supreme, Kipling, Napapijri, Eastpak, JanSport, Dickies, and Timberland PRO brand names. The company sells its products primarily to specialty stores, department stores, national chains, and mass merchants, as well as sells through direct-to-consumer operations, including retail stores, concession retail stores, and e-commerce sites, and other digital platforms. V.F. Corporation was founded in 1899 and is headquartered in Denver, Colorado.

V.F. Corporation及其子公司在美洲、欧洲和亚太地区从事男士、女士和儿童品牌生活服装、鞋类和相关产品的设计、采购、营销和分销。它分为三个部分:户外、活动和工作。该公司提供户外服装、美利奴羊毛和其他以天然纤维为基础的生活方式和休闲服装;鞋类;装备;配饰;户外风格、性能型、青年文化/动作运动风格的街头服饰和防护工作鞋;手袋、行李箱、背包和手提包;以及以工作和工作为灵感的生活方式服装和鞋类。它以 The North Face、Timberland、Smartwool、Icebreaker、Altra、Vans、Supreme、Kipling、Napapijri、Eastpak、JanSport、Dickies 和 Timberland PRO 品牌提供产品。该公司主要向专卖店、百货商店、全国连锁店和大众商户销售产品,并通过直接面向消费者的业务进行销售,包括零售商店、特许零售商店和电子商务网站以及其他数字平台。V.F. 公司成立于 1899 年,总部位于科罗拉多州丹佛市。

Earnings Per Share

每股收益

As for profitability, V.F. Corporation has a trailing twelve months EPS of $-0.55.

在盈利能力方面,V.F. Corporation过去十二个月的每股收益为-0.55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 3.86%.

衡量企业相对于股东权益的盈利能力的公司在过去十二个月中的股本回报率为3.86%。

Volume

音量

Today's last reported volume for V.F. Corporation is 1737600 which is 80.63% below its average volume of 8972580.

V.F. Corporation今天上一次公布的交易量为1737600,比其平均成交量8972580低80.63%。

Volatility

波动性

V.F. Corporation's last week, last month's, and last quarter's current intraday variation average was a positive 5.23%, a negative 0.33%, and a positive 3.41%.

V.F. Corporation上周、上个月和上个季度的当前盘中变动平均值为正5.23%,负0.33%,正3.41%。

V.F. Corporation's highest amplitude of average volatility was 6.92% (last week), 5.47% (last month), and 3.41% (last quarter).

V.F. Corporation的最高平均波动幅度为6.92%(上周)、5.47%(上个月)和3.41%(上个季度)。

Moving Average

移动平均线

V.F. Corporation's worth is below its 50-day moving average of $17.89 and way below its 200-day moving average of $21.16.

V.F. Corporation的价值低于其50天移动平均线17.89美元,也远低于其200天移动平均线21.16美元。

Growth Estimates Quarters

增长估算季度

The company's growth estimates for the current quarter is a negative 26.8% and positive 11.8% for the next.

该公司对本季度的增长估计为负26.8%,下一季度的增长率为正11.8%。

3. Kewaunee Scientific Corporation (KEQU) – Dividend Yield: 5.91%

3。基瓦尼科学公司(KEQU)——股息收益率:5.91%

Kewaunee Scientific Corporation's last close was $18.25, 4.15% under its 52-week high of $19.04. Intraday change was 0.61%.

Kewaunee Scientific Corporation的最新收盘价为18.25美元,比其52周高点19.04美元低4.15%。盘中变动为0.61%。

Kewaunee Scientific Corporation designs, manufactures, and installs laboratory, healthcare, and technical furniture products. The company operates in two segments, Domestic and International. Its products include steel, wood, laminate furniture, fume hoods, biological safety cabinets, laminar flow and ductless hoods, adaptable modular and column systems, moveable workstations and carts, epoxy resin worksurfaces, sinks, and accessories and related design services. The company's laboratory products are used in chemistry, physics, biology, and other general science laboratories in the pharmaceutical, biotechnology, industrial, chemical, commercial, educational, government, and health care markets; technical products are used in facilities manufacturing computers and light electronics and by users of computer and networking furniture; and laminate caseworks that are used in educational, healthcare, and industrial applications. The company sells its products primarily through dealers, commissioned agents, and a national distributor, as well as through competitive bids submitted by the company and its subsidiaries in Singapore, India, and China. Kewaunee Scientific Corporation was founded in 1906 and is headquartered in Statesville, North Carolina.

