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Blueknight Energy Partners L.P., L.L.C., And Nuveen Quality, And Another 7 Companies Have A High Estimated Dividend Yield

Blueknight Energy Partners L.P., L.L.C., And Nuveen Quality, And Another 7 Companies Have A High Estimated Dividend Yield

Blueknight Energy Partners L.P.,L.L.C.和Nuveen Quality,以及另外7家公司的股息收益率估計很高
Via news ·  2022/06/19 15:20

(VIANEWS) – Blueknight Energy Partners L.P., L.L.C. (BKEPP), Nuveen Quality (JPS), Northwest Bancshares (NWBI) have the highest dividend yield stocks on this list.

(VIANEWS)-Blueknight Energy Partners L.P.,L.L.C.(BKEPP),Nuveen Quality(JPS),Northwest BancShares(NWBI)在這份名單上擁有最高的股息收益率股票。

Rank Financial Asset Price Change Forward Dividend Yield Updated (EST)
1 Blueknight Energy Partners L.P., L.L.C. (BKEPP) 8.60 0.35% 8.32% 2022-06-06 23:49:14
2 Nuveen Quality (JPS) 7.54 -3.46% 7.3% 2022-06-03 21:06:16
3 Northwest Bancshares (NWBI) 12.37 -1.67% 6.36% 2022-06-10 07:09:07
4 Gladstone Investment Corporation (GAIN) 14.61 -1.75% 6.18% 2022-06-08 17:14:14
5 Hudson Pacific Properties (HPP) 19.62 -0.88% 4.87% 2022-06-03 13:23:13
6 Suncor Energy (SU) 34.38 -6.73% 4% 2022-06-17 14:50:55
7 PotlatchDeltic Corporation (PCH) 48.74 -3.88% 3.43% 2022-06-10 13:17:08
8 Nuveen New York Select Tax (NXN) 11.96 -0.08% 3.31% 2022-06-04 19:06:10
9 Molson Coors Brewing Company (TAP) 53.56 -0.78% 2.84% 2022-06-05 15:07:12
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 Blueknight Energy Partners L.P.,L.L.C.(BKEPP) 8.60 0.35% 8.32% 2022-06-06 23:49:14
2 Nuveen Quality(JPS) 7.54 -3.46% 7.3% 2022-06-03 21:06:16
3 西北銀行股份有限公司(Northwest BancShares) 12.37 -1.67% 6.36% 2022-06-10 07:09:07
4 格萊斯頓投資公司(Gain) 14.61 -1.75% 6.18% 2022-06-08 17:14:14
5 哈德遜太平洋地產(HPP) 19.62 -0.88% 4.87% 2022-06-03 13:23:13
6 森科爾能源公司(Suncor Energy) 34.38 -6.73% 4% 2022-06-17 14:50:55
7 加拿大鉀肥公司(PotlatchDeltic Corporation) 48.74 -3.88% 3.43% 2022-06-10 13:17:08
8 Nuveen New York Select Tax(NXN) 11.96 -0.08% 3.31% 2022-06-04 19:06:10
9 Molson Coors Brewing Company(TAP) 53.56 -0.78% 2.84% 2022-06-05 15:07:12

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. Blueknight Energy Partners L.P., L.L.C. (BKEPP) – Dividend Yield: 8.32%

1.Blueknight Energy Partners L.P.,L.L.C.(BKEPP)-股息率:8.32%

Blueknight Energy Partners L.P. offers integrated terminalling services to companies involved in liquid asphalt production, distribution and handling in the United States. It had 53 terminals in 26 states as of March 4, 2021. Blueknight Energy Partners G.P. The company's general partner. The previous name of the company was SemGroup Energy Partners L.P., but it changed its name in December 2009 to Blueknight Energy Partners L.P. Blueknight Energy Partners L.P. was established in 2007. It is located in Tulsa in Oklahoma.

