Snapshot Definitions
Revenue & Earnings Section
Revenue (LTM) (Millions)
Total revenue from the last four quarters, as reported on their respective 10Qs. In place of a 10Q, an Interim Financial Statement filed with SEDAR is used for Canadian Securities. Income from Continuing Operations (LTM) (Millions)
This is income taken before the following: Preferred Dividends; Extraordinary Gains and Losses; Income from Cumulative Effects of Accounting Change; Non-Recurring Items; Income from Tax Loss Carryforward; Other Gains/Losses. Income from Total Operations (LTM) (Millions)
The income from total operations (continuing + discontinued operations), after taxes and minority interest and before extraordinary gains/losses. Diluted EPS from Continuing Operations (LTM)
This is defined as total net income minus discontinued operations, divided by the primary weighted average number of shares. Diluted EPS from Total Operations (LTM)
This is the basic primary earnings per share excluding. extraordinary items. Dividends Section
Ex-Dividend Date
This is the first date on which a person purchasing the stock is no longer eligible to receive the last announced dividend. If a prospective dividend payment has been announced, this may be a future date. The format for this variable is MM/DD/YY (12/31/95). Dividend Rate
This value is the total of the expected dividend payments over the next twelve months. It is generally the most recent cash dividend paid or declared multiplied by the dividend payment frequency, plus any recurring extra dividends. Yield
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. Yield - 5 Year Average
This value is the average of the dividend yield over the last 60 months. Ratios Section
Price to Earnings
The latest closing price divided by the earnings per share based on the trailing twelve month earnings. Companies with negative earnings receive an NA. 5 Fiscal Year High P/E
For each of the past 5 fiscal years, the highest calendar year intra-day trading price is divided by that fiscal year's EPS. The 5 year High P/E is the highest of those 5 ratios. 5 Fiscal Year Low P/E
For each of the past 5 fiscal years, the lowest calendar year intra-day trading price is divided by that fiscal year's EPS. The 5 year Low P/E is the lowest of those 5 ratios. Price to Revenue
This is the latest closing price divided by the latest annual Sales Per Share. Price to Cash Flow
This is the latest closing price divided by the latest annual Cash Flow Per Share. Cash Flow is defined as Income After Taxes minus Preferred Dividends and General Partner Distributions plus Depreciation, Depletion and Amortization. Price to Book
This is the latest closing price divided by the latest annual Book Value Per Share. Debt to Equity Ratio
This ratio is Total Debt for the most recent fiscal year by Total Shareholder Equity for the same period. ROE from Total Operations
Total Net Income from the latest fiscal year divided by Stockholder´s Equity, expressed as a percentage. Growth Rates Section
5-Year Annual Earnings Growth Rate
This growth rate is the compound annual growth rate of Earnings Per Share Excluding Extraordinary Items and Discontinued Operations over the last 5 years. 5-Year Annual Dividend Growth Rate
This growth rate is the compound annual growth rate of cash dividends per common share of stock over the last 5 years. 5-Year Annual Revenue Growth Rate
This growth rate is the compound annual growth rate of Sales over the last 5 years. 