Last Close
Feb 26  •  04:00PM ET
148.03
Dollar change
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Index- P/E9.16 EPS (ttm)16.15 Insider Own27.12% Shs Outstand30.20M Perf Week6.24%
Market Cap6.09B Forward P/E7.39 EPS next Y20.04 Insider Trans0.00% Shs Float29.98M Perf Month7.88%
Enterprise Value7.06B PEG0.65 EPS next Q4.88 Inst Own66.84% Short Float5.82% Perf Quarter25.51%
Income671.65M P/S1.68 EPS this Y12.84% Inst Trans0.42% Short Ratio5.40 Perf Half Y25.56%
Sales3.62B P/B2.19 EPS next Y9.07% ROA10.90% Short Interest1.74M Perf YTD22.73%
Book/sh67.47 P/C4.55 EPS next 5Y11.35% ROE26.09% 52W High156.41 -5.36% Perf Year58.07%
Cash/sh32.53 P/FCF- EPS past 3/5Y23.82% - ROIC13.87% 52W Low82.54 79.34% Perf 3Y62.87%
Dividend Est.6.76 (4.57%) EV/EBITDA5.99 Sales past 3/5Y6.86% 35.20% Gross Margin31.96% Volatility2.90% 3.31% Perf 5Y61.48%
Dividend TTM6.44 (4.35%) EV/Sales1.95 EPS Y/Y TTM11.59% Oper. Margin22.45% ATR (14)4.57 Perf 10Y147.91%
Dividend Ex-DateFeb 27, 2026 Quick Ratio1.13 Sales Y/Y TTM5.03% Profit Margin18.56% RSI (14)59.63 Recom1.44
Dividend Gr. 3/5Y- 51.76% Current Ratio1.23 EPS Q/Q3.56% SMA201.43% Beta0.88 Target Price171.67
Payout39.56% Debt/Eq0.83 Sales Q/Q9.79% SMA5010.04% Rel Volume0.82 Prev Close147.94
Employees7909 LT Debt/Eq0.74 EarningsFeb 11 AMC SMA20023.27% Avg Volume322.71K Price148.03
IPODec 15, 2005 Option/ShortYes / Yes EPS/Sales Surpr.-4.83% 0.40% Trades Volume265,844 Change0.06%
Date Action Analyst Rating Change Price Target Change
Feb-13-26Downgrade Goldman Buy → Neutral $151
Aug-08-25Reiterated TD Cowen Buy $144 → $147
Aug-09-24Reiterated TD Cowen Buy $145 → $130
Jun-18-24Reiterated TD Cowen Buy $160 → $145
May-24-24Initiated Morgan Stanley Overweight $140
May-17-24Reiterated TD Cowen Buy $145 → $160
Jan-13-23Upgrade JP Morgan Neutral → Overweight $105 → $132
Dec-15-22Upgrade Cowen Market Perform → Outperform $98
Oct-27-22Upgrade UBS Neutral → Buy $79 → $120
May-13-22Upgrade Barclays Underweight → Overweight $96
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Copa Holdings SA engages in the provision of air transportation. It offers international flights to Costa Rica, Jamaica, Colombia, and other cities The firm operates through the following geographical segments: North America; South America; Central America; and Caribbean. The company was founded in 1947 and is headquartered in Panama.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
PEDRO OSVALDO HEILBRON CALONGEOfficerDec 01 '25Proposed Sale121.8017,4592,126,506Dec 01 04:17 PM
PEDRO OSVALDO HEILBRON CALONGEOfficerNov 03 '25Proposed Sale125.2130,0003,756,300Nov 03 04:22 PM
PEDRO OSVALDO HEILBRON CALONGEOfficerOct 03 '25Proposed Sale119.9410,1851,221,589Oct 03 04:35 PM
PEDRO OSVALDO HEILBRON CALONGEOfficerOct 02 '25Proposed Sale117.5919,8152,330,046Oct 02 04:21 PM
PEDRO OSVALDO HEILBRON CALONGEOfficerSep 23 '25Proposed Sale119.9621,9432,632,282Sep 23 04:22 PM
PEDRO OSVALDO HEILBRON CALONGEOfficerSep 22 '25Proposed Sale119.758,057964,826Sep 22 04:25 PM
PEDRO OSVALDO HEILBRON CALONGEOfficerJun 04 '25Proposed Sale108.662,631285,884Jun 04 04:23 PM
