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   Trading Statistics
   Ratios
   Balance Sheet
   Income Statement
   Cash Flow
Revenue & Earnings
Revenue (mil) (FYE)19,408.00
Income From Continuing Operations (mil) (FYE)647.00
Income From Total Operations (mil) (FYE)647.00
Diluted EPS From Continuing Operations (FYE)NaN
Diluted EPS From Total Operations (FYE)8.10
Dividends
Ex-Dividend Date11/12/08
Dividend Rate1.72
Yield4.58%
Yield - 5 Year Average2.11
Ratios
Price To Revenue.18
Price To Cash Flow3.25
Price to Book.81
Debt To Equity53.52
Current Ratio1.11
Growth Rates
5-Year Annual Dividend Growth Rate4.81
5-Year Annual Revenue Growth Rate11.99
Data Provided by Thomson Financial
This is the Closing or Last Bid Price. It is also referred to as the Current Price. For NYSE, AMEX, and Nasdaq traded companies, the Price is the previous trade date's closing price. For companies traded on the National Quotation Bureau's "Pink Sheets", and OTC bulletin boards, it is the bid price obtained at the time the report is updated.
The date of the previous trading day. "Recent Price" is the closing price taken from this day.
The highest end-of-day price during the preceding 52 weeks.
The lowest end-of-day price during the preceding 52 weeks.
The % change in the latest closing price of the stock vs. the closing price 52 weeks ago.
The % change in the latest closing price of the stock vs. the closing price at the beginning of the calendar year.
This is the monthly average of the cumulative trading volume during the last three months divided by 22 days.
The beta factor is derived by performing a least squares regression between adjusted prices of the stock and the corresponding Datastream market index. The historic beta so derived is then adjusted using Bayesian techniques to predict the probable behaviour of the stock price on the basis that any extreme behaviour in the past is likely to average out in the future. This adjusted value, or "forecast" beta, is represented by the BETA datatype. The Datastream beta factor is calculated using stock prices and market indices as the only variables.
This value is calculated by multiplying the current Price by the current number of Shares Outstanding.
This represents the current number of common shares outstanding. It is the difference between issued shares and treasury shares.
The latest short interest date, which is usually 5 trade days before the 15th of the month. This figure is available monthly, and is provided by either the NYSE, the NASDAQ, The Toronto Stock Exchange, the Canadian Stock Exchange, or the American Stock Exchange (depending on where the security trades).
This is the number of shares currently borrowed by investors for sale, but not yet returned to the owner (lender).
This represents the number of days it would take to cover the Short Interest if trading continued at the average daily volume for the month. It is calculated as the Short Interest for the Current Month divided by the Average Daily Volume.
Purchases of company stock by company insiders (corporate officers and directors) minus sales by insiders, as reported to the Securities and Exchange Commission. This data is updated quarterly with a lag of approximately 6 weeks.
The actual number of common stock shares held by all reporting institutions on the corresponding Institutional Holdings Date. This figure is the sum of all the shares held by institutions filing 13-Fs and all non-13-F reporting funds. This data is updated monthly with a lag of approximately 4 weeks.
The percentage of common stock held by all reporting institutions on the corresponding Institutional Holdings Date.
The number of all reporting institutions that are holding shares of this stock.
This is the sum of all revenue (sales) reported for all operating divisions.
Represents the amount earned by a company before any adjustment for preferred dividends, discontinued operations and extraordinary items.
Represents the net income per share assuming the conversion of all convertible securities including convertible preferred stock and convertible debentures and the exercise of all outstanding stock options and warrants.
The date of the latest reported Ex-Dividend. The Ex-Dividend Date is the first day the stock trades without the dividend (ex = without). This is also the day that the price of the stock is reduced by the amount of the dividend.
This value is the total of the expected dividend payments over the next 12 months. It is generally the most recent cash dividend paid or declared multiplied by the dividend payment frequency, plus any recurring extra dividends.
This value is the current percentage dividend yield based on the present cash dividend rate. It is calculated as the Indicated Annual Dividend divided by the current Price, multiplied by 100.
This value is the average of the dividend yield over the last 60 months.
This is the Current Price divided by the Sales Per Share for the trailing 12 months. If there is a preliminary earnings announcement for a quarter that has recently ended, the revenue (sales) values from this announcement will be used in calculating the trailing twelve month revenue per share.

