Index -
P/E 14.09
EPS (ttm) 4.11
Insider Own 0.24%
Shs Outstand 497.30M
Perf Week 3.45%
Market Cap 28.60B
Forward P/E 22.57
EPS next Y 2.56
Insider Trans 0.00%
Shs Float 493.20M
Perf Month 20.02%
Income 1.94B
PEG -
EPS next Q 0.55
Inst Own 68.33%
Short Float 2.45%
Perf Quarter 4.35%
Sales 6.63B
P/S 4.32
EPS this Y 9.20%
Inst Trans 2.10%
Short Ratio 3.96
Perf Half Y 23.06%
Book/sh 39.06
P/B 1.48
EPS next Y 5.25%
ROA 7.44%
Short Interest 12.06M
Perf Year 12.29%
Cash/sh 0.71
P/C 81.98
EPS next 5Y -0.70%
ROE 10.89%
52W Range 43.22 - 61.15
Perf YTD 5.47%
Dividend Est. 1.60 (2.77%)
P/FCF 30.82
EPS past 5Y -
ROI 9.12%
52W High -5.40%
Beta 1.05
Dividend TTM 1.60 (2.77%)
Quick Ratio 0.74
Sales past 5Y 25.35%
Gross Margin 29.97%
52W Low 33.85%
ATR (14) 1.31
Dividend Ex-Date May 30, 2024
Current Ratio 2.09
EPS Y/Y TTM 172.31%
Oper. Margin 26.07%
RSI (14) 70.05
Volatility 1.94% 2.22%
Employees 15875
Debt/Eq 0.10
Sales Y/Y TTM 15.43%
Profit Margin 29.29%
Recom 1.32
Target Price 68.42
Option/Short Yes / Yes
LT Debt/Eq 0.10
EPS Q/Q -270.53%
Payout 40.51%
Rel Volume 0.00
Prev Close 57.85
Sales Surprise 2.00%
EPS Surprise 14.90%
Sales Q/Q 26.86%
Earnings Feb 15 AMC
Avg Volume 3.05M
Price 57.85
SMA20 6.03%
SMA50 13.75%
SMA200 15.72%
Trades
Volume 0
Change 0.00%
Date
Action
Analyst
Rating Change
Price Target Change
Feb-29-24 Initiated
Jefferies
Hold
$54
Apr-03-23 Resumed
BMO Capital Markets
Outperform
$57 → $60
Sep-30-22 Upgrade
Citigroup
Neutral → Buy
Sep-12-22 Initiated
Goldman
Buy
Feb-10-22 Resumed
BMO Capital Markets
Outperform
Feb-03-22 Upgrade
Barclays
Equal Weight → Overweight
$67 → $69
Jan-28-22 Upgrade
National Bank Financial
Sector Perform → Outperform
Oct-06-21 Upgrade
RBC Capital Mkts
Sector Perform → Outperform
$68 → $63
Sep-24-21 Initiated
KeyBanc Capital Markets
Sector Weight
Sep-10-21 Downgrade
National Bank Financial
Outperform → Sector Perform
Feb-10-21 Initiated
JP Morgan
Neutral
Oct-19-20 Downgrade
Barclays
Overweight → Equal Weight
Jul-30-20 Upgrade
Scotiabank
Sector Perform → Sector Outperform
Mar-02-20 Upgrade
Canaccord Genuity
Hold → Buy
Feb-18-20 Downgrade
Scotiabank
Sector Outperform → Sector Perform
Dec-11-19 Upgrade
Barclays
Equal Weight → Overweight
Dec-05-19 Resumed
RBC Capital Mkts
Sector Perform
Apr-12-19 Downgrade
Desjardins
Buy → Hold
Sep-10-18 Resumed
Credit Suisse
Outperform
Aug-09-18 Upgrade
National Bank Financial
Sector Perform → Outperform
Show Previous Ratings
Mar-25-24 07:30AM
Mar-24-24 08:10AM
Mar-21-24 10:00AM
Mar-18-24 07:22AM
Mar-15-24 05:27PM
01:30PM
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Feb-19-24 10:28AM
Feb-18-24 11:20PM
08:47AM
Feb-15-24 06:15PM
05:30PM
05:25PM
(Associated Press Finance)
05:00PM
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(Associated Press Finance)
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Agnico Eagle Mines Ltd. engages in the exploration and production of gold. It operates through the following segments: Northern Business, Southern Business, and Exploration. The Northern Business segment comprises of LaRonde mine, LaRonde Zone 5 mine, Lapa mine, Goldex mine, Meadowbank mine including the Amaruq deposit, Canadian Malartic joint operation, Meliadine project and Kittila mine. The Southern Business segment consists of Pinos Altos mine, Creston Mascota mine, and La India mine. The Exploration segment represents the exploration offices in the United States, Europe, Canada, and Latin America. The company was founded by Paul Penna in 1957 and is headquartered in Toronto, Canada.