Blueknight Energy Partners L.P.為在美國從事液態瀝青生產、分銷和裝卸的公司提供綜合終端服務。截至2021年3月4日,它在26個州擁有53個終端。Blueknight Energy Partners G.P.該公司的普通合夥人。該公司的前身是SemGroup Energy Partners L.P.,但在2009年12月更名為Blueknight Energy Partners L.P.Blueknight Energy Partners L.P.成立於2007年。它位於俄克拉何馬州的塔爾薩。

Volume

Today's last reported volume for Blueknight Energy Partners L.P., L.L.C. is 7233, 86.02% below its average volume of 51737.

今天Blueknight Energy Partners L.P.,L.L.C.最新公佈的成交量為7,233只,較51737只的平均成交量低86.02%。

Blueknight Energy Partners L.P., L.L.C.'s last close was $8.60, 3.8% below its 52-week high of $8.94.

Blueknight Energy Partners L.P.,L.L.C.最後收盤價為8.60美元,較其52周高點8.94美元低3.8%。

Blueknight Energy Partners L.P., L.L.C.'s Revenue

Blueknight Energy Partners L.P.,L.L.C.的收入

Year-on-year quarterly revenue growth declined by 0.2%, now sitting on 115.42M for the twelve trailing months.

與去年同期相比,季度收入增長下降了0.2%,連續12個月增長1.1542億美元。

Blueknight Energy Partners L.P., L.L.C.'s Stock Yearly Top and Bottom Value

Blueknight Energy Partners L.P.,L.L.C.的股票年度最高和最低價值

Blueknight Energy Partners L.P., L.L.C.'s stock is valued at $8.60 at 03:15 EST, below its 52-week high of $8.94 and way above its 52-week low of $7.39.

在美國東部時間下午3點15分,Blueknight Energy Partners L.P.,L.L.C.的股票估值為8.60美元,低於8.94美元的52周高點,遠高於7.39美元的52周低點。

Blueknight Energy Partners L.P., L.L.C.'s Moving Average

Blueknight Energy Partners L.P.,L.L.C.的移動平均

Blueknight Energy Partners L.P., L.L.C.'s value is higher than its 50-day moving average of $8.57 and above its 200-day moving average of $8.41.

Blueknight Energy Partners L.P.,L.L.C.的價值高於其50日移動均線8.57美元,也高於其200日移動均線8.41美元。

More news about Blueknight Energy Partners L.P., L.L.C..

更多有關Blueknight Energy Partners L.P.,L.L.C.的新聞

2. Nuveen Quality (JPS) – Dividend Yield: 7.3%

2.Nuveen Quality(JPS)-股息率:7.3%

Nuveen Investments, Inc. launched the Nuveen Preferred Securities Income Fund, a closed-end fixed income mutual fund. Nuveen Fund Advisors LLC, Spectrum Asset Management, Inc. co-manage the fund. The fund invests in fixed income markets across the United States. It invests primarily in preferred and investment-grade preferred bonds, as well as convertible securities. Convertible preferred securities with ratings of BBB/Baa, Moody's or Fitch, are also included. The fund was previously known as Nuveen QPreferred Income Fund 2. Nuveen Preferred Securities Income Fund, which was established June 24, 2002, is based in the United States.

Nuveen Investments,Inc.推出了Nuveen優先證券收入基金,這是一隻封閉式固定收益共同基金。Nuveen Fund Advisors LLC、Spectrum Asset Management,Inc.共同管理該基金。該基金投資於美國各地的固定收益市場。它主要投資於優先和投資級優先債券,以及可轉換證券。評級為BBB/Baa、穆迪或惠譽的可轉換優先證券也包括在內。該基金以前被稱為Nuveen QPrefered Income Fund 2。Nuveen優先證券收益基金成立於2002年6月24日,總部設在美國。

Volume

Today's last reported volume for Nuveen Quality is 1884010, 184.56% above its average volume of 662092.

今天最新報告的Nuveen Quality銷量為1884010輛,比662092輛的平均銷量高出184.56%。

Nuveen Quality's last close was $7.54, 25.12% under its 52-week high of $10.07.