Note: The most recent quarterly updated TTM (Trailing Twelve Month) figures are used in the calculation if available. Otherwise, the most recent fiscal year figures are used.
This is the Current Price divided by Cash Flow Per Share for the trailing 12 months. Cash Flow is defined as Income After Taxes minus Preferred Dividends and General Partner Distributions plus Depreciation, Depletion and Amortization.

Note: The most recent quarterly updated TTM (Trailing Twelve Month) figures are used in the calculation if available. Otherwise, the most recent fiscal year figures are used.
The Price in this calculation is updated approximately once a week, and usually reflects the previous Friday's closing price. The Book amount is taken from the company's most recent annual or quarterly report.
This ratio is Total Debt for the most recent fiscal quarter divided by Total Shareholder Equity for the same period.

Note: The most recent quarterly updated TTM (Trailing Twelve Month) figures are used in the calculation if available. Otherwise, the most recent fiscal year figures are used.
This is the ratio of Total Current Assets for the most recent quarter divided by Total Current Liabilities for the same period.

Note: The most recent quarterly updated TTM (Trailing Twelve Month) figures are used in the calculation if available. Otherwise, the most recent fiscal year figures are used.
The compound annual growth rate of the data item. This figure is derived by the least squares method, using 6 data points--a base year plus 5 subsequent annual data points. Fiscal year-end figures are used for the first 5 data points, with the calculation brought up to date each interim period by time-weighting the first and last points.
The compound annual growth rate of the data item. This figure is derived by the least squares method, using 6 data points--a base year plus 5 subsequent annual data points. Fiscal year-end figures are used for the first 5 data points, with the calculation brought up to date each interim period by time-weighting the first and last points.
Income from continuing operations divided by fully diluted average shares. Income from continuing operations represents the amount earned by a company before any adjustment for preferred dividends, discontinued operations and extraordinary items. Fully diluted average shares represent the weighted average common shares outstanding plus all other common shares which would result from the conversion of all convertible securities including convertible preferred stock and convertible debentures and the exercise of all outstanding stock options and warrants.
This ratio is calculated by dividing the Current Price by the sum of the Diluted Earnings Per Share from continuing operations BEFORE Extraordinary Items and Accounting Changes over the last 4 quarters divided by the Multex Industry average.
Represents the book value (proportioned common equity divided by outstanding shares) at the company's fiscal year end for non-U.S. corporations and at the end of the last calendar quarter for U.S. corporations.
This value is the Income Available to Common Stockholders for the trailing 12 months divided by the Common Equity and is expressed as a percentage. Average Common Equity is calculated by adding the Common Equity for the 5 most recent quarters and dividing by 5.

Note: The most recent quarterly updated TTM (Trailing Twelve Month) figures are used in the calculation if available. Otherwise, the most recent fiscal year figures are used.
This value is the trailing 12 month Income after taxes divided by the average total long term debt, other long term liabilities and shareholders equity, and expressed as a percentage.

Note: The most recent quarterly updated TTM (Trailing Twelve Month) figures are used in the calculation if available. Otherwise, the most recent fiscal year figures are used.
This value is the Income After Taxes for the trailing 12 months divided by the Average Total Assets, expressed as a percentage. Average Total Assets is calculated by adding the Total Assets for the 5 most recent quarters and dividing by 5.

Note: The most recent quarterly updated TTM (Trailing Twelve Month) figures are used in the calculation if available. Otherwise, the most recent fiscal year figures are used.
This value is calculated as the Total Revenues for the trailing 12 months divided by the Average Total Assets. The Average Total Assets is defined as the Total Assets for the 5 most recent quarters divided by 5
This is the ratio of Total Revenue for the trailing 12 months divided by Average Accounts Receivables. Average Accounts Receivables is calculated by adding the Accounts Receivables for the 5 most recent quarters and dividing by 5.
This value measures how quickly the Inventory is sold. It is defined as Cost of Goods Sold for the trailing twelve months divided by Average Inventory. Average Inventory is calculated by adding the inventory for the 5 most recent quarters and dividing by 5.
This value measures the percent of revenue left after paying all direct production expenses. It is calculated as the trailing 12 months Total Revenue minus the trailing 12 months Cost of Goods Sold divided by the trailing 12 months Total Revenue and multiplied by 100.

