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This growth rate is the compound annual growth rate of Book Value Per Share over the last 10 years. Book Value Per Share is defined as Total Equity divided by the Total Common Shares Outstanding at the end of the fiscal year. NOTE: If the value for either the most recent year or the oldest year is zero or negative, the growth rate cannot be calculated, a 'NA' (Not Available) code will be used.

This growth rate is the compound annual growth rate of Book Value Per Share over the last 3 years based on interim data. Book Value Per Share is defined as Total Equity divided by the Total Common Shares Outstanding. NOTE: If the value for either the most recent year or the oldest year is zero or negative, the growth rate cannot be calculated, a 'NA' (Not Available) code will be used.

This growth rate is the compound annual growth rate of Book Value Per Share over the last 5 years based on interim data. Book Value Per Share is defined as Total Equity divided by the Total Common Shares Outstanding. NOTE: If the value for either the most recent year or the oldest year is zero or negative, the growth rate cannot be calculated, a 'NA' (Not Available) code will be used.

This growth rate is the compound annual growth rate of Book Value Per Share over the last 5 years. If the ratio can not be calculated, a 'NA' (Not Available) code will be used.

This is the ratio of Capital Expenditures for the recent fiscal year to Average Total Assets for the same period and expressed as percent. Average Total Assets is the average of the Total Assets at the beginning and the end of the year. Capital Expenditures represents the sum of Purchase of Fixed Assets, Purchase/Acquisition of Intangibles, Software Development Costs.

This is the ratio of Capital Expenditures for the recent trailing twelve months to Average Total Assets for the same period and expressed as percent. Average Total Assets is the average of the Total Assets at the beginning and the end of the most recent trailing twelve months. Capital Expenditures represents the sum of Purchase of Fixed Assets, Purchase/Acquisition of Intangibles, Software Development Costs.

This is an Annual Trend Momentum of Common Shareholders Equity over 10 years. Trend Momentum is derived for the most recent period by subtracting the log linear Estimated index value (in index value units) from the Actual index value and divide by the Estimated index value to derive a % deviation. Subtract from the most recent period % deviation the % deviation of the prior period. Express this difference in % deviation as a percentage. Required 11 latest fiscal year intervals. Common Shareholder's Equity, this is the Total Shareholder's Equity as of the most recent annual period Balance Sheet minus Preferred Stock and Redeemable Preferred Stock.

This is an Annual Trend Growth of Common Shareholders Equity over 10 years. Trend Growth is the Average Annual incremental log linear slope expressed as a percentage. Required 11 latest fiscal year intervals. Common Shareholder's Equity, this is the Total Shareholder's Equity as of the most recent annual period Balance Sheet minus Preferred Stock and Redeemable Preferred Stock.

This is an Annual Trend Volatility of Common Shareholders Equity over 10 years. Trend Volatility is derived by subtract the log linear Estimated index value (in index value units) from the Actual index value and divide by the Estimated index value to derive a % deviation. Repeat this for each observation and average the .absolute. results to derive a % Mean Absolute Deviation. Express this result as a percentage. Required 11 latest fiscal year intervals. Common Shareholder's Equity, this is the Total Shareholder's Equity as of the most recent annual period Balance Sheet minus Preferred Stock and Redeemable Preferred Stock.

This is an Interim Trend Momentum of Common Shareholders Equity over 5 years. Trend Momentum is derived for the most recent period by subtracting the log linear Estimated index value (in index value units) from the Actual index value and divide by the Estimated index value to derive a % deviation. Subtract from the most recent period % deviation the % deviation of the prior period. Express this difference in % deviation as a percentage. Required 11 latest semi-annual or 21 latest quarterly periods. Common Shareholder's Equity, this is the Total Shareholder's Equity as of the most recent annual period Balance Sheet minus Preferred Stock and Redeemable Preferred Stock.

This is an Interim Trend Growth of Common Shareholders Equity over 5 years. Trend Growth is the Average Annual incremental log linear slope expressed as a percentage. Required 11 latest semi-annual or 21 latest quarterly periods. Common Shareholder's Equity, this is the Total Shareholder's Equity as of the most recent annual period Balance Sheet minus Preferred Stock and Redeemable Preferred Stock.

This is an Interim Trend Volatility of Common Shareholders Equity over 5 years. Trend Volatility is derived by subtract the log linear Estimated index value (in index value units) from the Actual index value and divide by the Estimated index value to derive a % deviation. Repeat this for each observation and average the .absolute. results to derive a % Mean Absolute Deviation. Express this result as a percentage. Required 11 latest semi-annual or 21 latest quarterly periods. Common Shareholder's Equity, this is the Total Shareholder's Equity as of the most recent annual period Balance Sheet minus Preferred Stock and Redeemable Preferred Stock.

This is the compound annual growth rate of Cash Flow over the last 10 years. Cash Flow is the sum of Net Income After Taxes minus Preferred Dividends and General Partner Distributions plus Depreciation and Amortization of Intangibles. NOTE: If the value for either the most recent year or the oldest year is zero or negative, the growth rate cannot be calculated, a 'NA' (Not Available) code will be used.

This is the compound annual growth rate of Cash Flow over the last 3 years. Cash Flow is the sum of Net Income After Taxes minus Preferred Dividends and General Partner Distributions plus Depreciation and Amortization of Intangibles. NOTE: If the value for either the most recent year or the oldest year is zero or negative, the growth rate cannot be calculated, a 'NA' (Not Available) code will be used.

This value represents annual Cash Flow expressed as a percent of annual Total Revenue. Cash Flow is the sum of Net Income After Taxes minus Preferred Dividends and General Partner Distributions plus Depreciation and Amortization of Intangibles.

This value represents the average Annual Cash Flow for the last 5 years divided by the average of the Annual Total Revenue for the same period, expressed as a percent. Cash Flow is the sum of Net Income After Taxes minus Preferred Dividends and General Partner Distributions plus Depreciation and Amortization of Intangibles.

This value represents the average TTM Interim Cash Flow for the last 3 years divided by the average of the TTM Interim Total Revenue for the same period, expressed as a percent. Cash Flow is the sum of Net Income After Taxes minus Preferred Dividends and General Partner Distributions plus Depreciation and Amortization of Intangibles.

This value represents the most recent trailing twelve months Cash Flow expressed as a percent of Total Revenue for the same period. Cash Flow is the sum of Net Income After Taxes minus Preferred Dividends and General Partner Distributions plus Depreciation and Amortization of Intangibles.

This is the compound annual growth rate of Cash Flow over the last 5 years. Cash Flow is the sum of Income After Taxes minus Preferred Dividends and General Partner Distributions plus Depreciation, Depletion and Amortization. If the ratio can not be calculated, a 'NA' (Not Available) code will be used.

The percent change between the closing price of the latest completed tradable day and the average value of closing prices for the last 150 tradable days. If the stock does not trade on one or more of the 150 tradable days, closing prices for the available traded days are averaged.

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