Nuveen Quality的最後收盤價為7.54美元,較10.07美元的52周高點低25.12%。

Nuveen Quality's Revenue

Nuveen Quality的收入

Year-on-year quarterly revenue growth declined by 2.2%, now sitting on 160.82M for the twelve trailing months.

季度營收同比增長2.2%,連續12個月保持在1.6082億歐元的水平。

Nuveen Quality's Stock Yearly Top and Bottom Value

Nuveen Quality的年度庫存最高和最低值

Nuveen Quality's stock is valued at $7.54 at 03:15 EST, way below its 52-week high of $10.07 and higher than its 52-week low of $7.28.

美國東部時間下午3點15分,Nuveen Quality的股票估值為7.54美元,遠低於52周高點10.07美元,高於52周低點7.28美元。

Nuveen Quality's Moving Average

新品質量的移動平均數

Nuveen Quality's worth is under its 50-day moving average of $7.83 and way below its 200-day moving average of $9.02.

Nuveen Quality的價值低於其50日移動均線7.83美元,也遠低於200日移動均線9.02美元。

More news about Nuveen Quality.

更多關於Nuveen質量的新聞。

3. Northwest Bancshares (NWBI) – Dividend Yield: 6.36%

3.西北銀行股份(NWBI)-股息率:6.36%

Northwest Bancshares, Inc. is a holding company of Northwest Bank. It offers a variety of personal and business banking services. It accepts deposits of all types, including checking, savings and money market deposit. The company offers a range of loan products, including residential, one-to four-family, residential, commercial, residential, and multi-family real estate loans. It also has home equity lines and loans that include automobile, personal and unsecured loans. It also provides trust and investment services, employee benefits and property-and-casualty insurance. As of December 31, 2020 it had 170 community banks in eastern Ohio, New York, West Pennsylvania and Western New York. Northwest Bancshares, Inc. is located in Warren, Pennsylvania.

西北銀行股份有限公司是西北銀行的控股公司。它提供各種個人和商業銀行服務。它接受所有類型的存款,包括支票、儲蓄和貨幣市場存款。該公司提供一系列貸款產品,包括住宅、一至四户、住宅、商業、住宅和多户房地產貸款。它還擁有房屋淨值額度和貸款,包括汽車、個人和無擔保貸款。它還提供信託和投資服務、員工福利以及財產和意外傷害保險。截至2020年12月31日,它在俄亥俄州東部、紐約、賓夕法尼亞州西部和紐約西部擁有170家社區銀行。西北銀行股份有限公司位於賓夕法尼亞州沃倫。

Volume

Today's last reported volume for Northwest Bancshares is 774046, 20.6% below its average volume of 974834.

西北銀行今日最新公佈的成交量為774046股,較974834股的平均成交量低20.6%.

Northwest Bancshares's last close was $12.37, 18.35% under its 52-week high of $15.15.

西北銀行股價最後收盤報12.37美元,較15.15美元的52周高點低18.35%。

The company's growth estimates for the ongoing quarter and the next is a negative 4.3% and a negative 14.8%, respectively.

該公司對當前季度和下一季度的增長預期分別為負4.3%和負14.8%。

Northwest Bancshares's Revenue

西北銀行的收入

Year-on-year quarterly revenue growth declined by 14.6%, now sitting on 525.85M for the twelve trailing months.

季度營收同比增長14.6%,連續12個月保持在5.2585億美元。

Northwest Bancshares's Stock Yearly Top and Bottom Value

西北銀行股票年度最高和最低值

Northwest Bancshares's stock is valued at $12.37 at 03:15 EST, way under its 52-week high of $15.15 and higher than its 52-week low of $12.04.

美國東部時間下午3點15分,西北銀行的股票估值為12.37美元,遠低於15.15美元的52周高點,高於12.04美元的52周低點。

Northwest Bancshares's Moving Average

西北銀行股票移動平均線

Northwest Bancshares's value is under its 50-day moving average of $12.83 and under its 200-day moving average of $13.57.

