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Nuveen Core Equity Alpha Fund Nuveen Core Equity Alpha Fund, And CHS, And Another 8 Companies Have A High Estimated Dividend Yield

Nuveen Core Equity Alpha Fund Nuveen Core Equity Alpha Fund, And CHS, And Another 8 Companies Have A High Estimated Dividend Yield

Nuveen Core Equity Alpha Fund Nuveen Core Equity Alpha Fund和CHS,以及另外8家公司的股息收益率估計較高
Via news ·  2022/04/27 05:25

(VIANEWS) – Nuveen Core Equity Alpha Fund Nuveen Core Equity Alpha Fund (JCE), CHS (CHSCL), PIMCO California Municipal Income Fund III (PZC) have the highest dividend yield stocks on this list.

(VIANEWS)-Nuveen Core Equity Alpha Fund Nuveen Core Equity Alpha Fund(JCE)、CHS(CHSCL)、PIMCO California City Income Fund III(PZC)是該榜單上股息收益率最高的股票。

Rank Financial Asset Price Change Forward Dividend Yield Updated (EST)
1 Nuveen Core Equity Alpha Fund Nuveen Core Equity Alpha Fund (JCE) 15.84 0% 10.11% 2022-04-14 19:08:05
2 CHS (CHSCL) 27.43 0.81% 6.67% 2022-04-24 05:15:13
3 PIMCO California Municipal Income Fund III (PZC) 8.54 -0.7% 5.27% 2022-04-16 03:23:06
4 Pimco California Municipal Income Fund II (PCK) 7.33 -0.68% 5.13% 2022-04-15 22:17:05
5 Whitestone REIT (WSR) 13.14 0.92% 3.65% 2022-04-17 04:23:06
6 ConAgra Foods (CAG) 35.40 -1.97% 3.53% 2022-04-26 14:57:16
7 Royal Bank Of Canada (RY) 101.60 -1.76% 3.32% 2022-04-26 14:57:58
8 Jerash Holdings (JRSH) 6.21 2.64% 3.31% 2022-04-26 03:06:06
9 Boulder Growth & Income Fund (BIF) 14.75 -0.54% 3.29% 2022-04-12 18:23:09
10 ViacomCBS (VIAC) 0.00 0% 2.89% 2022-04-22 09:08:53
職級 金融資產 價格 變化 遠期股息收益率 更新(美國東部夏令時)
1 Nuveen核心股權Alpha基金Nuveen核心股權Alpha基金(JCE) 15.84 0% 10.11% 2022-04-14 19:08:05
2 社區衞生服務(CHSCL) 27.43 0.81% 6.67% 2022-04-24 05:15:13
3 PIMCO加利福尼亞州市政收入基金III(PZC) 8.54 -0.7% 5.27% 2022-04-16 03:23:06
4 太平洋投資管理公司加州市政收入基金II(PCK) 7.33 -0.68% 5.13% 2022-04-15 22:17:05
5 白石房地產投資信託基金(WSR) 13.14 0.92% 3.65% 2022-04-17 04:23:06
6 康尼格拉食品公司(Conaga Foods) 35.40 -1.97% 3.53% 2022-04-26 14:57:16
7 加拿大皇家銀行(RY) 101.60 -1.76% 3.32% 2022-04-26 14:57:58
8 傑拉什控股(Jerash Holdings) 6.21 2.64% 3.31% 2022-04-26 03:06:06
9 博爾德成長與收益基金(BIF) 14.75 -0.54% 3.29% 2022-04-12 18:23:09
10 維亞康姆CBS(ViacomCBS) 0.00 0% 2.89% 2022-04-22 09:08:53

Close to 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.

近2000家在納斯達克和紐交所上市的公司向股東派息。股息率是一種股息與價格的比率,表明一家公司每年支付多少股息。

1. Nuveen Core Equity Alpha Fund Nuveen Core Equity Alpha Fund (JCE) – Dividend Yield: 10.11%

1.Nuveen核心股權Alpha基金Nuveen核心股權Alpha基金(JCE)-股息率:10.11%

Nuveen Investments Inc. launched the Nuveen Core Equity Alpha Fund, a closed-ended equity mutual funds. Nuveen Fund Advisors LLC, Nuveen Asset Management, LLC, as well as INTECH Investment Management, co-manage the fund. The fund invests in American public equity markets. Some of the fund's portfolio is also invested in derivatives that use options and futures. The fund invests in shares of companies that operate across diverse sectors. The fund invests primarily in large-cap stocks with market capitalizations within the S&P 500 Index range. To create its portfolio, the fund uses quantitative analysis. The fund benchmarks its portfolio's performance against the S&P 500 Index. Nuveen Core Equity Alpha Fund was established on March 23, 2007, and is based in the United States.