Kewaunee Scientific Corporation 设计、制造和安装实验室、医疗保健和技术家具产品。该公司分为两个部门,即国内和国际。其产品包括钢材、木材、层压板家具、通风柜、生物安全柜、层流和无管通风柜、适应性强的模块化和立柱系统、可移动的工作站和推车、环氧树脂工作表面、水槽和配件以及相关的设计服务。该公司的实验室产品用于制药、生物技术、工业、化学、商业、教育、政府和医疗保健市场的化学、物理、生物学和其他一般科学实验室;技术产品用于制造计算机和轻电子设备的设施以及计算机和网络家具的用户;以及用于教育、医疗保健和工业应用的层压板案例。该公司主要通过经销商、委托代理商和全国分销商以及公司及其在新加坡、印度和中国的子公司提交的竞争性投标来销售产品。Kewaunee Scientific Corporation 成立于 1906 年,总部位于北卡罗来纳州的斯泰茨维尔。

Earnings Per Share

每股收益

As for profitability, Kewaunee Scientific Corporation has a trailing twelve months EPS of $1.38.

在盈利能力方面,Kewaunee Scientific Corporation过去十二个月的每股收益为1.38美元。

PE Ratio

市盈率

Kewaunee Scientific Corporation has a trailing twelve months price to earnings ratio of 13.07. Meaning, the purchaser of the share is investing $13.07 for every dollar of annual earnings.

Kewaunee Scientific Corporation过去十二个月的市盈率为13.07。这意味着,该股票的购买者每获得1美元的年收益就投资13.07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 12.13%.

衡量企业相对于股东权益的盈利能力的公司在过去十二个月中的股本回报率为12.13%。

Dividend Yield

股息收益率

As claimed by Morningstar, Inc., the next dividend payment is on Sep 8, 2019, the estimated forward annual dividend rate is 0.76 and the estimated forward annual dividend yield is 5.91%.

正如晨星公司声称的那样,下一次股息将于2019年9月8日支付,预计的远期年度股息率为0.76,预计的远期年度股息收益率为5.91%。

Yearly Top and Bottom Value

年度最高值和最低值

Kewaunee Scientific Corporation's stock is valued at $18.03 at 01:15 EST, below its 52-week high of $19.04 and way above its 52-week low of $14.56.

美国东部标准时间01点15分,Kewaunee Scientific Corporation的股票价值为18.03美元,低于其52周高点19.04美元,远高于其52周低点14.56美元。

Earnings Before Interest, Taxes, Depreciation, and Amortization

利息、税项、折旧和摊销前的收益

Kewaunee Scientific Corporation's EBITDA is 11.04.

基瓦尼科学公司的息税折旧摊销前利润为11.04。

4. Nuveen AMT (NUW) – Dividend Yield: 4.01%

4。Nuveen AMT (NUW) — 股息收益率:4.01%

Nuveen AMT's last close was $13.13, 10.62% under its 52-week high of $14.69. Intraday change was 1.14%.

Nuveen AMT的最新收盘价为13.13美元,比其52周高点14.69美元低10.62%。盘中变动为1.14%。

Nuveen AMT-Free Municipal Value Fund is a close-ended fixed income mutual fund launched by Nuveen Investments Inc. The fund is co-managed by Nuveen Fund Advisors LLC and Nuveen Asset Management, LLC. It invests in fixed income markets of the United States. The fund makes its investments in the securities of companies operating across diversified sectors. It primarily invests its assets in a portfolio of municipal securities. The fund uses value oriented strategy to make its investments. It employs a fundamental analysis with a combination of top-down and bottom-up stock picking approach to create its portfolio. The fund conducts in-house research to make its investments. Nuveen AMT-Free Municipal Value Fund was formed on November 19, 2008 and is domiciled in the United States.

