Index -
P/E 45.37
EPS (ttm) 1.87
Insider Own 0.03%
Shs Outstand 165.51M
Perf Week 1.79%
Market Cap 14.03B
Forward P/E 24.21
EPS next Y 3.50
Insider Trans 0.00%
Shs Float 165.46M
Perf Month -0.67%
Income 311.58M
PEG 156.44
EPS next Q 0.48
Inst Own 39.97%
Short Float 2.77%
Perf Quarter 4.12%
Sales 4.04B
P/S 3.47
EPS this Y 55.79%
Inst Trans 2.47%
Short Ratio 2.54
Perf Half Y 28.14%
Book/sh 23.41
P/B 3.62
EPS next Y 48.84%
ROA 4.67%
Short Interest 4.58M
Perf Year 105.65%
Cash/sh 28.49
P/C 2.97
EPS next 5Y 0.29%
ROE 8.20%
52W Range 35.70 - 98.20
Perf YTD 15.65%
Dividend Est. -
P/FCF -
EPS past 5Y -11.25%
ROI 7.31%
52W High -13.70%
Beta 0.48
Dividend TTM -
Quick Ratio 1.91
Sales past 5Y 6.15%
Gross Margin 52.94%
52W Low 137.39%
ATR (14) 3.93
Dividend Ex-Date Sep 01, 2017
Current Ratio 1.95
EPS Y/Y TTM 904.95%
Oper. Margin 9.61%
RSI (14) 50.45
Volatility 4.46% 3.94%
Employees 55506
Debt/Eq 0.15
Sales Y/Y TTM 51.72%
Profit Margin 7.72%
Recom 1.27
Target Price 101.61
Option/Short Yes / Yes
LT Debt/Eq 0.10
EPS Q/Q 7.37%
Payout 0.00%
Rel Volume 1.24
Prev Close 80.89
Sales Surprise 10.52%
EPS Surprise -13.46%
Sales Q/Q 60.09%
Earnings Apr 24 BMO
Avg Volume 1.80M
Price 84.75
SMA20 0.80%
SMA50 -4.10%
SMA200 17.70%
Trades
Volume 2,237,510
Change 4.77%
Date
Action
Analyst
Rating Change
Price Target Change
Nov-24-23 Initiated
Goldman
Buy
Nov-07-23 Initiated
Morgan Stanley
Overweight
$81
Dec-30-22 Resumed
Citigroup
Buy
Oct-27-22 Upgrade
CLSA
Outperform → Buy
Jul-29-22 Upgrade
BofA Securities
Neutral → Buy
$18.80 → $36.60
Jul-28-22 Upgrade
Macquarie
Neutral → Outperform
Jun-23-22 Downgrade
Macquarie
Outperform → Neutral
Jun-13-22 Upgrade
JP Morgan
Neutral → Overweight
$14 → $24
Jun-06-22 Upgrade
UBS
Neutral → Buy
May-02-22 Upgrade
JP Morgan
Underweight → Neutral
$35 → $14
Apr-27-22 Upgrade
CLSA
Underperform → Outperform
$15 → $11.20
Mar-09-22 Upgrade
Daiwa Securities
Neutral → Buy
Aug-30-21 Upgrade
Morgan Stanley
Equal-Weight → Overweight
$8.60 → $3.50
Jul-27-21 Downgrade
Deutsche Bank
Buy → Hold
$20.10 → $2.50
Jul-27-21 Downgrade
Daiwa Securities
Buy → Neutral
$11 → $2.40
Jul-26-21 Downgrade
The Benchmark Company
Buy → Hold
Jul-26-21 Downgrade
Goldman
Buy → Neutral
$14.20 → $3.60
Jul-26-21 Downgrade
CLSA
Outperform → Underperform
$12.50 → $3.20
Jul-26-21 Downgrade
BofA Securities
Buy → Neutral
Jul-23-21 Downgrade
JP Morgan
Overweight → Underweight
$19 → $3.50
Show Previous Ratings
Apr-26-24 08:38AM
Apr-25-24 09:36AM
Apr-24-24 01:07PM
12:30PM
08:58AM
08:50AM
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05:32AM
(Associated Press Finance)
05:20AM
Mar-28-24 05:00AM
Mar-26-24 03:15PM
Feb-28-24 10:21AM
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Feb-08-24 07:22PM
Feb-03-24 08:00AM
(Investor's Business Daily)
Jan-26-24 12:29PM
(Investor's Business Daily)
Jan-25-24 12:44PM
(Morningstar Research) +6.42%
08:32AM
Jan-24-24 03:00PM
10:40AM
(Investor's Business Daily)
06:52AM
(Associated Press Finance)
06:42AM
Jan-22-24 10:01AM
Jan-17-24 12:17PM
Dec-28-23 04:00AM
Dec-11-23 10:36AM
Dec-07-23 06:00AM
(The Wall Street Journal)
Nov-28-23 05:37AM
08:38AM
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Nov-22-23 08:38AM
04:42AM
(The Wall Street Journal)
Nov-20-23 01:10PM
Nov-01-23 08:50AM
Oct-27-23 05:34AM
Oct-26-23 11:14AM
09:07AM