Index -
P/E 34.58
EPS (ttm) 0.26
Insider Own -
Shs Outstand 12.45M
Perf Week 0.45%
Market Cap 111.89M
Forward P/E -
EPS next Y -
Insider Trans -
Shs Float 12.45M
Perf Month 1.70%
Income -
PEG -
EPS next Q -
Inst Own 32.94%
Short Float 0.04%
Perf Quarter 1.35%
Sales 4.44M
P/S 25.20
EPS this Y -
Inst Trans -
Short Ratio 0.17
Perf Half Y 6.01%
Book/sh 9.57
P/B 0.94
EPS next Y -
ROA -
Short Interest 0.01M
Perf Year -1.64%
Cash/sh -
P/C -
EPS next 5Y -
ROE -
52W Range 8.28 - 9.74
Perf YTD 1.93%
Dividend Est. -
P/FCF -
EPS past 5Y -
ROI -
52W High -7.70%
Beta 0.25
Dividend TTM 0.31 (3.47%)
Quick Ratio -
Sales past 5Y -
Gross Margin -
52W Low 8.57%
ATR (14) 0.07
Dividend Ex-Date Mar 14, 2024
Current Ratio -
EPS Y/Y TTM -
Oper. Margin -
RSI (14) 53.27
Volatility 0.82% 0.62%
Employees -
Debt/Eq -
Sales Y/Y TTM -
Profit Margin -
Recom -
Target Price -
Option/Short No / Yes
LT Debt/Eq -
EPS Q/Q -
Payout -
Rel Volume 0.00
Prev Close 8.99
Sales Surprise -
EPS Surprise -
Sales Q/Q 11.20%
Earnings -
Avg Volume 33.37K
Price 8.99
SMA20 0.58%
SMA50 -0.08%
SMA200 1.67%
Trades
Volume 0
Change 0.00%
Index -
P/E 5.51
EPS (ttm) 1.43
Insider Own 0.20%
Shs Outstand 12.99M
Perf Week 0.38%
Market Cap 102.37M
Forward P/E -
EPS next Y -
Insider Trans 0.00%
Shs Float 12.96M
Perf Month -0.38%
Income -
PEG -
EPS next Q -
Inst Own 41.26%
Short Float 0.03%
Perf Quarter -1.99%
Sales 2.94M
P/S 34.78
EPS this Y -
Inst Trans -
Short Ratio 0.27
Perf Half Y 4.23%
Book/sh 9.76
P/B 0.81
EPS next Y -
ROA -
Short Interest 0.00M
Perf Year 2.60%
Cash/sh -
P/C -
EPS next 5Y -
ROE -
52W Range 7.12 - 8.57
Perf YTD -3.90%
Dividend Est. -
P/FCF -
EPS past 5Y -
ROI -
52W High -8.00%
Beta 0.81
Dividend TTM 0.50 (6.39% )
Quick Ratio -
Sales past 5Y -
Gross Margin -
52W Low 10.67%
ATR (14) 0.07
Dividend Ex-Date Mar 18, 2024
Current Ratio -
EPS Y/Y TTM -
Oper. Margin -
RSI (14) 47.56
Volatility 0.68% 0.53%
Employees -
Debt/Eq -
Sales Y/Y TTM -
Profit Margin -
Recom -
Target Price -
Option/Short No / Yes
LT Debt/Eq -
EPS Q/Q -25.80%
Payout -
Rel Volume 0.00
Prev Close 7.88
Sales Surprise -
EPS Surprise -
Sales Q/Q -16.10%
Earnings -
Avg Volume 13.99K
Price 7.88
SMA20 -0.39%
SMA50 -0.58%
SMA200 -0.60%
Trades
Volume 0
Change 0.00%
Mar-08-24 09:05AM
Dec-08-23 03:25PM
Sep-19-23 12:22PM
Sep-15-23 11:13AM
Sep-07-23 12:23PM
09:53AM
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12:04AM
(The Wall Street Journal)
Nov-02-16 12:41PM
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The Swiss Helvetia Fund Inc. is a closed-ended equity mutual fund launched and managed by Schroder Investment Management North America Inc. The fund invests in public equity markets of Switzerland. It seeks to invest in stocks of companies operating across diversified sectors. The fund primarily invests in value stocks of companies across all market capitalizations. It employs fundamental analysis with a bottom-up stock picking approach, focusing on factors such as capital appreciation, income, economic and industry trends, quality of management, financial condition, business plan, industry and sector market position, dividend payout ratio, and corporate governance to create its portfolio. The fund benchmarks the performance of its portfolio against the S&P 500 Index and MSCI EAFE Index. It was previously known as The Helvetia Fund, Inc. The Swiss Helvetia Fund Inc. was formed in October 24, 1986 and is domiciled in the United States.