西北銀行的市值低於其50日移動均線12.83美元和200日移動均線13.57美元。

More news about Northwest Bancshares.

更多關於西北銀行的新聞。

4. Gladstone Investment Corporation (GAIN) – Dividend Yield: 6.18%

4.格萊斯頓投資公司(Gain)-股息率:6.18%

Gladstone Investment Corporation is a specialist in buyouts of mature stage and lower middle-market debt. It also specializes on senior debt securities like senior term loans, lines and credit and senior notes. This fund doesn't invest in new start-ups. It invests in the manufacturing, distribution and consumer goods sectors. The fund invests in American-based small and medium-sized businesses. It prefers debt investments of between $5 million to $30 million, and equity investments of between $10 million and 40 million. Funds that have sales of between $20 million to $100 million are eligible for investment. Funds invest in businesses with EBITDA between $3 million and $20 million. The fund seeks minority ownership of its portfolio companies and would prefer to be a member of the board. The fund prefers to own a majority of its portfolio companies. The funds typically hold the investments for 7 years. Exit options include sale, recapitalization, initial publicly offering or sale to a third party.

格萊斯頓投資公司是一家專門收購成熟階段和中低端市場債務的公司。它還專門從事高級債務證券,如高級定期貸款、額度、信貸和優先票據。該基金不會投資於新的初創企業。它投資於製造、分銷和消費品行業。該基金投資於美國的中小型企業。它更喜歡500萬至3000萬美元的債務投資,以及1000萬至4000萬美元的股權投資。銷售額在2000萬至1億美元之間的基金有資格投資。基金投資於EBITDA在300萬至2000萬美元之間的企業。該基金尋求其投資組合公司的少數股權,並更願意成為董事會成員。該基金傾向於持有其投資組合公司的多數股權。這些基金通常持有這些投資7年。退出選擇包括出售、資本重組、首次公開發行或出售給第三方。

Volume

Today's last reported volume for Gladstone Investment Corporation is 85306, 22.57% below its average volume of 110176.

今天,格萊斯頓投資公司最新公佈的成交量為85306只,比110176只的平均成交量低22.57%。

Gladstone Investment Corporation's last close was $14.87, 13.29% under its 52-week high of $17.15.

Gladstone Investment Corporation收盤報14.87美元,較其52周高點17.15美元低13.29%。

The company's growth estimates for the ongoing quarter and the next is 414.3% and 228.6%, respectively.

該公司對當前季度和下一季度的增長預期分別為414.3%和228.6%。

Gladstone Investment Corporation's Revenue

格萊斯頓投資公司的收入

Year-on-year quarterly revenue growth declined by 3.6%, now sitting on 70.01M for the twelve trailing months.

與去年同期相比,季度收入增長下降了3.6%,連續12個月保持在7010萬美元的水平。

Gladstone Investment Corporation's Stock Yearly Top and Bottom Value

格萊斯頓投資公司股票年度最高和最低價值

Gladstone Investment Corporation's stock is valued at $14.61 at 03:15 EST, way under its 52-week high of $17.15 and above its 52-week low of $13.69.

美國東部時間下午3點15分,Gladstone Investment Corporation的股價為14.61美元,遠低於其52周高點17.15美元,高於其52周低點13.69美元。

Gladstone Investment Corporation's Moving Average

格萊斯頓投資公司的移動平均線

Gladstone Investment Corporation's worth is below its 50-day moving average of $15.58 and under its 200-day moving average of $15.57.

Gladstone Investment Corporation的價值低於其50日移動均線切入位15.58美元,也低於其200日移動均線切入位15.57美元。

More news about Gladstone Investment Corporation.