PEDRO OSVALDO HEILBRON CALONGEOfficerMay 29 '25Proposed Sale109.5573,6108,063,976May 29 04:43 PM
Last Close
Feb 26  •  04:00PM ET
30.97
Dollar change
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Percentage change
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TDC Teradata Corp daily Stock Chart
Index- P/E23.04 EPS (ttm)1.34 Insider Own3.13% Shs Outstand93.20M Perf Week-3.58%
Market Cap2.89B Forward P/E11.02 EPS next Y2.81 Insider Trans-2.90% Shs Float90.29M Perf Month4.70%
Enterprise Value2.95B PEG1.56 EPS next Q0.76 Inst Own102.30% Short Float7.77% Perf Quarter11.93%
Income130.00M P/S1.74 EPS this Y1.87% Inst Trans-6.59% Short Ratio4.11 Perf Half Y50.71%
Sales1.66B P/B13.25 EPS next Y6.92% ROA7.46% Short Interest7.02M Perf YTD1.74%
Book/sh2.34 P/C5.85 EPS next 5Y7.07% ROE71.63% 52W High41.78 -25.87% Perf Year29.15%
Cash/sh5.29 P/FCF10.09 EPS past 3/5Y62.97% 3.15% ROIC18.31% 52W Low18.43 68.04% Perf 3Y-24.88%
Dividend Est.- EV/EBITDA9.80 Sales past 3/5Y-2.51% -1.96% Gross Margin59.71% Volatility6.80% 6.03% Perf 5Y-22.77%
Dividend TTM- EV/Sales1.77 EPS Y/Y TTM16.57% Oper. Margin12.69% ATR (14)1.90 Perf 10Y23.34%
Dividend Ex-Date- Quick Ratio0.90 Sales Y/Y TTM-4.97% Profit Margin7.82% RSI (14)51.60 Recom2.69
Dividend Gr. 3/5Y- - Current Ratio0.92 EPS Q/Q48.03% SMA202.68% Beta0.54 Target Price35.73
Payout0.00% Debt/Eq2.42 Sales Q/Q2.93% SMA502.19% Rel Volume0.97 Prev Close30.41
Employees5700 LT Debt/Eq2.09 EarningsFeb 10 AMC SMA20024.95% Avg Volume1.71M Price30.97
IPOSep 12, 2007 Option/ShortYes / Yes EPS/Sales Surpr.33.05% 5.12% Trades Volume1,650,570 Change1.84%
Date Action Analyst Rating Change Price Target Change
Nov-10-25Upgrade Citizens JMP Mkt Perform → Mkt Outperform $42
May-07-25Downgrade Northland Capital Outperform → Market Perform $21
Apr-08-25Upgrade Morgan Stanley Equal-Weight → Overweight $26
Aug-06-24Downgrade JMP Securities Mkt Outperform → Mkt Perform
Jul-19-24Initiated UBS Sell $32
May-07-24Downgrade BofA Securities Neutral → Underperform $48 → $39
Feb-13-24Downgrade Morgan Stanley Overweight → Equal-Weight $74 → $48
Feb-13-24Downgrade BofA Securities Buy → Neutral $58 → $48
Sep-28-23Initiated Evercore ISI Outperform $65
May-02-23Initiated Northland Capital Outperform $63
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Teradata Corp. is a cloud data analytics company which is built for a multi-cloud reality and solving data challenges at scale. It operates through the following geographical segments: Americas, EMEA, and APJ. The company was founded on July 13, 1979, and is headquartered in San Diego, CA.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
STEPHEN MCMILLANOfficerFeb 26 '26Proposed Sale30.2650,0001,513,125Feb 26 04:17 PM
Gianoni Michael PDirectorFeb 24 '26Sale29.9625,000749,12531,523Feb 25 04:26 PM
Gianoni Michael PDirectorFeb 24 '26Proposed Sale29.9625,000749,125Feb 24 01:27 PM
Lynrock Lake LP10% OwnerFeb 11 '26Sale40.2961,9902,497,5079,354,676Feb 13 05:21 PM
Lynrock Lake Master Fund LP10% OwnerFeb 11 '26Proposed Sale29.2337,2391,088,496Feb 11 09:22 PM
Treese Margaret AOfficerAug 27 '25Proposed Sale21.0675,0601,580,457Aug 27 04:30 PM
CHOU TIMOTHY C KDirectorMay 22 '25Sale21.836,216135,69536,077May 27 04:13 PM