Note: The most recent quarterly updated TTM (Trailing Twelve Month) figures are used in the calculation if available. Otherwise, the most recent fiscal year figures are used.
Also known as Return on Sales, this value is the Income After Taxes for the trailing 12 months divided by Total Revenue for the same period and is expressed as a percentage.

Note: The most recent quarterly updated TTM (Trailing Twelve Month) figures are used in the calculation if available. Otherwise, the most recent fiscal year figures are used.
The value of assets that can be converted into cash immediately, as reported by a company. Usually includes bank accounts and marketable securities, such as government bonds and banker's acceptances. Cash equivalents on balance sheets include securities that mature within 90 days (e.g., notes).
This represents cash and all securities that can readily be transferred into cash as listed in the current assets section.
This represents cash and any investments with maturities of 1 year or less.
This represents money owed to the company by customers for goods sold or services rendered, but not yet collected. This includes the trade receivables, finance receivables, and sales receivables.
This consists of direct materials, work-in-process, and finished goods ready for sale.
This value represents other items held in inventory
This value represents the LIFO Reserve
Gas in Storage is specific to the Multex Utilities template and categorized as a component of inventory.
Fuel-Inventory is a Multex industry specific template categorized as a portion of inventory.
Merchandise bought for resale or supplies and raw materials purchased for use in revenue producing operations. Typical Accounts: Inventory; Materials and supplies; Raw materials; Work in process; Finished goods; Merchandise; Merchandise in transit; U.S. Government contract billings and expensed contracts; Deposits/advances on material purchases; Work in process and advances to subcontractors (net of progress payments); Advance manufacturing costs; Revenue stamps; Unbilled costs on U.S. Government contracts; Advances to planters; Fuel, oil and gas (utilities); Advances to other producers (motion picture companies; Storage charges (distilleries); Film costs net of accumulated depreciation; Program broadcast rights; Tires and trucking supplies for transportation companies; Bullion for gold and silver mining companies; Bottles, cases and kegs are not considered part of inventories, nor is the category "Supplies and Prepaid Expenses".
Expenses paid in a fiscal year which specifically relate to the operations of a future fiscal year. In particular, the items shown below under Deferred Charges and Capital Assets should not be included in Prepaid Expenses.
Restricted cash is cash to secure letters of credits with banks to provide collateral to other financial institutions for actual or contingent liabilities arising from potential charge-backs, adjustments, fees or other charges due to or incurred by the Company.
Income already earned and recognized for accounting purposes but not for tax purposes, recorded on the balance sheet.
This represents a portion of revenue specific to the Multex Utility industry template.
This represents a component of assets specific to the Multex Utility index template.
Operations discontinued by the company, recognized as current asset.
Includes prepayments, deferred charges, and amounts (other than trade accounts) due from parents and subsidiaries. Also includes any other current assets that are not assigned to cash and cash equivalents, receivables, or inventories.
Total of all current assets which include prepayments, deferred charges, and amounts (other than trade accounts) due from parents and subsidiaries. Also includes any other current assets that are not assigned to cash and cash equivalents, receivables, or inventories.
Sum of all categorized current assets.
An asset specific to the Multex Banking industry template
An asset specific to the Multex Banking industry template
An asset specific to the Multex Banking industry template
An asset specific to the Multex Banking industry template
An asset specific to the Multex Banking industry template
An asset specific to the Multex Banking industry template
An asset specific to the Multex Banking industry template
An asset specific to the Multex Banking industry template
An asset specific to the Multex Banking industry template
An asset specific to the Multex Banking industry template
An asset specific to the Multex Banking industry template
An asset specific to the Multex Banking industry template
An asset specific to the Multex Banking industry template
An asset specific to the Multex Banking industry template
An asset specific to the Multex Banking industry template
An asset specific to the Multex Banking industry template
Assets of a company that are of a relatively permanent nature and are not intended for resale. The figure is stated as cost minus accumulated depreciation and amortization.
Assets of a company that are of a relatively permanent nature and are not intended for resale.
This typically is the result of a purchase of a company and is the excess of the purchase price over net assets. For example, suppose a company has a book value (assets minus liabilities) of $10 million, but is purchased for $100 million. The difference between the two -- $90 million -- is considered goodwill.
Items such as goodwill, or patents, that are neither physical nor financial in nature. These have value, but that value often is difficult to determine.
An asset specific to the Multex Utility industry template.
An asset specific to the Multex Utility industry template.
An asset specific to the Multex Utility industry template.
An asset specific to the Multex Utility industry template.
Investments of typically 5 years or more.
An asset specific to the Multex Insurance industry template.
An amount owed to an agency or institution on notes from non-state individuals or organizations.