更多關於格萊斯頓投資公司的新聞。

5. Hudson Pacific Properties (HPP) – Dividend Yield: 4.87%

5.哈德遜太平洋地產(HPP)-股息率:4.87%

Hudson Pacific, a real-estate investment trust, has a portfolio that includes studio and office properties covering nearly 19,000,000 square feet. There is also land available for development. Its anchor tenants are Fortune 500 companies and top growth companies like Netflix, Square, Uber and NFL Enterprises. They also focus on the West Coast's premier epicenters for innovation, media, and technology. Hudson Pacific, which is listed on the NYSE under symbol HPP and a part of the S&P MidCap 400 Index, trades publicly.

房地產投資信託公司Hudson Pacific的投資組合包括近19,000,000平方英尺的工作室和寫字樓。還有可供開發的土地。它的主要租户是財富500強公司和Netflix、Square、Uber和NFL Enterprise等頂級增長公司。他們還關注西海岸首屈一指的創新、媒體和技術中心。哈德遜太平洋公司在紐約證券交易所上市,代碼為HPP,是標準普爾MidCap 400指數的一部分,公開交易。

Volume

Today's last reported volume for Hudson Pacific Properties is 1103150, 30.83% below its average volume of 1594760.

哈德遜太平洋地產今天最新公佈的成交量為1103150套,較1594760套的平均成交量低30.83%。

Hudson Pacific Properties's last close was $19.80, 34.76% under its 52-week high of $30.35.

哈德遜太平洋地產最後收盤價為19.80美元,較30.35美元的52周高點低34.76%。

Hudson Pacific Properties's Sales

哈德遜太平洋地產的銷售

Hudson Pacific Properties's sales growth is 14.2% for the ongoing quarter and 14.3% for the next. The company's growth estimates for the current quarter is a negative 50% and positive 116.7% for the next.

哈德遜太平洋地產本季度的銷售額增長率為14.2%,下一季度為14.3%。該公司對當前季度的增長預期為負50%,對下一季度的增長預期為正116.7%。

Hudson Pacific Properties's Revenue

哈德遜太平洋地產的收入

Year-on-year quarterly revenue growth grew by 14.5%, now sitting on 929.72M for the twelve trailing months.

季度收入同比增長14.5%,連續12個月增長9.2972億美元。

Hudson Pacific Properties's Stock Yearly Top and Bottom Value

哈德遜太平洋地產的股票年度最高和最低價值

Hudson Pacific Properties's stock is valued at $19.62 at 03:15 EST, way under its 52-week high of $30.35 and above its 52-week low of $19.06.

美國東部時間下午3點15分,Hudson Pacific Properties的股價為19.62美元,遠低於30.35美元的52周高點,高於19.06美元的52周低點。

Hudson Pacific Properties's Moving Average

哈德遜太平洋地產的移動平均線

Hudson Pacific Properties's worth is way under its 50-day moving average of $23.67 and way under its 200-day moving average of $25.36.

Hudson Pacific Properties的市值遠低於其50日移動均線23.67美元和200日移動均線25.36美元。

More news about Hudson Pacific Properties.

更多關於哈德遜太平洋地產的新聞。

6. Suncor Energy (SU) – Dividend Yield: 4%

6.森科爾能源(Suncor Energy)-股息率:4%

Suncor Energy Inc. is an integrated energy company. It primarily concentrates on the development of petroleum resources in Canada's Athabasca oil-sands. The company also explores, acquires and develops crude oil and produces and markets it internationally. The company operates in Oil Sands, Exploration and Production, Refining and Market; and Corporate and Eliminations. Oil Sands is a segment that recovers bitumen in mining operations and other in-place operations. It then upgrades the bitumen into diesel fuel and refinery feedstock, or mixes it with diluent to sell directly to the market. Exploration and Production is responsible for offshore operations in Canada and the North Sea, as well as managing onshore assets in Libya and Syria. Refining and Marketing refines crude oil and other intermediate feedstock to various petroleum and chemical products. It also markets these products to commercial, industrial, and retail customers via its dealers, the sales channel and wholesale customers. Four wind farms are operated in Ontario and Western Canada by the Corporate and Eliminations section. It also trades crude oil, natural gases, byproducts and refined products. The former name of the company was Suncor Inc., but it changed its name in April 1997 to Suncor Energy Inc. Suncor Energy Inc. was established in Calgary, Canada in 1917.