CHOU TIMOTHY C KDirectorMay 22 '25Proposed Sale21.836,216135,695May 22 10:01 AM
BRAMLEY CLAIREChief Financial OfficerMar 10 '25Sale22.8335,464809,646105,833Mar 11 04:44 PM
Cullen-Cote Kathleen RChief People OfficerMar 07 '25Sale22.881,75540,154142,707Mar 10 04:28 PM
BRAMLEY CLAIREOfficerMar 10 '25Proposed Sale23.1735,464821,701Mar 10 01:53 PM
Cullen-Cote Kathleen ROfficerMar 07 '25Proposed Sale22.881,75540,154Mar 07 10:26 AM
Cullen-Cote Kathleen RChief People OfficerMar 04 '25Sale23.161,88143,564147,747Mar 05 04:16 PM
Cullen-Cote Kathleen RChief People OfficerMar 03 '25Sale23.875,955142,146108,996Mar 04 04:41 PM
Cullen-Cote Kathleen RChief People OfficerFeb 28 '25Sale23.392,35355,037114,951Mar 04 04:41 PM
Ashton HillaryFormer OfficerMar 04 '25Proposed Sale23.2228,341657,983Mar 04 04:21 PM
Cullen-Cote Kathleen ROfficerMar 04 '25Proposed Sale23.161,88143,564Mar 04 10:38 AM
Cullen-Cote Kathleen ROfficerMar 03 '25Proposed Sale23.875,955142,146Mar 03 01:12 PM
Cullen-Cote Kathleen ROfficerFeb 28 '25Proposed Sale23.392,35355,037Feb 28 10:46 AM
Last Close
Feb 26  •  04:00PM ET
7.16
Dollar change
-0.04
Percentage change
-0.56
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TROX Tronox Holdings plc daily Stock Chart
IndexRUT P/E- EPS (ttm)-2.97 Insider Own27.09% Shs Outstand158.56M Perf Week3.02%
Market Cap1.14B Forward P/E- EPS next Y-0.22 Insider Trans0.00% Shs Float115.60M Perf Month10.32%
Enterprise Value4.40B PEG- EPS next Q-0.45 Inst Own71.25% Short Float13.76% Perf Quarter111.21%
Income-470.00M P/S0.39 EPS this Y35.34% Inst Trans-0.61% Short Ratio3.61 Perf Half Y73.79%
Sales2.89B P/B0.80 EPS next Y77.16% ROA-7.67% Short Interest15.91M Perf YTD71.70%
Book/sh8.94 P/C5.38 EPS next 5Y59.63% ROE-29.57% 52W High8.80 -18.64% Perf Year-9.94%
Cash/sh1.33 P/FCF- EPS past 3/5Y- - ROIC-10.00% 52W Low2.86 150.35% Perf 3Y-52.17%
Dividend Est.0.10 (1.40%) EV/EBITDA21.04 Sales past 3/5Y-5.77% 0.87% Gross Margin7.98% Volatility6.46% 8.53% Perf 5Y-60.96%
Dividend TTM0.40 (5.59%) EV/Sales1.52 EPS Y/Y TTM-875.49% Oper. Margin-3.94% ATR (14)0.56 Perf 10Y52.02%
Dividend Ex-DateFeb 23, 2026 Quick Ratio0.67 Sales Y/Y TTM-5.86% Profit Margin-16.25% RSI (14)54.56 Recom2.20
Dividend Gr. 3/5Y-11.21% 4.56% Current Ratio2.46 EPS Q/Q-484.62% SMA20-1.16% Beta1.12 Target Price7.25
Payout- Debt/Eq2.43 Sales Q/Q7.41% SMA5019.68% Rel Volume0.60 Prev Close7.20
Employees5750 LT Debt/Eq2.31 EarningsFeb 18 AMC SMA20047.67% Avg Volume4.41M Price7.16
IPODec 01, 2010 Option/ShortYes / Yes EPS/Sales Surpr.-31.64% 3.10% Trades Volume2,648,403 Change-0.56%
Date Action Analyst Rating Change Price Target Change
Dec-09-25Upgrade BMO Capital Markets Underperform → Market Perform $6
Oct-03-25Downgrade JP Morgan Overweight → Neutral
Sep-12-25Downgrade Mizuho Neutral → Underperform $4
Aug-04-25Downgrade UBS Buy → Neutral $3.60
Jun-30-25Downgrade BMO Capital Markets Market Perform → Underperform $3
May-30-25Upgrade JP Morgan Neutral → Overweight $7
May-07-25Downgrade BMO Capital Markets Outperform → Market Perform $7
Jan-28-25Initiated Truist Buy $17
Oct-10-24Upgrade UBS Neutral → Buy $17 → $19