Nuveen AMT 免费市政价值基金是由Nuveen Investments Inc.推出的封闭式固定收益共同基金。该基金由Nuveen Fund Advisors LLC和Nuveen Asset Management, LLC共同管理。它投资于美国的固定收益市场。该基金投资于在多元化领域运营的公司的证券。它主要将其资产投资于市政证券投资组合。该基金使用以价值为导向的策略进行投资。它采用基本面分析,结合自上而下和自下而上的选股方法来创建其投资组合。该基金进行内部研究以进行投资。Nuveen AMT 免费市政价值基金成立于 2008 年 11 月 19 日,注册地在美国。

Earnings Per Share

每股收益

As for profitability, Nuveen AMT has a trailing twelve months EPS of $0.29.

在盈利能力方面,Nuveen AMT过去十二个月的每股收益为0.29美元。

PE Ratio

市盈率

Nuveen AMT has a trailing twelve months price to earnings ratio of 45.79. Meaning, the purchaser of the share is investing $45.79 for every dollar of annual earnings.

Nuveen AMT过去十二个月的市盈率为45.79。这意味着,该股票的购买者每获得1美元的年收益就要投资45.79美元。

5. IDT Corporation (IDT) – Dividend Yield: 3.93%

5。IDT 公司(IDT)— 股息收益率:3.93%

IDT Corporation's last close was $28.77, 18.22% below its 52-week high of $35.18. Intraday change was 0.07%.

IDT公司的最后收盘价为28.77美元,比其52周高点35.18美元低18.22%。盘中变动为0.07%。

IDT Corporation provides communications and payment services in the United States and internationally. The company operates through three segments: Fintech, net2phone, and Traditional Communications. The Fintech segment offers international money remittance and related value/payment transfer services under the BOSS Revolution brand name; and national retail solutions, such as point of sale network providing payment processing, digital advertising, transaction data, and ancillary services under the NRS brand name. The net2phone segment provides net2phone, a cloud communications service for businesses; and cable telephony services under the net2phone brand name. The Traditional Communications segment offers Mobile Top-Up that enables customers to transfer airtime and bundles of airtime, messaging, and data to international and domestic mobile accounts; BOSS Revolution Calling, an international long-distance calling service; and IDT Global, a wholesale provider of international voice and SMS termination, and outsourced traffic management solutions to telecoms. The company was incorporated in 1978 and is headquartered in Newark, New Jersey.

IDT 公司在美国和国际上提供通信和支付服务。该公司通过三个部门运营:金融科技、net2phone和传统通信。金融科技部门以BOSS Revolution品牌提供国际汇款和相关的价值/付款转账服务;以及全国零售解决方案,例如以NRS品牌提供支付处理、数字广告、交易数据和辅助服务的销售点网络。net2phone部门提供net2phone,这是一项面向企业的云通信服务;并以net2phone品牌提供有线电话服务。传统通信领域提供移动充值,使客户能够将通话时间和大量通话时间、消息和数据传输到国际和国内移动账户;BOSS Revolution Calling,国际长途电话服务;IDT Global,国际语音和短信终端的批发提供商,以及电信外包流量管理解决方案。该公司成立于1978年,总部位于新泽西州纽瓦克。

Earnings Per Share

每股收益

As for profitability, IDT Corporation has a trailing twelve months EPS of $1.58.

在盈利能力方面,IDT公司过去十二个月的每股收益为1.58美元。

PE Ratio

市盈率

IDT Corporation has a trailing twelve months price to earnings ratio of 18.22. Meaning, the purchaser of the share is investing $18.22 for every dollar of annual earnings.