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11:00AM
05:23AM
(Associated Press Finance)
05:12AM
Oct-22-23 10:16AM
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Oct-12-23 08:15AM
(Investor's Business Daily)
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(Investor's Business Daily)
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Aug-31-23 05:55PM
08:22AM
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05:30AM
(South China Morning Post)
Aug-17-23 08:50AM
Aug-16-23 03:13PM
Aug-10-23 05:48PM
12:00PM
09:55AM
07:57AM
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10:00AM
07:14AM
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06:02AM
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Jul-21-23 02:23PM
(Investor's Business Daily)
01:21AM
Jul-19-23 08:21AM
Jul-12-23 08:16PM
Jun-30-23 05:00AM
Jun-28-23 07:44AM
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07:45AM
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New Oriental Education & Technology Group, Inc. is a holding company, which engages in the provision of private educational services. It operates through the following segments: Educational Services and Test Preparation Courses; Online Education and Other Services; Overseas Study Consulting Services, and Others. The company was founded by Min Hong Yu and Yong Qiang Qian on November 16, 1993, and is headquartered in Beijing, China.
Index -
P/E 17.28
EPS (ttm) 5.69
Insider Own 5.19%
Shs Outstand 52.52M
Perf Week -1.29%
Market Cap 5.16B
Forward P/E 14.37
EPS next Y 6.84
Insider Trans 0.00%
Shs Float 49.80M
Perf Month 2.56%
Income 1.20B
PEG 1.53
EPS next Q 1.51
Inst Own 43.21%
Short Float 0.67%
Perf Quarter -3.97%
Sales 14.67B
P/S 0.35
EPS this Y 10.85%
Inst Trans 0.84%
Short Ratio 2.11
Perf Half Y 28.05%
Book/sh 34.14
P/B 2.88
EPS next Y 12.52%
ROA 7.48%
Short Interest 0.33M
Perf Year 14.81%
Cash/sh 40.51
P/C 2.43
EPS next 5Y 11.30%
ROE 17.69%
52W Range 69.12 - 104.38
Perf YTD 3.90%
Dividend Est. 3.65 (3.71%)
P/FCF 4.11
EPS past 5Y 14.07%
ROI 10.72%
52W High -5.79%
Beta 0.88
Dividend TTM 0.89 (0.91%)
Quick Ratio 0.87
Sales past 5Y 8.70%
Gross Margin 45.25%
52W Low 42.26%
ATR (14) 2.14
Dividend Ex-Date Apr 12, 2024
Current Ratio 1.05
EPS Y/Y TTM 17.24%
Oper. Margin 14.23%
RSI (14) 55.43
Volatility 1.52% 2.29%
Employees 117364
Debt/Eq 0.56
Sales Y/Y TTM 23.70%
Profit Margin 8.15%
Recom 1.71
Target Price 107.50
Option/Short Yes / Yes
LT Debt/Eq 0.55
EPS Q/Q 40.36%
Payout -
Rel Volume 0.68
Prev Close 97.57
Sales Surprise 5.04%
EPS Surprise 45.08%
Sales Q/Q 22.13%
Earnings Apr 24 BMO
Avg Volume 156.75K
Price 98.33
SMA20 2.55%
SMA50 1.71%
SMA200 11.34%
Trades
Volume 107,303
Change 0.78%
Date
Action
Analyst
Rating Change
Price Target Change
Apr-12-24 Upgrade
Scotiabank
Sector Perform → Sector Outperform
Feb-02-24 Upgrade
JP Morgan
Neutral → Overweight
$89 → $102
Dec-07-23 Initiated
Citigroup
Neutral
$90
Jun-29-23 Downgrade
Scotiabank
Sector Outperform → Sector Perform
Jun-07-23 Upgrade
HSBC Securities
Hold → Buy
$74 → $108
Jan-23-23 Upgrade
BofA Securities
Neutral → Buy
$137 → $157
Jan-19-23 Downgrade
UBS
Buy → Neutral
$76 → $80
May-03-22 Upgrade
Barclays
Equal Weight → Overweight
$55 → $62
Jan-20-22 Downgrade
HSBC Securities
Buy → Hold
$64
Jan-19-22 Downgrade
Goldman
Buy → Neutral
Dec-20-21 Upgrade
Citigroup