Nuveen Investments Inc.推出了Nuveen Core Equity Alpha基金,這是一隻封閉式股票型共同基金。Nuveen Fund Advisors LLC、Nuveen Asset Management LLC以及INTECH Investment Management共同管理該基金。該基金投資於美國公開股票市場。該基金的部分投資組合還投資於使用期權和期貨的衍生品。該基金投資於在不同行業運營的公司的股票。該基金主要投資於市值在標準普爾500指數區間內的大盤股。為了創建其投資組合,該基金使用了量化分析。該基金以標準普爾500指數為基準,將其投資組合的表現作為基準。Nuveen Core Equity Alpha基金成立於2007年3月23日,總部設在美國。

Volume

Today's last reported volume for Nuveen Core Equity Alpha Fund Nuveen Core Equity Alpha Fund is 42407, 31.72% below its average volume of 62109.

今日最新公佈的Nuveen Core Equity Alpha Fund Nuveen Core Equity Alpha Fund成交量為42407只,較其平均成交量62109只低31.72%。

Nuveen Core Equity Alpha Fund Nuveen Core Equity Alpha Fund's last close was $15.84, 14.84% under its 52-week high of $18.60.

Nuveen Core Equity Alpha Fund Nuveen Core Equity Alpha Fund最新收盤價為15.84美元,較其52周高點18.60美元低14.84%。

Nuveen Core Equity Alpha Fund Nuveen Core Equity Alpha Fund's Stock Yearly Top and Bottom Value

Nuveen核心股權Alpha基金Nuveen核心股權Alpha基金股票年度最高和最低值

Nuveen Core Equity Alpha Fund Nuveen Core Equity Alpha Fund's stock is valued at $15.84 at 17:15 EST, way below its 52-week high of $18.60 and way above its 52-week low of $14.29.

截至美國東部時間17:15,Nuveen Core Equity Alpha Fund的股票估值為15.84美元,遠低於其52周高點18.60美元,遠高於其52周低點14.29美元。

Nuveen Core Equity Alpha Fund Nuveen Core Equity Alpha Fund's Moving Average

Nuveen核心股權Alpha基金Nuveen核心股權Alpha基金的移動平均

Nuveen Core Equity Alpha Fund Nuveen Core Equity Alpha Fund's worth is under its 50-day moving average of $16.06 and under its 200-day moving average of $16.78.

Nuveen Core Equity Alpha Fund Nuveen Core Equity Alpha Fund的價值低於其50日移動均線16.06美元和200日移動均線16.78美元。

More news about Nuveen Core Equity Alpha Fund Nuveen Core Equity Alpha Fund.

有關Nuveen核心股權阿爾法基金的更多新聞。

2. CHS (CHSCL) – Dividend Yield: 6.67%

2.CHS(CHSCL)-股息率:6.67%

CHS Inc. is an integrated agricultural company that provides food, grains and energy to consumers and businesses in North America and South America. It also supplies foods and energy for the Middle East and Africa. It operates in three main segments, Energy, Nitrogen Production, and Ag. The company is involved with the operations of oil refineries and pipelines. It also supplies, markets, and distributes refined fuels including gasoline and diesel fuel. Blending, selling, and distribution lubricants. And it provides propane and other natural gases liquids. It also sells refined oil to members cooperatives through an approximately 1,500-strong network. It also markets oilseeds and grains; offers seed, crop nutrients and crop protection products as well as animal feed and animal health products. The company also produces and sells nitrogen products such as methanol and UAN, as well other related products. It offers loans for individual farmers and cooperatives that provide loans to meet agricultural needs. CHS Inc. has its headquarters in Inver Grove Heights (Minnesota).

CHS公司是一家綜合性農業公司,向北美和南美的消費者和企業提供食品、穀物和能源。它還為中東和非洲提供食品和能源。它在三個主要領域運作,能源、氮氣生產和銀。該公司參與了煉油廠和管道的運營。它還供應、銷售和分銷精煉燃料,包括汽油和柴油。調合、銷售和分銷潤滑油。它還提供丙烷和其他天然氣液體。它還通過大約1500人的網絡向成員合作社銷售成品油。它還銷售油籽和穀物;提供種子、作物營養和作物保護產品以及動物飼料和動物保健品。該公司還生產和銷售甲醇和UAN等氮氣產品以及其他相關產品。它為個人農民和合作社提供貸款,這些合作社提供貸款以滿足農業需求。CHS公司的總部設在明尼蘇達州的因弗格羅夫高地。

Volume

Today's last reported volume for CHS is 6515, 75.88% below its average volume of 27008.