IDT 公司过去十二个月的市盈率为18.22。这意味着,该股票的购买者每获得1美元的年收益就投资18.22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 22.68%.

衡量企业相对于股东权益的盈利能力的公司在过去十二个月中的股本回报率为22.68%。

6. Abeona Therapeutics (ABEO) – Dividend Yield: 3.82%

6。Abeona Therapeutics(ABEO)— 股息收益率:3.82%

Abeona Therapeutics's last close was $4.42, 18.15% below its 52-week high of $5.40. Intraday change was -1.56%.

Abeona Therapeutics的最新收盘价为4.42美元,比其52周高点5.40美元低18.15%。盘中变动为-1.56%。

Abeona Therapeutics Inc., a clinical-stage biopharmaceutical company, develops gene and cell therapies for life-threatening rare genetic diseases. Its lead programs include EB-101, an autologous, gene-corrected cell therapy for recessive dystrophic epidermolysis bullosa; ABO-102, an adeno-associated virus-based gene therapy for Sanfilippo syndrome type A; and ABO-101, an AAV-based gene therapy for Sanfilippo syndrome type B. The company also develops ABO-201 to treat CLN3 disease; ABO-401 for the treatment of cystic fibrosis; and ABO-5OX for the treatment of genetic eye disorders. In addition, it is developing AAV-based gene therapy through its AIM vector platform programs. The company was formerly known as PlasmaTech Biopharmaceuticals, Inc. and changed its name to Abeona Therapeutics Inc. in June 2015. Abeona Therapeutics Inc. was founded in 1974 and is headquartered in New York, New York.

Abeona Therapeutics Inc. 是一家处于临床阶段的生物制药公司,为危及生命的罕见遗传病开发基因和细胞疗法。其主要项目包括 EB-101,一种用于隐性营养不良性大疱性表皮松解症的自体基因校正细胞疗法;ABO-102,一种治疗A型Sanfilippo综合征的基于腺相关病毒的基因疗法;以及用于治疗B型Sanfilippo综合征的基于AAV的基因疗法 ABO-101。该公司还开发了用于治疗CLN3病的 ABO-201;用于治疗囊性纤维化的 ABO-401;以及用于治疗遗传学的 ABO-5OX 眼部疾病。此外,它正在通过其AIM载体平台计划开发基于AAV的基因疗法。该公司前身为PlasmaTech Biopharmaceuticals, Inc.,并于2015年6月更名为Abeona Therapeutics Inc.。Abeona Therapeutics Inc. 成立于1974年,总部位于纽约州纽约。

Earnings Per Share

每股收益

As for profitability, Abeona Therapeutics has a trailing twelve months EPS of $-1.85.

在盈利能力方面,Abeona Therapeutics过去十二个月的每股收益为-1.85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 -267.17%.

衡量企业相对于股东权益的盈利能力的公司在过去十二个月中的股本回报率为负-267.17%。

7. Dreyfus Municipal Bond Infrastructure Fund (DMB) – Dividend Yield: 3.77%

7。德雷福斯市政债券基础设施基金(DMB)——股息收益率:3.77%

Dreyfus Municipal Bond Infrastructure Fund's last close was $9.55, 19% under its 52-week high of $11.79. Intraday change was -0.62%.