Neutral → Buy
$60
Aug-13-21 Initiated
Goldman
Buy
$70
Jul-13-20 Downgrade
Barclays
Overweight → Equal Weight
Apr-24-20 Downgrade
Scotiabank
Sector Outperform → Sector Perform
Jan-22-20 Upgrade
Goldman
Neutral → Buy
Jan-07-20 Upgrade
Citigroup
Neutral → Buy
Nov-01-19 Upgrade
BofA/Merrill
Neutral → Buy
Dec-13-17 Upgrade
Morgan Stanley
Underweight → Equal-Weight
Nov-17-17 Downgrade
Credit Suisse
Outperform → Neutral
Jun-13-17 Downgrade
Citigroup
Buy → Neutral
Show Previous Ratings
Apr-30-24 08:34AM
Apr-26-24 05:08PM
10:31AM
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Apr-25-24 05:29PM
09:10AM
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09:10AM
(Associated Press Finance)
Apr-23-24 12:45PM
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09:41AM
(Associated Press Finance)
Feb-19-24 09:40AM
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Coca-Cola FEMSA SAB de CV engages in the business of producing franchise bottles of trademark beverages. It operates under the Mexico and Central America, and South America segments. The Mexico and Central America segment includes Mexico, Guatemala, Nicaragua, Costa Rica, and Panama. The South America segment focuses on Colombia, Brazil, Argentina, and Uruguay. The company was founded on October 30, 1991 and is headquartered in Mexico City, Mexico.
Index S&P 500
P/E 25.25
EPS (ttm) 9.98
Insider Own 0.40%
Shs Outstand 102.54M
Perf Week 0.41%
Market Cap 25.76B
Forward P/E 13.70
EPS next Y 18.40
Insider Trans -2.81%
Shs Float 101.83M
Perf Month -5.38%
Income 1.04B
PEG 2.36
EPS next Q 2.33
Inst Own 95.79%
Short Float 0.65%
Perf Quarter 0.61%
Sales 9.58B
P/S 2.69
EPS this Y 12.45%
Inst Trans -0.49%
Short Ratio 1.33
Perf Half Y 7.04%
Book/sh 92.84
P/B 2.71
EPS next Y 12.90%
ROA 3.35%
Short Interest 0.67M
Perf Year 11.43%
Cash/sh 18.52
P/C 13.61
EPS next 5Y 10.70%
ROE 10.64%
52W Range 195.29 - 278.86
Perf YTD 4.47%
Dividend Est. 3.50 (1.39%)
P/FCF 23.61
EPS past 5Y 13.58%
ROI 6.78%
52W High -9.63%
Beta 0.76
Dividend TTM 3.40 (1.35%)
Quick Ratio -
Sales past 5Y 2.35%
Gross Margin 75.87%
52W Low 29.03%
ATR (14) 4.80
Dividend Ex-Date Mar 27, 2024
Current Ratio -
EPS Y/Y TTM -4.75%
Oper. Margin 19.82%
RSI (14) 35.33
Volatility 1.66% 1.69%
Employees 48000
Debt/Eq 0.70
Sales Y/Y TTM -17.87%
Profit Margin 10.88%
Recom 2.13
Target Price 299.19
Option/Short Yes / Yes
LT Debt/Eq 0.62
EPS Q/Q -2.80%
Payout 33.76%
Rel Volume 0.73
Prev Close 252.49
Sales Surprise -1.18%
EPS Surprise 1.31%
Sales Q/Q 4.37%
Earnings Apr 25 BMO
Avg Volume 500.14K
Price 251.99
SMA20 -3.12%
SMA50 -6.01%
SMA200 5.46%
Trades
Volume 364,015
Change -0.20%
Date
Action
Analyst
Rating Change
Price Target Change
Feb-12-24 Upgrade
Citigroup
Neutral → Buy
$236 → $315
Feb-12-24 Upgrade
BMO Capital Markets
Underperform → Market Perform
$236 → $298
Jan-11-24 Upgrade
Wells Fargo
Equal Weight → Overweight
$248 → $288
Jan-10-24 Initiated
TD Cowen
Outperform
$316
Aug-08-23 Downgrade
BMO Capital Markets
Market Perform → Underperform
$230 → $205
Jul-27-23 Downgrade
Raymond James
Strong Buy → Outperform
$260
Jun-20-23 Initiated
Morgan Stanley
Equal-Weight
$251
Feb-27-23 Upgrade
Goldman
Neutral → Buy
$290
Jan-20-23 Initiated
BMO Capital Markets
Market Perform
$260
Jan-18-23 Upgrade
Keefe Bruyette
Mkt Perform → Outperform
$303
Dec-15-22 Initiated