今天最新報告的社區衞生服務成交量為6,515家,較27008家的平均成交量低75.88%。

CHS's last close was $27.43, 9.41% under its 52-week high of $30.28.

CHS收盤報27.43美元,較52周高點30.28美元低9.41%。

CHS's Revenue

社區衞生服務的收入

Year-on-year quarterly revenue growth grew by 24.8%, now sitting on 40.61B for the twelve trailing months.

與去年同期相比,季度收入增長了24.8%,連續12個月達到406.1億英鎊。

Stock Price Classification

股票價格分類

According to the stochastic oscillator, a useful indicator of overbought and oversold conditions,

根據隨機振盪器,一個有用的超買和超賣狀態指標,

CHS's stock is considered to be oversold (<=20).

CHS的股票被認為是超賣的(

CHS's Stock Yearly Top and Bottom Value

CHS的股票年度最高和最低價值

CHS's stock is valued at $27.43 at 17:15 EST, under its 52-week high of $30.28 and higher than its 52-week low of $26.20.

在美國東部時間17:15,CHS的股價為27.43美元,低於30.28美元的52周高點,高於26.20美元的52周低點。

CHS's Moving Average

CHS移動平均線

CHS's worth is below its 50-day moving average of $27.52 and below its 200-day moving average of $28.55.

CHS的價值低於其50日移動均線切入位27.52美元,也低於其200日移動均線切入位28.55美元。

More news about CHS.

更多關於CHS的新聞。

3. PIMCO California Municipal Income Fund III (PZC) – Dividend Yield: 5.27%

3.太平洋投資管理公司加州市政收入基金III(PZC)-股息率:5.27%

PIMCO California Municipal income Fund III, a closed-ended fixed income mutual fund managed by Allianz Global Investors Fund Management LLC is launched. Pacific Investment Management Company LLC co-manages the fund. This fund is invested in fixed-income markets. The fund invests in stocks that are owned by companies from diversified industries. The portfolio includes California municipal bonds, other bonds and notes; California variable rate notes and other variable rate notes; California rate demand notes (and other rate note notes); U.S. Treasury bills; call options and put options; PIMCO California Municipal income Fund III was established on October 31, 2002. It is based in the United States.

由安聯全球投資者基金管理有限責任公司管理的封閉式固定收益共同基金PIMCO加利福尼亞市政收入基金III推出。太平洋投資管理公司LLC共同管理該基金。這隻基金投資於固定收益市場。該基金投資於多元化行業公司擁有的股票。該投資組合包括加州市政債券、其他債券和票據;加州可變利率票據和其他可變利率票據;加州利率即期票據(和其他利率票據);美國國庫券;看漲期權和看跌期權;PIMCO加利福尼亞市政收入基金III成立於2002年10月31日。它的總部設在美國。

Volume

Today's last reported volume for PIMCO California Municipal Income Fund III is 79437, 44.58% above its average volume of 54943.

PIMCO California City Income Fund III今日最新公佈的成交量為79437只,較54943只的平均成交量高出44.58%。

PIMCO California Municipal Income Fund III's last close was $8.54, 27.44% below its 52-week high of $11.77.

PIMCO California City Income Fund III最新收盤價為8.54美元,較其52周高點11.77美元低27.44%。

PIMCO California Municipal Income Fund III's Revenue

PIMCO加利福尼亞州市政收入基金III的收入

Year-on-year quarterly revenue growth declined by 1.1%, now sitting on 14.88M for the twelve trailing months.

與去年同期相比,季度收入增長下降了1.1%,連續12個月保持在1488萬美元。

PIMCO California Municipal Income Fund III's Stock Yearly Top and Bottom Value

PIMCO加利福尼亞州市政收入基金III的股票年度最高和最低價值

PIMCO California Municipal Income Fund III's stock is valued at $8.54 at 17:15 EST, way below its 52-week high of $11.77 and above its 52-week low of $8.53.

截至美國東部時間17:15,PIMCO California City Income Fund III的股票估值為8.54美元,遠低於11.77美元的52周高點,高於8.53美元的52周低點。

PIMCO California Municipal Income Fund III's Moving Average

PIMCO加利福尼亞州市政收入基金III的移動平均數

PIMCO California Municipal Income Fund III's value is under its 50-day moving average of $9.29 and way below its 200-day moving average of $10.59.