All other long term assets not included in categories above.
An asset specific to the Multex Insurance industry template.
An asset specific to the Multex Insurance industry template.
An asset specific to the Multex Insurance industry template.
An asset specific to the Multex Insurance industry template.
An asset specific to the Multex Insurance industry template.
An asset specific to the Multex Insurance industry template.
Total of all other assets
Current assets plus non-current assets.
A type of short-term obligation, accounts payable are simply bills from suppliers for goods or services purchased on credit. They must be paid within 12 months.
A current liability incorporating accounts payable and interest accrued.
An expense that is incurred, but not yet paid for, during a given accounting period.
A current liability specific to the Multex Insurance industry template.
A current liability specific to the Multex Insurance industry template.
A current liability specific to the Multex Insurance industry template.
A current liability specific to the Multex Insurance industry template.
A current liability specific to the Multex Insurance industry template.
A current liability specific to the Multex Insurance industry template.
A current liability specific to the Multex Insurance industry template.
A current liability specific to the Multex Banking Industry template.
A current liability specific to the Multex Banking Industry template.
A current liability specific to the Multex Banking Industry template.
A current liability specific to the Multex Banking Industry template.
A current liability specific to the Multex Banking Industry template.
A current liability specific to the Multex Banking Industry template.
A current liability specific to the Multex Banking Industry template.
A current liability specific to the Multex Banking Industry template.
A current liability specific to the Multex Banking Industry template.
A current liability specific to the Multex Banking Industry template.
A current liability specific to the Multex Banking Industry template.
A current liability specific to the Multex Banking Industry template.
A current liability classification of notes or debts to be paid within the year.
A current liability representing the portion of long term debt due within one year.
A current liability specific to the Multex Banking Industry template.
A current liability specific to the Multex Banking Industry template.
Liabilities not assigned to short-term debt, accounts payable or accrued expenses.
The sum of accounts payable, short-term debt, accrued expenses and other current liabilities. This number ought to be smaller than total current assets.
Long-term debt is debt due in more than a year.
Total of all long term debt obligations of one year or more.
A liability arising from the difference between regular accounting and tax accounting.
Represents par or the stated value of the subsidiary stock not owned by the parent company plus the minority interest's equity in the surplus of the subsidiary. This item includes preferred dividend averages on the minority preferred stock (preferred shares not owned by the reporting parent company). Minority interest also refers to stockholders who own less than 50% of a subsidiary's outstanding voting common stock.
Those liabilities not assigned to long-term debt or deferred income taxes.
The sum of total current liabilities and total non-current liabilities.
Preferred share for which the company reserves the right to redeem or pay out cash, usually for a small profit to the preferred shareholder. The shares are then cancelled by the company.
Preferred stocks which are not redeemable or are redeemable solely at the option of the issuer
Securities representing equity ownership in a corporation, providing voting rights, and entitling the holder to a share of the company's success through dividends and/or capital appreciation. In the event of liquidation, common stock holders have rights to a company's assets only after bondholders, other debt holders, and preferred stock holders have been satisfied.
Capital received from investors for stock, in excess of par value.
Earnings not paid out as dividends but instead reinvested in the core business or used to pay off debt.
Stock reacquired by a corporation to be retired or resold to the public. Issued but not outstanding.
Employee Stock Ownership Plan.
Profit which has been made but not yet realized through a transaction, such as a stock which has risen in value but is still being held.
Total of all other equity not included in equity categories above.
The sum of preferred stock equity and common stock equity.
The sum of the total liabilities and the shareholders' equity.
Common shares outstanding as reported by the company on the 10-Q or 10-K.
A special variety of stock that (usually) pays a fixed dividend, and whose holders have a claim on the company's earnings and assets that precedes the claim of those who hold common stock.
A revenue figure specific to the Multex Commercial industry template.
A revenue figure specific to the Multex Commercial industry template
A revenue figure specific to the Multex Commercial industry template
A revenue figure specific to the Multex Commercial and Utility industry templates
A revenue figure specific to the Multex Utility Industry template
A revenue figure specific to the Multex Utility Industry template
A revenue figure specific to the Multex Utility Industry template
A revenue figure specific to the Multex Utility Industry template
A revenue figure specific to the Multex Utility Industry template
A premium component figure specific to the Multex Insurance industry template
A premium component figure specific to the Multex Insurance industry template
A premium component figure specific to the Multex Insurance industry template
A premium component figure specific to the Multex Insurance industry template
A premium component figure specific to the Multex Insurance industry template