德雷福斯市政债券基础设施基金的最后收盘价为9.55美元,比其52周高点11.79美元低19%。盘中变动为-0.62%。

BNY Mellon Municipal Bond Infrastructure Fund, Inc. is a closed ended fixed income mutual fund launched and managed by BNY Mellon Investment Adviser, Inc. The fund invests in the fixed income markets of the United States. It primarily invests in the tax-exempt investment grade debt obligations issued by or on behalf of states, territories and possessions of the United States and the District of Columbia and their political subdivisions, agencies and instrumentalities, or multistate agencies or authorities, and certain other specified securities. The fund invests its bonds issued by infrastructure sector including transportation, energy and utilities, social infrastructure, water and environment, and other similar public sectors which are rated as BBB- and above by S&P and Fitch and Baa3 and above by Moody's with an effective duration of up to 14 years.  It employs fundamental and quantitative analysis with a bottom-up security picking approach by focusing on factors such as the relative value and attractiveness of various sectors and securities to seek to exploit pricing inefficiencies in the municipal bond market, actively trading among various sectors based on their apparent values, general economic and monetary conditions, prevailing interest rates and the condition of the general money market and the municipal bond market, the size of a particular offering, the maturity of the obligation, and the rating of the issue to create its portfolio. The fund was formerly known as Dreyfus Municipal Bond Infrastructure Fund, Inc. BNY Mellon Municipal Bond Infrastructure Fund, Inc. was formed on April 25, 2013 and is domiciled in the United States.

纽约梅隆银行市政债券基础设施基金公司是由纽约梅隆银行投资顾问公司发起和管理的封闭式固定收益共同基金。该基金投资于美国的固定收益市场。它主要投资于由美国和哥伦比亚特区的州、领地和属地及其政治分支机构、机构和部门或多州机构或当局或代表其发行的免税投资级债务以及某些其他特定证券。该基金投资于基础设施行业发行的债券,包括运输、能源和公用事业、社会基础设施、水和环境以及其他类似的公共部门,这些债券被标准普尔和惠誉评为BBB及以上,被穆迪评为Baa3及以上,有效期长达14年。它采用自下而上的证券选择方法进行基本面和定量分析,重点关注各个行业和证券的相对价值和吸引力等因素,试图利用市政债券市场的定价效率低下问题,根据其表观价值、总体经济和货币状况、现行利率以及一般货币市场和市政债券市场的状况、特定发行的规模、债务的到期日以及评级,在各个行业之间积极交易创建其投资组合的问题。该基金前身为德雷福斯市政债券基础设施基金有限公司。纽约梅隆市政债券基础设施基金公司成立于2013年4月25日,总部设在美国。

Earnings Per Share

每股收益

As for profitability, Dreyfus Municipal Bond Infrastructure Fund has a trailing twelve months EPS of $-0.24.

在盈利能力方面,德雷福斯市政债券基础设施基金过去十二个月的每股收益为-0.24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 -1.52%.

衡量企业相对于股东权益的盈利能力的公司在过去十二个月中的股本回报率为负-1.52%。

Yearly Top and Bottom Value

年度最高值和最低值

Dreyfus Municipal Bond Infrastructure Fund's stock is valued at $9.55 at 01:15 EST, way under its 52-week high of $11.79 and above its 52-week low of $8.94.

美国东部标准时间 01:15,德雷福斯市政债券基础设施基金的股票价值为9.55美元,远低于其52周高点11.79美元,也高于其52周低点8.94美元。

Volume

音量

Today's last reported volume for Dreyfus Municipal Bond Infrastructure Fund is 62457 which is 13.98% above its average volume of 54796.

德雷福斯市政债券基础设施基金今天最后公布的交易量为62457笔,比其平均交易量54796笔高出13.98%。

Dividend Yield

股息收益率

According to Morningstar, Inc., the next dividend payment is on Nov 7, 2023, the estimated forward annual dividend rate is 0.36 and the estimated forward annual dividend yield is 3.77%.

根据晨星公司的说法,下一次股息将于2023年11月7日支付,预计的远期年度股息率为0.36,预计的远期年度股息收益率为3.77%。

8. Bank of America (BAC) – Dividend Yield: 3.2%

8。美国银行(BAC)— 股息收益率:3.2%

Bank of America's last close was $29.98, 20.83% under its 52-week high of $37.87. Intraday change was -0.15%.