PIMCO California City Income Fund III的價值低於50日移動均線切入位9.29美元,也遠低於200日移動均線切入位10.59美元。

More news about PIMCO California Municipal Income Fund III.

更多關於PIMCO加州市政收入基金III的新聞。

4. Pimco California Municipal Income Fund II (PCK) – Dividend Yield: 5.13%

4.太平洋投資管理公司加州市政收入基金II(PCK)-股息率:5.13%

PIMCO California Municipal income Fund II, a closed-ended fixed income mutual fund managed by Allianz Global Investors Fund Management LLC is launched. Pacific Investment Management Company LLC co-manages the fund. It invests in the fixed-income markets of United States. The fund seeks to make investments in stocks that are owned by companies from diversified industries. It invests primarily in fixed-income municipal securities. The fund's investments portfolio includes investments in California municipal bonds, notes, other municipal bonds, notes, call-and-put options written, California variable rate notes and other variable rate note, corporate notes and U.S. Treasury bills. PIMCO California Municipal income Fund II was established in June 28, 2002. It is based in the United States.

由安聯全球投資者基金管理有限責任公司管理的封閉式固定收益共同基金PIMCO加利福尼亞市政收入基金II推出。太平洋投資管理公司LLC共同管理該基金。它投資於美國的固定收益市場。該基金尋求投資於多元化行業公司擁有的股票。它主要投資於固定收益的市政債券。該基金的投資組合包括對加州市政債券、票據、其他市政債券、票據、看漲期權、加州可變利率票據和其他可變利率票據、公司票據和美國國庫券的投資。太平洋投資管理公司加州市政收入基金II成立於2002年6月28日。它的總部設在美國。

Volume

Today's last reported volume for Pimco California Municipal Income Fund II is 96632, 11.51% above its average volume of 86656.

今日太平洋投資管理公司加州市政收入基金II最新報告的成交量為96632只,較86656只的平均成交量高出11.51%。

Pimco California Municipal Income Fund II's last close was $7.33, 25.81% below its 52-week high of $9.88.

PIMCO California City Income Fund II最新收盤價為7.33美元,較52周高點9.88美元低25.81%。

Pimco California Municipal Income Fund II's Revenue

太平洋投資管理公司加州市政收入基金II的收入

Year-on-year quarterly revenue growth declined by 16.3%, now sitting on 17.07M for the twelve trailing months.

季度營收同比增長16.3%,連續12個月保持在1707萬歐元的水平。

Pimco California Municipal Income Fund II's Stock Yearly Top and Bottom Value

太平洋投資管理公司加州市政收入基金II的股票年度最高和最低價值

Pimco California Municipal Income Fund II's stock is valued at $7.33 at 17:15 EST, way under its 52-week high of $9.88 and above its 52-week low of $7.26.

截至美國東部時間17:15,PIMCO California City Income Fund II的股票估值為7.33美元,遠低於52周高點9.88美元,高於52周低點7.26美元。

Pimco California Municipal Income Fund II's Moving Average

太平洋投資管理公司加州市政收入基金II的移動平均數

Pimco California Municipal Income Fund II's value is below its 50-day moving average of $7.90 and way under its 200-day moving average of $9.12.

PIMCO California City Income Fund II的價值低於50日移動均線7.90美元,也遠低於200日移動均線9.12美元。

More news about Pimco California Municipal Income Fund II.

更多關於太平洋投資管理公司加州市政收入基金的消息2。

5. Whitestone REIT (WSR) – Dividend Yield: 3.65%

5.白石房地產投資信託基金(WSR)-股息率:3.65%

Whitestone, a community-centered REIT, acquires, buys, manages and develops quality open-air neighborhood centres. It focuses mainly in Sunbelt's largest and fastest-growing markets. Whitestone aims to build communities by creating connections among consumers and providing entertainment, services and other experiences. Whitestone has been a dividend-paying stock for more than 15 years. Whitestone's capital structure is strong and balanced. It allows for flexibility and growth. Whitestone can also perform well in economic downturns.

懷特斯通是一家以社區為中心的房地產投資信託基金,負責收購、購買、管理和開發優質的露天社區中心。它主要專注於陽光地帶最大、增長最快的市場。Whitstone的目標是通過在消費者之間建立聯繫並提供娛樂、服務和其他體驗來建立社區。懷特斯通作為派息股票已經有15年多的歷史了。懷特斯通的資本結構強勁而平衡。它允許靈活性和成長性。懷特斯通在經濟低迷時期也能表現良好。

Volume

Today's last reported volume for Whitestone REIT is 367215, 38.61% below its average volume of 598172.