An income component specific to the Multex insurance industry template.
An income component specific to the Multex insurance industry template.
An income component figure specific to the Multex Banking industry template
An income component figure specific to the Multex Banking industry template
An income component figure specific to the Multex Banking industry template
An income component figure specific to the Multex Banking industry template
An income component figure specific to the Multex Banking industry template
An income component figure specific to the Multex Banking industry template
An income component figure specific to the Multex Banking industry template
An income component figure specific to the Multex Banking industry template
Total of all other revenue items.
Total of all the money (or other items of value) that came into the company during the given period. Revenue includes everything: sales, interest income, proceeds from the sale of a subsidiary, and so forth.
An income statement component specific to the Multex Utility industry template.
An income statement component specific to the Multex Utility industry template.
An income statement component specific to the Multex Utility industry template.
An income statement component specific to the Multex Utility industry template.
An expense component specific to the Multex Utility industry template.
An expense component specific to the Multex Utility industry template.
An income component figure specific to the Multex Banking industry template
An income component figure specific to the Multex Banking industry template
An income component figure specific to the Multex Banking industry template
An income component figure specific to the Multex Banking industry template
An income component figure specific to the Multex Banking industry template
An income component figure specific to the Multex Banking industry template
An income component figure specific to the Multex Banking industry template
An income component figure specific to the Multex Insurance industry template
An income component figure specific to the Multex Insurance industry template
An income component figure specific to the Multex Insurance industry template
An income component figure specific to the Multex Insurance industry template
Income statement item which combines salaries, commissions, and travel expenses for executives and salespeople, advertising costs, and payroll expenses.
Discovering new knowledge about products, processes, and services, and then applying that knowledge to create new and improved products, processes, and services that fill market needs.
The allocation of the cost of an asset over a period of time for accounting and tax purposes.
The cost of interest on outstanding debt. Here, it includes all fixed interest expenses net of capitalized interest.
This represents the difference between interest income and any interest expense reported in the operating section.
Interest from Investment Income.
Purchased research and development, since written off.
Charges attributable to reorganizing a company's operations.
Charges to take legal action to settle a dispute in a court of law.
An income component figure specific to the Multex Industrial industry template
An income component figure specific to the Multex Industrial industry template
An income component figure specific to the Multex Industrial industry template
An income component figure specific to the Multex Industrial industry template
Local tax assessed on property owned, such as real estate or automobiles. Usually federal income tax-deductible.
All other expenses arising in the normal course of running a business.
Other expenses
Total of all other operating expenses.
This is the total of the individual operating expense line items, i.e. the sum of all expenses associated with the normal course of running a business. For a REIT this represents operating expense items.
A measure of a company's earning power from ongoing operations, equal to earnings before deduction of interest payments and income taxes. For a REIT this reflects Income earned on real estate operations.
The cost of interest on outstanding debt. Here, it includes all fixed interest expenses net of capitalized interest.
Total of non-operating Investment interest income.
The profit or loss on a sale of a given asset expressed in dollars.
An income statement component specific to the Multex Utility industry template.
Income statement figure specific to the Multex Banking industry template
Income statement figure specific to the Multex Banking industry template
Income statement figure specific to the Multex Banking industry template
Income statement figure specific to the Multex Banking industry template
Income statement figure specific to the Multex Banking industry template
Income statement figure specific to the Multex Banking industry template
Income statement figure specific to the Multex Banking industry template
Income statement figure specific to the Multex Banking industry template
Income statement figure specific to the Multex Banking industry template
Income statement figure specific to the Multex Banking industry template
Income statement figure specific to the Multex Banking industry template
Income statement figure specific to the Multex Banking industry template
Income statement figure specific to the Multex Banking industry template
Income statement figure specific to the Multex Banking industry template
Income statement figure specific to the Multex Banking industry template
Income statement figure specific to the Multex Banking industry template
Income statement figure specific to the Multex Banking industry template
Income statement figure specific to the Multex Banking industry template
Income statement figure specific to the Multex Banking industry template
Income statement figure specific to the Multex Banking industry template
Income statement figure specific to the Multex Banking industry template