森科爾能源公司是一家綜合性能源公司。它主要專注於加拿大阿薩巴斯卡油砂石油資源的開發。該公司還勘探、收購和開發原油,並在國際上生產和銷售原油。該公司在油砂、勘探和生產、煉油和市場以及公司和消除等領域開展業務。油砂是一個在採礦作業和其他原地作業中回收瀝青的部門。然後,它將瀝青升級為柴油和煉油廠原料,或者將其與稀釋劑混合,直接出售給市場。勘探和生產部門負責加拿大和北海的離岸業務,以及管理利比亞和敍利亞的陸上資產。煉油和營銷公司將原油和其他中間原料提煉成各種石油和化工產品。它還通過經銷商、銷售渠道和批發客户向商業、工業和零售客户營銷這些產品。公司和消除部門在安大略省和加拿大西部運營着四個風力發電場。它還交易原油、天然氣、副產品和精煉產品。該公司的前身是森科爾公司,但在1997年4月更名為森科爾能源公司。森科爾能源公司於1917年在加拿大卡爾加里成立。

Volume

Today's last reported volume for Suncor Energy is 12801200, 71.48% above its average volume of 7465350.

今天森科爾能源公司最新報告的成交量為12801200台,比7465350台的平均成交量高出71.48%。

Suncor Energy 's last close was $34.32, 19.66% below its 52-week high of $42.72.

森科爾能源最新收盤報34.32美元,較52周高點42.72美元低19.66%。

Suncor Energy 's Sales

森科爾能源公司的銷售額

Suncor Energy 's sales growth is 43.8% for the ongoing quarter and 30.6% for the next. The company's growth estimates for the ongoing quarter and the next is 334.2% and 141.8%, respectively.

森科爾能源公司當前季度的銷售額增長為43.8%,下一季度為30.6%。該公司對當前季度和下一季度的增長預期分別為334.2%和141.8%。

Suncor Energy 's Revenue

森科爾能源公司的收入

Year-on-year quarterly revenue growth grew by 68.5%, now sitting on 39.13B for the twelve trailing months.

與去年同期相比,季度收入增長了68.5%,連續12個月達到391.3億歐元。

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,

Suncor Energy 's stock is considered to be overbought (>=80).

森科爾能源公司的股票被認為是超買(>=80)。

Suncor Energy 's Stock Yearly Top and Bottom Value

森科爾能源公司股票年度最高和最低值

Suncor Energy 's stock is valued at $34.38 at 03:15 EST, way below its 52-week high of $42.72 and way above its 52-week low of $17.10.

美國東部時間下午3點15分,森科爾能源的股票估值為34.38美元,遠低於52周高點42.72美元,遠高於52周低點17.10美元。

Suncor Energy 's Moving Average

森科爾能源的移動平均線

Suncor Energy 's worth is below its 50-day moving average of $36.37 and way above its 200-day moving average of $28.34.

森科爾能源的價值低於50日移動均線36.37美元,遠高於200日移動均線28.34美元。

More news about Suncor Energy .

更多關於森科爾能源的新聞。

7. PotlatchDeltic Corporation (PCH) – Dividend Yield: 3.43%

7.PotlatchDeltic Corporation(PCH)-股息率:3.43%

PotlatchDeltic is a top Real Estate Investment Trust, (REIT), that has 1.8 million acres in timberlands across Alabama, Arkansas and Louisiana. The company's taxable REIT subsidiary also owns six sawmills and an industrial-grade plywood plant. It also runs a residential real estate development and rural timberland sale business. PotlatchDeltic is a pioneer in sustainable forest management and advocates responsible governance.