Index -
P/E 14.37
EPS (ttm) 2.99
Insider Own 0.01%
Shs Outstand 2.03B
Perf Week 2.53%
Market Cap 87.23B
Forward P/E 9.64
EPS next Y 4.46
Insider Trans 0.00%
Shs Float 2.03B
Perf Month 1.44%
Income 6.13B
PEG 2.99
EPS next Q 0.93
Inst Own 14.57%
Short Float 0.20%
Perf Quarter 16.16%
Sales 37.73B
P/S 2.31
EPS this Y -0.25%
Inst Trans 0.60%
Short Ratio 1.12
Perf Half Y 15.32%
Book/sh 8.39
P/B 5.12
EPS next Y 13.14%
ROA 8.31%
Short Interest 3.97M
Perf Year 22.69%
Cash/sh 3.26
P/C 13.20
EPS next 5Y 4.80%
ROE 41.19%
52W Range 33.33 - 43.84
Perf YTD 16.00%
Dividend Est. 1.54 (3.59%)
P/FCF 14.01
EPS past 5Y 4.23%
ROI 16.84%
52W High -1.94%
Beta 0.66
Dividend TTM 1.47 (3.41%)
Quick Ratio 0.62
Sales past 5Y -1.06%
Gross Margin 70.52%
52W Low 28.98%
ATR (14) 0.55
Dividend Ex-Date Feb 22, 2024
Current Ratio 0.88
EPS Y/Y TTM -64.86%
Oper. Margin 22.97%
RSI (14) 59.63
Volatility 1.17% 0.96%
Employees 70212
Debt/Eq 1.35
Sales Y/Y TTM -4.87%
Profit Margin 16.25%
Recom 2.14
Target Price 47.49
Option/Short Yes / Yes
LT Debt/Eq 1.14
EPS Q/Q -75.40%
Payout 47.52%
Rel Volume 0.00
Prev Close 42.99
Sales Surprise 6.12%
EPS Surprise 0.08%
Sales Q/Q 15.46%
Earnings Jan 31 BMO
Avg Volume 3.54M
Price 42.99
SMA20 0.81%
SMA50 3.39%
SMA200 15.20%
Trades
Volume 0
Change 0.00%
Date
Action
Analyst
Rating Change
Price Target Change
Mar-04-24 Upgrade
Guggenheim
Neutral → Buy
Feb-13-24 Upgrade
Citigroup
Neutral → Buy
Jan-23-24 Initiated
Morgan Stanley
Equal-Weight
$44
Jan-16-24 Resumed
UBS
Buy
Jan-03-24 Upgrade
Jefferies
Hold → Buy
$48
Jul-14-23 Initiated
HSBC Securities
Reduce
Mar-17-23 Upgrade
Deutsche Bank
Hold → Buy
Feb-27-23 Resumed
Goldman
Buy
Jan-03-23 Downgrade
JP Morgan
Neutral → Underweight
Dec-05-22 Downgrade
BofA Securities
Neutral → Underperform
Nov-11-22 Downgrade
UBS
Neutral → Sell
Sep-15-22 Upgrade
Credit Suisse
Underperform → Neutral
Sep-08-22 Downgrade
Jefferies
Buy → Hold
$50.50 → $34
Aug-05-22 Resumed
Morgan Stanley
Equal-Weight
Jul-21-22 Resumed
Citigroup
Neutral
Feb-11-22 Downgrade
DZ Bank
Buy → Hold
Nov-05-21 Upgrade
Barclays
Underweight → Equal Weight
Jun-24-21 Upgrade
Deutsche Bank
Sell → Hold
Mar-23-21 Downgrade
SVB Leerink
Outperform → Mkt Perform
Feb-04-21 Downgrade
Deutsche Bank
Hold → Sell
Show Previous Ratings
Mar-27-24 09:17PM
Mar-26-24 06:15PM
09:53AM
05:10AM
Mar-24-24 03:54PM
03:23AM
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03:23AM
Mar-22-24 10:54AM
Mar-19-24 06:00PM
12:19PM
(The Wall Street Journal)
10:31AM
Mar-18-24 03:06PM
(The Wall Street Journal)
09:20AM
09:09AM
05:17AM
Mar-16-24 08:00AM
12:51PM
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Mar-06-24 08:03AM
(Pharmaceutical Business Review)
Mar-05-24 02:56AM
Mar-01-24 11:30AM
09:00AM
(The Wall Street Journal)
Feb-29-24 04:37PM
09:00AM
02:52AM
(The Wall Street Journal)
09:50AM
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Feb-28-24 09:50AM
Feb-27-24 09:40AM
Feb-26-24 12:00PM
09:40AM
05:49AM
Feb-23-24 05:12AM
Feb-22-24 11:22AM