美国银行最后一次收盘价为29.98美元,比其52周高点37.87美元低20.83%。盘中变动为-0.15%。

Bank of America Corporation, through its subsidiaries, provides banking and financial products and services for individual consumers, small and middle-market businesses, institutional investors, large corporations, and governments worldwide. Its Consumer Banking segment offers traditional and money market savings accounts, certificates of deposit and IRAs, noninterest-and interest-bearing checking accounts, and investment accounts and products; and credit and debit cards, residential mortgages, and home equity loans, as well as direct and indirect loans, such as automotive, recreational vehicle, and consumer personal loans. The company's Global Wealth & Investment Management segment offers investment management, brokerage, banking, and trust and retirement products and services; and wealth management solutions, as well as customized solutions, including specialty asset management services. Its Global Banking segment provides lending products and services, including commercial loans, leases, commitment facilities, trade finance, and commercial real estate and asset-based lending; treasury solutions, such as treasury management, foreign exchange, and short-term investing options and merchant services; working capital management solutions; and debt and equity underwriting and distribution, and merger-related and other advisory services. The company's Global Markets segment offers market-making, financing, securities clearing, settlement, and custody services, as well as risk management products using interest rate, equity, credit, currency and commodity derivatives, foreign exchange, fixed-income, and mortgage-related products. The company was founded in 1784 and is based in Charlotte, North Carolina.

美国银行公司通过其子公司为全球个人消费者、中小型市场企业、机构投资者、大型企业和政府提供银行和金融产品及服务。其个人银行业务部门提供传统和货币市场储蓄账户、存款证和个人退休账户、无息和计息支票账户以及投资账户和产品;以及信用卡和借记卡、住宅抵押贷款和房屋净值贷款,以及直接和间接贷款,例如汽车、休闲车和个人消费贷款。该公司的全球财富与投资管理部门提供投资管理、经纪、银行、信托和退休产品和服务;财富管理解决方案以及定制解决方案,包括专业资产管理服务。其全球银行业务部门提供贷款产品和服务,包括商业贷款、租赁、承诺便利、贸易融资、商业房地产和资产抵押贷款;财资解决方案,例如财资管理、外汇和短期投资期权和商业服务;营运资本管理解决方案;债务和股权承销和分配,以及与合并相关的咨询服务和其他咨询服务。该公司的全球市场部门提供做市、融资、证券清算、结算和托管服务,以及使用利率、股票、信贷、货币和大宗商品衍生品、外汇、固定收益和抵押贷款相关产品的风险管理产品。该公司成立于 1784 年,总部位于北卡罗来纳州夏洛特。

Earnings Per Share

每股收益

As for profitability, Bank of America has a trailing twelve months EPS of $3.57.

在盈利能力方面,美国银行过去十二个月的每股收益为3.57美元。

PE Ratio

市盈率

Bank of America has a trailing twelve months price to earnings ratio of 8.39. Meaning, the purchaser of the share is investing $8.39 for every dollar of annual earnings.

美国银行过去十二个月的市盈率为8.39。这意味着,该股票的购买者每获得1美元的年收益就投资8.39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 10.96%.

衡量企业相对于股东权益的盈利能力的公司在过去十二个月中的股本回报率为10.96%。

Growth Estimates Quarters

增长估算季度

The company's growth estimates for the ongoing quarter and the next is a negative 17.6% and a negative 22.3%, respectively.

该公司对本季度和下一季度的增长估计分别为负17.6%和负22.3%。

Moving Average

移动平均线

Bank of America's worth is higher than its 50-day moving average of $27.42 and higher than its 200-day moving average of $29.33.

美国银行的价值高于其50天移动平均线27.42美元,也高于其200天移动平均线29.33美元。

Yearly Top and Bottom Value

年度最高值和最低值

Bank of America's stock is valued at $29.93 at 01:15 EST, way under its 52-week high of $37.87 and way higher than its 52-week low of $24.96.

美国东部标准时间 01:15,美国银行的股票价值为29.93美元,远低于其52周高点37.87美元,远高于其52周低点24.96美元。

9. Ituran Location and Control Ltd. (ITRN) – Dividend Yield: 2.32%

9。伊图兰定位与控制有限公司(ITRN)——股息收益率:2.32%

Ituran Location and Control Ltd.'s last close was $25.33, 18.32% under its 52-week high of $31.01. Intraday change was 1.36%.