PotlatchDeltic是頂級房地產投資信託基金(REIT),在阿拉巴馬州、阿肯色州和路易斯安那州擁有180萬英畝的林地。該公司的應税房地產投資信託基金子公司還擁有六家鋸木廠和一家工業級膠合板工廠。它還經營住宅房地產開發和農村林地銷售業務。PotlatchDeltic是可持續森林管理的先驅,倡導負責任的治理。

Volume

Today's last reported volume for PotlatchDeltic Corporation is 174472, 59.52% below its average volume of 430969.

今天PotlatchDeltic Corporation最新報告的成交量為174472,比其平均成交量430969低59.52%。

PotlatchDeltic Corporation's last close was $50.71, 17.56% below its 52-week high of $61.51.

PotlatchDeltic Corporation最新收盤報50.71美元,較52周高位61.51美元低17.56%。

The company's growth estimates for the present quarter and the next is a negative 46.6% and a negative 7.2%, respectively.

該公司對當前季度和下一季度的增長預期分別為負46.6%和負7.2%。

PotlatchDeltic Corporation's Revenue

加拿大鉀肥公司的收入

Year-on-year quarterly revenue growth grew by 16.1%, now sitting on 1.39B for the twelve trailing months.

季度收入同比增長16.1%,連續12個月增長13.9億美元。

PotlatchDeltic Corporation's Stock Yearly Top and Bottom Value

加拿大鉀肥公司股票年度最高和最低價值

PotlatchDeltic Corporation's stock is valued at $48.74 at 03:15 EST, way under its 52-week high of $61.51 and above its 52-week low of $48.64.

在美國東部時間下午3點15分,PotlatchDeltic Corporation的股價為48.74美元,遠低於61.51美元的52周高點,高於48.64美元的52周低點。

PotlatchDeltic Corporation's Moving Average

PotlatchDeltic公司的移動平均線

PotlatchDeltic Corporation's worth is below its 50-day moving average of $53.40 and way under its 200-day moving average of $54.50.

PotlatchDeltic Corporation的市值低於50日移動均線53.40美元,也遠低於200日移動均線54.50美元。

More news about PotlatchDeltic Corporation.

更多關於PotlatchDeltic公司的新聞。

8. Nuveen New York Select Tax (NXN) – Dividend Yield: 3.31%

8.Nuveen New York Select Tax(NXN)-股息率:3.31%

Nuveen Investments Inc. launched Nuveen New York Select tax-free Income Portfolio, a closed-ended mutual fund that provides fixed income. Nuveen Asset Management, LLC and Nuveen Fund Advisors LLC co-manage the fund. The fund invests in New York's fixed-income markets. It invests in securities from companies operating across diverse sectors. The fund invests primarily in municipal bonds that have a credit quality above BBB/BAA. To create its portfolio, the fund uses fundamental analysis. The fund benchmarks its portfolio's performance against the Barclays Capital New York Municipal Bond Index or S&P New York Municipal Bond Index. Nuveen New York Select tax-free income portfolio was established on June 19, 1992. It is based in the United States.

Nuveen Investments Inc.推出了Nuveen New York Select免税收入投資組合,這是一隻提供固定收益的封閉式共同基金。Nuveen Asset Management,LLC和Nuveen Fund Advisors LLC共同管理該基金。該基金投資於紐約的固定收益市場。它投資於跨不同行業運營的公司的證券。該基金主要投資於信用質量高於BBB/BAA的市政債券。為了創建其投資組合,該基金使用基本面分析。該基金將其投資組合的表現與巴克萊資本紐約市政債券指數(Barclays Capital New York City Bond Index)或標準普爾紐約市政債券指數(S&P New York City Bond Index)進行比較。Nuveen New York Select免税收入組合成立於1992年6月19日。它的總部設在美國。

Volume

Today's last reported volume for Nuveen New York Select Tax is 5346, 46.33% below its average volume of 9960.

今天Nuveen New York Select Tax的最新報告成交量為5346件,比9960件的平均成交量低46.33%。

Nuveen New York Select Tax's last close was $11.96, 17.52% under its 52-week high of $14.50.