Citigroup
Neutral
$247
Oct-13-22 Upgrade
Piper Sandler
Neutral → Overweight
$250
Sep-26-22 Initiated
Credit Suisse
Outperform
$288
Jul-12-22 Initiated
Goldman
Neutral
$227
Apr-11-22 Resumed
BofA Securities
Underperform
$245
Feb-09-22 Downgrade
Wells Fargo
Overweight → Equal Weight
$284 → $240
Dec-16-21 Initiated
Evercore ISI
In-line
$240
Nov-19-21 Initiated
Jefferies
Hold
$258
Oct-20-21 Downgrade
Wolfe Research
Outperform → Peer Perform
$283 → $244
Sep-10-21 Reiterated
MKM Partners
Buy
$250 → $285
Show Previous Ratings
Apr-30-24 02:03PM
09:03AM
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02:22PM
(Investor's Business Daily)
10:38AM
Feb-06-24 12:30PM
(Morningstar Research) +7.18%
09:30AM
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Nov-27-23 12:46PM
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04:03PM
Nov-08-23 05:41AM
Nov-02-23 11:34AM
(Investor's Business Daily)
Nov-01-23 07:00AM
Oct-28-23 02:32PM
Oct-27-23 12:14PM
Oct-26-23 08:24PM
(Morningstar Research) +10.27%
10:52AM
09:30AM
07:50AM
07:42AM
07:15AM
Willis Towers Watson Plc engages in the provision of advisory, broking, and solutions services. It operates through the following segments: Health, Wealth, and Career (HCW), Risk and Broking (R&B), and Corporate and Other. The HCW segment provides an array of advice, broking, solutions, and technology for employee benefit plans, institutional investors, compensation and career programs, and the employee experience overall. The R&B segment focuses on a broad range of risk advice, insurance brokerage, and consulting services to clients globally, ranging from small businesses to multinational corporations. The company was founded in 1828 and is headquartered in London, the United Kingdom.
Insider Trading
Relationship
Date
Transaction
Cost
#Shares
Value ($)
#Shares Total
SEC Form 4
Qureshi Imran Ahmed Head of North America Apr 15 '24 Option Exercise 0.00 1 0 4,907 Apr 17 07:12 PM Hess Carl Aaron Chief Executive Officer Apr 15 '24 Option Exercise 0.00 8 0 79,672 Apr 17 07:11 PM Pullum Anne Head of Europe Apr 15 '24 Option Exercise 0.00 1 0 15,596 Apr 17 07:09 PM Gebauer Julie Jarecke Head of Health, Wealth &Career Apr 15 '24 Option Exercise 0.00 1 0 73,901 Apr 17 07:07 PM Furman Matthew General Counsel Apr 15 '24 Option Exercise 0.00 1 0 34,804 Apr 17 07:05 PM Garrard Adam Head of Risk & Broking Apr 15 '24 Option Exercise 0.00 1 0 16,132 Apr 17 07:06 PM Krasner Andrew Jay Chief Financial Officer Apr 15 '24 Option Exercise 0.00 1 0 7,963 Apr 17 07:00 PM Krasner Andrew Jay Chief Financial Officer Mar 01 '24 Sale 272.13 1,100 299,346 4,170 Mar 05 04:01 PM Gebauer Julie Jarecke Head of Health, Wealth &Career Feb 20 '24 Sale 276.03 5,000 1,380,144 68,574 Feb 22 04:00 PM Garrard Adam Head of Risk & Broking Feb 08 '24 Sale 270.41 5,400 1,460,214 11,259 Feb 12 04:00 PM Thomson-Hall Pamela Head of International Nov 09 '23 Sale 238.87 330 78,827 3,324 Nov 13 04:02 PM Gebauer Julie Jarecke Head of Health, Wealth &Career Jul 03 '23 Sale 231.69 2,000 463,384 75,240 Jul 05 04:01 PM Pullum Anne Head of Europe Jun 07 '23 Sale 224.45 5,000 1,122,230 12,791 Jun 09 04:00 PM Gebauer Julie Jarecke Head of Health, Wealth &Career Jun 01 '23 Sale 218.35 2,500 545,868 77,240 Jun 01 04:01 PM
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