伊图兰定位与控制有限公司'上一次收盘价为25.33美元,比其52周高点31.01美元低18.32%。盘中变动为1.36%。

Ituran Location and Control Ltd., together with its subsidiaries, provides location-based services and wireless communications products. The company's Location-Based Services segment provides stolen vehicle recovery and tracking services, which locate, track, and recover stolen vehicles for its subscribers; fleet management services that enable corporate and individual customers to track and manage their vehicles in real time; and personal locator services that allow customers to protect valuable merchandise and equipment. It also offers on-demand navigation guidance, information, and assistance, including the provision of traffic reports and directions, as well as information on the location of gas stations, car repair shops, post offices, hospitals, and other facilities; and Connected Car, service platform includes a back-office application, a telematics device installed in the vehicle, mobile apps for both IOS and Android users, as well as usage based insurance. This segment serves insurance companies and agents, car manufacturers, dealers and importers, cooperative sales channels, and private subscribers. Its Wireless Communications Products segment provides Base Site, a radio receiver that includes a processor and a data computation unit to collect and send data to and from transponders, and to control centers; Control Center, a center consisting of software used to collect data from various base sites, conduct location calculations, and transmit location data to various customers and law enforcement agencies; navigation and tracking devices installed in vehicles; and SMART, a portable transmitter installed in vehicles that sends a signal to the base site enabling the location of vehicles, equipment, or an individual. As of December 31, 2020, it served approximately 17,680,000 end-users in Israel, Brazil, Argentina, Mexico, Ecuador, Colombia, and the United States. The company was incorporated in 1994 and is headquartered in Azor, Israel.

Ituran Location and Control Ltd. 及其子公司提供基于位置的服务和无线通信产品。该公司的基于位置的服务部门提供被盗车辆追回和跟踪服务,为其订户定位、跟踪和追回被盗车辆;车队管理服务使企业和个人客户能够实时跟踪和管理其车辆;以及允许客户保护贵重商品和设备的个人定位服务。它还提供按需导航指导、信息和帮助,包括提供交通报告和路线,以及有关加油站、汽车维修店、邮局、医院和其他设施位置的信息;而互联汽车,服务平台包括后台应用程序、安装在车内的远程信息处理设备、适用于iOS和Android用户的移动应用程序以及基于使用量的保险。该部门为保险公司和代理商、汽车制造商、经销商和进口商、合作销售渠道和私人订户提供服务。其无线通信产品部门提供基地,一种无线电接收器,包括处理器和数据计算单元,用于收集和向转发器以及控制中心发送数据;控制中心,该中心由用于从各个基站收集数据、进行位置计算以及向各种客户和执法机构传输位置数据的软件组成;安装在车辆中的导航和跟踪设备;以及安装在车辆中的便携式发射机,用于向转发器发送信号的SMART 启用基本站点车辆、设备或个人的位置。截至2020年12月31日,它为以色列、巴西、阿根廷、墨西哥、厄瓜多尔、哥伦比亚和美国的约17,680,000名最终用户提供服务。该公司成立于1994年,总部位于以色列亚速尔。

Earnings Per Share

每股收益

As for profitability, Ituran Location and Control Ltd. has a trailing twelve months EPS of $2.14.

在盈利能力方面,Ituran Location and Control Ltd.过去十二个月的每股收益为2.14美元。

PE Ratio

市盈率

Ituran Location and Control Ltd. has a trailing twelve months price to earnings ratio of 11.84. Meaning, the purchaser of the share is investing $11.84 for every dollar of annual earnings.

Ituran Location and Control Ltd.过去十二个月的市盈率为11.84。这意味着,股票的购买者每获得1美元的年收益就要投资11.84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 29.44%.