白石房地產投資信託基金今日最新公佈的成交量為367215只,較598172只的平均成交量低38.61%。

Whitestone REIT's last close was $13.14, 3.03% below its 52-week high of $13.55.

Whitstone REIT最新收盤價為13.14美元,較52周高點13.55美元低3.03%。

The company's growth estimates for the present quarter is 166.7% and a drop 25% for the next.

該公司對當前季度的增長預期為166.7%,下一季度預計將下降25%。

Whitestone REIT's Revenue

白石房地產投資信託基金的收入

Year-on-year quarterly revenue growth grew by 11.3%, now sitting on 126.06M for the twelve trailing months.

季度收入同比增長11.3%,連續12個月增長1.26億美元。

Whitestone REIT's Stock Yearly Top and Bottom Value

白石房地產投資信託基金股票年度最高和最低價值

Whitestone REIT's stock is valued at $13.14 at 17:15 EST, under its 52-week high of $13.55 and way higher than its 52-week low of $7.56.

截至美國東部時間17:15,Whitstone REIT的股價為13.14美元,低於13.55美元的52周高點,遠高於7.56美元的52周低點。

Whitestone REIT's Moving Average

白石房地產投資信託基金的移動平均值

Whitestone REIT's value is above its 50-day moving average of $12.35 and way higher than its 200-day moving average of $10.26.

白石房地產投資信託基金的價值高於其50日移動均線12.35美元,也遠高於其200日移動均線10.26美元。

More news about Whitestone REIT.

更多關於白石房地產投資信託基金的新聞。

6. ConAgra Foods (CAG) – Dividend Yield: 3.53%

6.康尼格拉食品公司(Conaga Foods)-股息率:3.53%

Conagra Brands, Inc., along with its subsidiaries, is a North American consumer packaged food company. It operates in three segments: Grocery & Snacks; Refrigerated & Freezed; International and Foodservice. Grocery & Snacks is a segment that primarily sells shelf-stable food products through various channels within the United States. The Refrigerated & Frozen section offers temperature-controlled food products through various channels within the United States. International offers food products at different temperatures in both retail and foodservice outlets outside the United States. Foodservice offers food products such as meals and entrees. It also sells various customized culinary products that can be packaged and sold to restaurants and other foodservice establishments throughout the United States. It sells products under several brands, including the Birds Eye and Marie Callender's brand, Banquet, Healthy Choice. ConAgra Foods, Inc. was the company's former name. In November 2016, Conagra Brands, Inc. took over that title. Conagra Brands, Inc. is an Illinois-based company that was established in 1919.

康尼格拉品牌公司及其子公司是一家北美消費品包裝食品公司。它在三個領域開展業務:食品雜貨和零食;冷藏和冷凍;國際和食品服務。食品雜貨和零食是一個主要通過各種渠道在美國國內銷售貨架穩定的食品的細分市場。冷藏和冷凍部分通過美國境內的各種渠道提供温度控制的食品。International在美國以外的零售店和餐飲店提供不同温度的食品。餐飲服務提供餐飲和主菜等食品。它還銷售各種定製的烹飪產品,這些產品可以包裝並出售給美國各地的餐館和其他餐飲服務機構。它銷售幾個品牌的產品,包括鳥眼和瑪麗·卡倫德的品牌,宴會,健康選擇。康尼格拉食品公司是該公司的前身。2016年11月,康尼格拉品牌公司接管了這一頭銜。康尼格拉品牌公司是一家總部位於伊利諾伊州的公司,成立於1919年。

Volume

Today's last reported volume for ConAgra Foods is 2899770, 40.04% below its average volume of 4836110.

今天,康尼格拉食品公司最新公佈的成交量為2899770台,比4836110台的平均成交量低40.04%。

ConAgra Foods's last close was $30.10, 23% below its 52-week high of $39.09.

康尼格拉食品公司最新收盤報30.10美元,較52周高點39.09美元低23%。

The company's growth estimates for the ongoing quarter is a negative 16% and positive 8.5% for the next.

該公司對當前季度的增長預期為負16%,下一季度為正8.5%。

ConAgra Foods's Revenue

康尼格拉食品公司的收入

Year-on-year quarterly revenue growth grew by 2.1%, now sitting on 11.22B for the twelve trailing months.