11:00AM
(The Wall Street Journal)
06:10AM
Feb-21-24 05:02AM
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06:02AM
Feb-02-24 04:30PM
Feb-01-24 05:14PM
(The Wall Street Journal)
11:46AM
07:46AM
Jan-31-24 05:05PM
(The Wall Street Journal)
04:59PM
(The Wall Street Journal)
02:50PM
12:50PM
(The Wall Street Journal)
11:00AM
(The Wall Street Journal)
10:50AM
07:31AM
07:05AM
02:54AM
(The Wall Street Journal)
02:27AM
(The Wall Street Journal)
Jan-29-24 02:03PM
01:39AM
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09:40AM
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10:00AM
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05:36AM
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Jan-18-24 02:41PM
(The Wall Street Journal)
Jan-09-24 01:49PM
01:14PM
(The Wall Street Journal)
12:32PM
(The Wall Street Journal)
05:52AM
05:11AM
03:07AM
(The Wall Street Journal)
02:49AM
02:35AM
(The Wall Street Journal)
Jan-08-24 08:18PM
06:58AM
Jan-05-24 12:10PM
06:12AM
Jan-03-24 04:24AM
Dec-29-23 11:57AM
(The Wall Street Journal)
Dec-24-23 05:34PM
Dec-22-23 04:51PM
11:36AM
10:54AM
Dec-21-23 05:40AM
Dec-20-23 08:11AM
Dec-14-23 02:10PM
12:30PM
03:31AM
GSK Plc is a healthcare company, which engages in the research, development, and manufacture of pharmaceutical medicines, vaccines, and consumer healthcare products. It operates through the Commercial Operations, and Research and Development segments. The Commercial Operations segment has three product groups of specialty medicines, vaccines, and general medicines. The company was founded in 1715 and is headquartered in Middlesex, the United Kingdom.
Insider Trading
Relationship
Date
Transaction
Cost
#Shares
Value ($)
#Shares Total
SEC Form 4
GSK plc 10% Owner Dec 07 '23 Buy 5.00 3,300,000 16,500,000 13,983,761 Jan 30 04:39 PM
Category Equity - Leveraged / Inverse
Asset Type Equities (Stocks)
Tags U.S.
Return% 1Y -21.32%
Shs Outstand
Perf Week -0.63%
Sponsor ProShares
ETF Type
Tags equity
Return% 3Y -8.62%
Total Holdings 10
Perf Month -4.66%
Fund Family
Bond Type
Tags financial
Return% 5Y -13.71%
AUM 13.05M
Perf Quarter -10.10%
Index S&P Financial Select Sector Index
Average Maturity
Tags SP500
Return% 10Y
NAV%
Perf Half Y -20.62%
Index Weighting
Commodity Type
Tags inverse
Return% SI
NAV/sh
Perf Year -24.93%
Active/Passive
Quant Type
Tags -
Flows% 1M -16.86%
52W Range 10.19 - 13.78
Perf YTD -9.86%
Dividend TTM 0.55 (5.39% )
ESG Type
Tags -
Flows% 3M -17.38%
52W High -25.69%
Beta -1.00
Dividend Ex-Date Dec 20, 2023
Dividend Type
Sector/Theme
Flows% YTD -14.29%
52W Low 0.49%
ATR (14) 0.10
Expense 0.95%
Structure Type
Region
Flows% 1Y
RSI (14) 29.26
Volatility 0.90% 0.76%
Option/Short Yes / No
Growth/Value
Dev/Emerg
Flows% 3Y
Rel Volume 0.00
Prev Close 10.24
Inverse/Leveraged
Market Cap
Currency
Flows% 5Y
Avg Volume 51.22K
Price 10.24
SMA20 -2.87%
SMA50 -5.52%
SMA200 -15.27%
Trades
Volume 0
Change 0.00%
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