衡量企业相对于股东权益的盈利能力的公司在过去十二个月中的股本回报率为29.44%。

10. Ampco (AP) – Dividend Yield: 2.29%

10。Ampco(美联社)— 股息收益率:2.29%

Ampco's last close was $2.69, 32.75% below its 52-week high of $4.00. Intraday change was -3.93%.

Ampco的最后收盘价为2.69美元,比其52周高点4.00美元低32.75%。盘中变动为-3.93%。

Ampco-Pittsburgh Corporation, together with its subsidiaries, manufactures and sells custom designed engineering products to commercial and industrial users in the United States and internationally. The company operates in two segments, Forged and Cast Engineered Products; and Air and Liquid Processing. The Forged and Cast Engineered Products segment produces forged hardened steel rolls that are used in cold rolling mills by producers of steel, aluminum, and other metals; cast rolls for hot and cold strip mills, medium/heavy section mills, hot strip finishing, roughing mills, and plate mills in various iron and steel qualities; and forged engineered products for use in the oil and gas, and the aluminum and plastic extrusion industries. This segment also offers forged rolls for cluster mills and Z-Hi mills; work rolls for narrow and wide strip and aluminum mills; back-up rolls for narrow strip mills; leveling rolls and shafts; and distributes tool steels, alloys, and carbon round bars. The Air and Liquid Processing segment produces custom-engineered finned tube heat exchange coils and related heat transfer products for various industries, including nuclear power generation, OEM/commercial, and industrial manufacturing; and custom-designed air handling systems for institutional, pharmaceutical, and general industrial building markets. This segment also provides centrifugal pumps the fossil-fueled power generation, marine defense, and industrial refrigeration industries. Ampco-Pittsburgh Corporation was founded in 1929 and is headquartered in Carnegie, Pennsylvania.

Ampco-Pittsburgh Corporation及其子公司为美国和国际上的商业和工业用户制造和销售定制设计的工程产品。该公司分为两个部门,即锻造和铸造工程产品;以及空气和液体处理。锻造和铸造工程产品部门生产用于钢、铝和其他金属生产商冷轧机的锻造硬化钢卷;用于各种钢铁质量的热轧和冷带钢厂、中型/重型钢厂、热带精加工、粗轧机和板厂的铸轧辊;以及用于石油和天然气以及铝和塑料挤压行业的锻造工程产品。该部门还为集束式轧机和 Z-Hi 轧机提供锻轧辊;用于窄带钢和宽带钢和铝轧机的工作辊;用于窄带轧机的备用轧辊;调平辊和轴;并分销工具钢、合金和碳圆棒。空气和液体处理部门为包括核能发电、OEM/商业和工业制造在内的各个行业生产定制设计的翅片管热交换线圈和相关的传热产品;以及为机构、制药和一般工业建筑市场定制设计的空气处理系统。该部门还为化石燃料发电、海洋防御和工业制冷行业提供离心泵。Ampco-匹兹堡公司成立于1929年,总部位于宾夕法尼亚州卡内基。

Earnings Per Share

每股收益

As for profitability, Ampco has a trailing twelve months EPS of $0.1.

在盈利能力方面,Ampco过去十二个月的每股收益为0.1美元。

PE Ratio

市盈率

Ampco has a trailing twelve months price to earnings ratio of 26.9. Meaning, the purchaser of the share is investing $26.9 for every dollar of annual earnings.

Ampco过去十二个月的市盈率为26.9。这意味着,该股票的购买者每获得1美元的年收益就投资26.9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 3.13%.

衡量企业相对于股东权益的盈利能力的公司在过去十二个月中的股本回报率为3.13%。

Moving Average

移动平均线

Ampco's worth is under its 50-day moving average of $2.79 and under its 200-day moving average of $2.99.

Ampco的价值低于其50天移动平均线2.79美元,也低于其200天移动平均线2.99美元。

Sales Growth

销售增长

Ampco's sales growth for the current quarter is negative 6.8%.

Ampco本季度的销售增长为负6.8%。

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