與去年同期相比,季度收入增長了2.1%,連續12個月增長11.22億。

ConAgra Foods's Stock Yearly Top and Bottom Value

康尼格拉食品公司的年度庫存最高和最低價值

ConAgra Foods's stock is valued at $35.40 at 17:15 EST, under its 52-week high of $39.09 and way higher than its 52-week low of $30.06.

美國東部時間17:15,康尼格拉食品公司的股票估值為35.40美元,低於39.09美元的52周高點,遠高於30.06美元的52周低點。

ConAgra Foods's Moving Average

康尼格拉食品公司的移動平均線

ConAgra Foods's value is higher than its 50-day moving average of $34.02 and above its 200-day moving average of $33.62.

康尼格拉食品的價值高於50日移動均線切入位34.02美元,也高於200日移動均線切入位33.62美元。

More news about ConAgra Foods.

更多關於康尼格拉食品公司的新聞。

7. Royal Bank Of Canada (RY) – Dividend Yield: 3.32%

7.加拿大皇家銀行(RY)-股息率:3.32%

Royal Bank of Canada is a global financial services company that offers a variety of products and services. Personal & Commercial Banking offers personal and commercial banking services, including checking and saving accounts, home equity financing and private lending. It also provides mutual funds, self-directed brokerage accounts and guaranteed investment certificates. Credit cards and other payment solutions are available. Leasing, lending, lending, lending, lending, lending, loan, investment, foreign currency, cash management, car dealer financing, trade products, as well as lending to small and medium-sized businesses. The segment provides financial services via branches, automated banktellers, and a mobile sales network. The company's Wealth Management segment offers a range of strategies and advice to individuals and institutions with high net worth or ultra-high networth. Its Insurance segment provides life, health and travel insurance to individuals, businesses, and groups. This is done through its advice centers and field sales teams, online and through independent advisors. The Investor & Treasury Services section provides asset, cash management and transaction banking services to institutional clients. It also offers correspondent banking services and trade finance services to financial institutions. Capital Markets, the company's investment and corporate banking segments, offers trading, equity, debt origination and distribution, sale and trade services to corporations, central banks, government asset managers, institutions, governments and other financial institutions. Royal Bank of Canada is a partner with Royal College Of Physicians & Surgeons Of Canada in order to meet the medical needs of Canada's specialists. It was established in Toronto in Canada in 1864.

加拿大皇家銀行是一家提供多種產品和服務的全球性金融服務公司。個人和商業銀行提供個人和商業銀行服務,包括支票和儲蓄賬户、房屋淨值融資和私人貸款。它還提供共同基金、自營經紀賬户和擔保投資證書。信用卡和其他支付解決方案也是可用的。租賃、貸款、貸款、投資、外匯、現金管理、汽車經銷商融資、貿易產品以及對中小企業的貸款。該細分市場通過分支機構、自動櫃員機和移動銷售網絡提供金融服務。該公司的財富管理部門為高淨值或超高淨值的個人和機構提供一系列戰略和建議。其保險部門為個人、企業和團體提供人壽、健康和旅行保險。這是通過其諮詢中心和現場銷售團隊、在線和獨立顧問完成的。投資者和財政服務部為機構客户提供資產、現金管理和交易銀行服務。它還為金融機構提供相應的銀行服務和貿易融資服務。資本市場是該公司的投資和企業銀行部門,向公司、中央銀行、政府資產管理公司、機構、政府和其他金融機構提供交易、股權、債務發行和分銷、銷售和貿易服務。加拿大皇家銀行是加拿大皇家內外科醫學院的合作伙伴,旨在滿足加拿大專家的醫療需求。它於1864年在加拿大多倫多成立。

Volume

Today's last reported volume for Royal Bank Of Canada is 752738, 38.34% below its average volume of 1220820.

今日加拿大皇家銀行的最新成交量為752738只,較1220820只的平均成交量低38.34%。

Royal Bank Of Canada's last close was $103.42, 4.32% under its 52-week high of $108.09.

加拿大皇家銀行的最後收盤價為103.42美元,較52周高點108.09美元低4.32%。

Royal Bank Of Canada's Sales

加拿大皇家銀行的銷售額

Royal Bank Of Canada's sales growth is a negative 0.8% for the current quarter and 5.1% for the next. The company's growth estimates for the current quarter and the next is 8.1% and 11.4%, respectively.

加拿大皇家銀行本季度的銷售額增長為負0.8%,下一季度為5.1%。該公司對當前季度和下一季度的增長預估分別為8.1%和11.4%。

Royal Bank Of Canada's Revenue

加拿大皇家銀行的收入

Year-on-year quarterly revenue growth grew by 8.6%, now sitting on 48.51B for the twelve trailing months.