Jun-07-24Initiated Mizuho Neutral $22
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Tronox Holdings Plc engages in the mining and inorganic chemical business. Its products include Titanium Dioxide Mineral Sands. The firm also mines and processes titanium ore, zircon and other minerals, and manufactures titanium dioxide pigments. The company was founded in 2006 and is headquartered in Stamford, CT.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Johnston PeterDirectorAug 12 '25Buy3.2120,00064,200191,513Aug 13 09:22 AM
Turgeon Jean FrancoisDirectorAug 07 '25Buy3.2131,150100,027772,572Aug 08 05:00 PM
Jones Stephen JDirectorAug 07 '25Buy3.198,00025,48051,000Aug 07 04:10 PM
Jones Stephen JDirectorAug 06 '25Buy3.207,00022,37943,000Aug 07 08:30 AM
Jones Stephen JDirectorAug 05 '25Buy3.326,00019,92036,000Aug 06 09:14 AM
Srivisal JohnSVP, Chief Financial OfficerAug 01 '25Buy3.3937,000125,478237,283Aug 01 03:42 PM
Engle Jeffrey A.SVP, Commercial and StrategyAug 01 '25Buy3.0712,60038,682146,926Aug 01 12:30 PM
Romano John DCEO and DirectorAug 01 '25Buy3.09100,000308,9301,333,485Aug 01 11:20 AM
Neuman Jeffrey NSVP, General Counsel & Sec.May 07 '25Buy4.8910,26650,19610,266May 09 08:00 AM
Jones Stephen JDirectorMar 18 '25Buy7.1730,000215,13030,000Mar 19 08:30 AM
Last Close
Feb 26  •  04:00PM ET
120.03
Dollar change
+0.55
Percentage change
0.46
%
XME State Street SPDR S&P Metals & Mining ETF daily Stock Chart
CategoryUS Equities - Industry Sector Asset TypeEquities (Stocks) TagsU.S. Return% 1Y104.34% Total Holdings37 Perf Week2.38%
SponsorState Street (SPDR) ETF Type Tagsequity Return% 3Y29.58% AUM4.63B Perf Month-6.47%
Fund Family Bond Type Tagsminers Return% 5Y28.95% NAV/sh Perf Quarter31.30%
IndexS&P Metals & Mining Sel Industry Indx Average Maturity Tagsmetals Return% 10Y 52W High135.68 -11.53% Perf Half Y47.86%
Index Weighting Commodity Type Tags- Return% SI 52W Low45.89 161.56% Perf YTD15.85%
Active/Passive Quant Type Tags- Flows% 1M0.43% Volatility2.94% 4.00% Perf Year106.10%
Dividend TTM0.39 (0.32%) ESG Type Tags- Flows% 3M37.46% ATR (14)4.51 Perf 3Y123.15%
Dividend Ex-DateDec 22, 2025 Dividend Type Sector/Theme Flows% YTD18.44% RSI (14)51.77 Perf 5Y234.72%
Dividend Gr. 3/5Y-21.95% 3.28% Structure Type Region Flows% 1Y Beta1.24 Perf 10Y650.19%
Expense0.35% Growth/Value SMA200.08% Flows% 3Y Rel Volume0.65 Prev Close119.48
Inverse/Leveraged Market Cap SMA502.72% Flows% 5Y Avg Volume2.83M Price120.03
IPOJun 22, 2006 Option/ShortYes / Yes SMA20032.19% Trades Volume1,841,668 Change0.46%
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SPDR S&P Metals and Mining ETF seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of an index derived from the metals and mining segment of a U.S. total market composite index. In seeking to track the performance of the S&P Metals & Mining Select Industry Index (the "index"), the fund employs a sampling strategy. It generally invests substantially all, but at least 80%, of its total assets in the securities comprising the index. The index represents the metals and mining segment of the S&P Total Market Index ("S&P TMI"). The fund is non-diversified.