Nuveen New York Select Tax最新收盤價為11.96美元,較14.50美元的52周高點低17.52%。

Nuveen New York Select Tax's Revenue

Nuveen New York精選税務局收入

Year-on-year quarterly revenue growth declined by 10.4%, now sitting on 1.93M for the twelve trailing months.

與去年同期相比,季度收入增長下降了10.4%,連續12個月保持在193萬美元。

Nuveen New York Select Tax's Stock Yearly Top and Bottom Value

Nuveen New York Select Tax的股票年度最高和最低值

Nuveen New York Select Tax's stock is valued at $11.96 at 03:16 EST, way below its 52-week high of $14.50 and above its 52-week low of $11.31.

在美國東部時間下午3點16分,Nuveen New York Select Tax的股價為11.96美元,遠低於14.50美元的52周高點,高於11.31美元的52周低點。

Nuveen New York Select Tax's Moving Average

Nuveen New York Select Tax的移動平均數

Nuveen New York Select Tax's value is under its 50-day moving average of $12.02 and below its 200-day moving average of $13.20.

Nuveen New York Select Tax的價值低於其50日移動均線12.02美元,也低於其200日移動均線13.20美元。

More news about Nuveen New York Select Tax.

更多關於Nuveen New York Select Tax的新聞。

9. Molson Coors Brewing Company (TAP) – Dividend Yield: 2.84%

9.Molson Coors Brewing Company(TAP)-股息率:2.84%

Molson Coors Beverage Company produces, markets and sells beer, as well as other malt beverages, in the United States and Canada. The original name of the company was Molson Coors Brewing Company. In January 2020, it changed its name from Molson Coors Beverage Company to Molson Coors Beverage Company. Molson Coors Beverage Company is located in Golden, Colorado. It was established in 1774.

Molson Coors飲料公司在美國和加拿大生產、營銷和銷售啤酒以及其他麥芽飲料。該公司最初的名稱是Molson Coors Brewing Company。2020年1月,從Molson Coors飲料公司更名為Molson Coors飲料公司。Molson Coors飲料公司位於科羅拉多州的戈爾登。它成立於1774年。

Volume

Today's last reported volume for Molson Coors Brewing Company is 985046, 35.85% below its average volume of 1535540.

今天,Molson Coors Brewing Company的最新報告銷量為985046輛,比其平均銷量1535540輛低35.85%。

Molson Coors Brewing Company's last close was $53.56, 12.88% below its 52-week high of $61.48.

Molson Coors Brewing Company收盤報53.56美元,較52周高點61.48美元低12.88%。

The company's growth estimates for the present quarter and the next is a negative 24.1% and a negative 12%, respectively.

該公司對當前季度和下一季度的增長預期分別為負24.1%和負12%。

Molson Coors Brewing Company's Revenue

Molson Coors釀造公司的收入

Year-on-year quarterly revenue growth grew by 16.7%, now sitting on 10.6B for the twelve trailing months.

季度營收同比增長16.7%,連續12個月保持在106億美元的水平。

Molson Coors Brewing Company's Stock Yearly Top and Bottom Value

Molson Coors釀造公司股票年度最高和最低價值

Molson Coors Brewing Company's stock is valued at $53.56 at 03:16 EST, way under its 52-week high of $61.48 and way higher than its 52-week low of $42.46.

在美國東部時間下午3點16分,Molson Coors Brewing Company的股價為53.56美元,遠低於61.48美元的52周高點,也遠高於42.46美元的52周低點。

Molson Coors Brewing Company's Moving Average

Molson Coors釀造公司的移動平均數

Molson Coors Brewing Company's worth is below its 50-day moving average of $53.88 and above its 200-day moving average of $49.19.

Molson Coors Brewing Company的價值低於50日移動均線53.88美元,高於200日移動均線49.19美元。

More news about Molson Coors Brewing Company.

更多關於Molson Coors釀造公司的新聞。

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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