季度營收同比增長8.6%,連續12個月達到485.1億英鎊。

Stock Price Classification

股票價格分類

According to the stochastic oscillator, a useful indicator of overbought and oversold conditions,

根據隨機振盪器,一個有用的超買和超賣狀態指標,

Royal Bank Of Canada's stock is considered to be overbought (>=80).

加拿大皇家銀行的股票被認為是超買(>=80)。

Royal Bank Of Canada's Stock Yearly Top and Bottom Value

加拿大皇家銀行的股票年度最高和最低值

Royal Bank Of Canada's stock is valued at $101.60 at 17:15 EST, below its 52-week high of $108.09 and way above its 52-week low of $79.82.

美國東部時間17點15分,加拿大皇家銀行的股票估值為101.60美元,低於52周高點108.09美元,遠高於52周低點79.82美元。

Royal Bank Of Canada's Moving Average

加拿大皇家銀行移動平均線

Royal Bank Of Canada's value is below its 50-day moving average of $104.07 and higher than its 200-day moving average of $100.69.

加拿大皇家銀行的價值低於50日移動均線切入位104.07美元,高於200日移動均線切入位100.69美元。

More news about Royal Bank Of Canada.

有關加拿大皇家銀行的更多消息。

8. Jerash Holdings (JRSH) – Dividend Yield: 3.31%

8.Jerash Holdings(JRSH)-股息率:3.31%

Jerash Holdings, Inc., via its subsidiaries, produces and exports custom-made and readymade sportswear and outerwear. It offers jackets and t-shirts as well as pants and shorts in knitted material. The company serves several brand-name retailers across the United States and Jordan as well as internationally. Fairfield, New Jersey is the home of this company.

Jerash Holdings,Inc.通過其子公司生產和出口定製和成衣運動服裝和外衣。它提供夾克和t恤,以及針織面料的褲子和短褲。該公司為美國和約旦以及國際上的幾家品牌零售商提供服務。新澤西州的費爾菲爾德是這家公司的總部所在地。

Volume

Today's last reported volume for Jerash Holdings is 18421, 27.18% below its average volume of 25295.

今天Jerash Holdings最新公佈的成交量為18421只,較其平均成交量25295只低27.18%。

Jerash Holdings's last close was $6.21, 32.5% under its 52-week high of $9.20.

Jerash Holdings最新收盤報6.21美元,較其52周高點9.20美元低32.5%。

Jerash Holdings's Sales

Jerash Holdings的銷售額

Jerash Holdings's sales growth is 26.9% for the present quarter and 33% for the next. The company's growth estimates for the current quarter is 16.7% and a drop 11.8% for the next.

Jerash Holdings本季度的銷售額增長為26.9%,下一季度為33%。該公司對當前季度的增長預期為16.7%,下一季度的增長預期為下降11.8%。

Jerash Holdings's Revenue

Jerash Holdings的收入

Year-on-year quarterly revenue growth grew by 78.2%, now sitting on 136.17M for the twelve trailing months.

季度收入同比增長78.2%,連續12個月增長1.3617億美元。

Jerash Holdings's Stock Yearly Top and Bottom Value

Jerash Holdings的股票年度最高和最低價值

Jerash Holdings's stock is valued at $6.21 at 17:15 EST, way below its 52-week high of $9.20 and above its 52-week low of $5.82.

在美國東部時間17:15,Jerash Holdings的股票估值為6.21美元,遠低於52周高點9.20美元,高於52周低點5.82美元。

Jerash Holdings's Moving Average

Jerash Holdings的移動平均線

Jerash Holdings's worth is below its 50-day moving average of $6.65 and way below its 200-day moving average of $6.97.

Jerash Holdings的價值低於50日移動均線切入位6.65美元,也遠低於200日移動均線切入位6.97美元。

More news about Jerash Holdings.

更多關於Jerash Holdings的新聞。

9. Boulder Growth & Income Fund (BIF) – Dividend Yield: 3.29%

9.Boulder Growth&Income Fund(BIF)-股息率:3.29%

Boulder Growth & Income Fund, Inc., is a closed-ended, balanced mutual fund that was launched by Boulder Investment Advisers, L.L.C. and now managed by them. The fund is managed by Stewart West Indies Trading Co Ltd., Rocky Mountain Advisers Llc. It invests in fixed-income and public equity markets around the world. The fund seeks investments in securities from companies that operate across diverse industries. It invests primarily in dividend-paying value stocks from companies of all capitalizations as well as fixed income securities that are issued by companies. The fund combines quantitative and fundamental analysis to build its portfolio. It uses a bottom up security picking approach that focuses on defensible companies with strong financial records and solid operating histories. It compares its portfolio's performance to the S&P 500 Composite Index. Boulder Growth & Income Fund, Inc., was established on December 7, 1972. It is based in the United States.

Boulder Growth&Income Fund,Inc.是一隻封閉式、平衡型共同基金,由Boulder Investment Advisers,L.L.C.推出,目前由他們管理。該基金由斯圖爾特西印度貿易有限公司落基山顧問有限責任公司管理。它投資於世界各地的固定收益和公開股票市場。該基金尋求在不同行業運營的公司對證券的投資。它主要投資於各種市值公司的派息價值型股票以及公司發行的固定收益證券。該基金結合了定量和基本面分析來構建其投資組合。它使用自下而上的安全挑選方法,專注於具有強勁財務記錄和堅實運營歷史的可防禦公司。該公司將其投資組合的表現與標準普爾500綜合指數進行了比較。Boulder Growth&Income基金成立於1972年12月7日。它的總部設在美國。

Volume

Today's last reported volume for Boulder Growth & Income Fund is 81946, 19.94% below its average volume of 102360.

Boulder Growth&Income Fund今日最新公佈的成交量為81946只,較102360只的平均成交量低19.94%。

Boulder Growth & Income Fund's last close was $14.48, 4.11% below its 52-week high of $15.10.

Boulder Growth&Income Fund最新收盤價為14.48美元,較其52周高點15.10美元低4.11%。

Boulder Growth & Income Fund's Revenue

巨石成長與收益基金的收入

Year-on-year quarterly revenue growth grew by 13.8%, now sitting on 22.51M for the twelve trailing months.

與去年同期相比,季度收入增長了13.8%,連續12個月達到2251萬美元。

Boulder Growth & Income Fund's Stock Yearly Top and Bottom Value

Boulder Growth&Income基金股票年度最高和最低值

Boulder Growth & Income Fund's stock is valued at $14.75 at 17:15 EST, under its 52-week high of $15.10 and way above its 52-week low of $12.90.

截至美國東部時間17:15,Boulder Growth&Income Fund的股票估值為14.75美元,低於15.10美元的52周高點,遠高於12.90美元的52周低點。

Boulder Growth & Income Fund's Moving Average

巨石成長與收益基金的移動平均線

Boulder Growth & Income Fund's value is above its 50-day moving average of $14.26 and above its 200-day moving average of $13.83.

Boulder Growth&Income Fund的價值高於其50日移動均線14.26美元和200日移動均線13.83美元。

More news about Boulder Growth & Income Fund.

更多關於Boulder Growth&Income Fund的新聞。

10. ViacomCBS (VIAC) – Dividend Yield: 2.89%

10.維亞康姆哥倫比亞廣播公司(ViacomCBS)-股息率:2.89%

ViacomCBS's last close was $33.16, 67.48% under its 52-week high of $101.97.

維亞康姆哥倫比亞廣播公司最後收盤價為33.16美元,較其52周高點101.97美元低67.48%。

The company's growth estimates for the current quarter and the next is a negative 16.5% and a negative 30.8%, respectively.

該公司對當前季度和下一季度的增長預期分別為負16.5%和負30.8%。

ViacomCBS's Revenue

維亞康姆CBS的收入

Year-on-year quarterly revenue growth grew by 13.2%, now sitting on 27.46B for the twelve trailing months.

季度營收同比增長13.2%,連續12個月達到274.6億歐元。

ViacomCBS's Stock Yearly Top and Bottom Value

維亞康姆哥倫比亞廣播公司股票年度最高和最低價值

ViacomCBS's stock is valued at $0.00 at 17:15 EST, under its 52-week low of $28.90.

美國東部時間17:15,維亞康姆CBS的股票估值為0.00美元,低於其52周低點28.90美元。

ViacomCBS's Moving Average

維亞康姆CBS移動平均線

ViacomCBS's worth is under its 50-day moving average of $35.62 and below its 200-day moving average of $43.11.

維亞康姆CBS的市值低於其50日移動均線切入位35.62美元,也低於其200日移動均線切入位43.11美元。

More news about ViacomCBS.

更多關於維亞康姆CBS的新聞。

譯文內容由第三人軟體翻譯。


以上內容僅用作資訊或教育之目的,不構成與富途相關的任何投資建議。富途竭力但無法保證上述全部內容的真實性、準確性和原創性。
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