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Last Close
Feb 13  •  04:00PM ET
216.59
Dollar change
+11.38
Percentage change
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Index- P/E24.40 EPS (ttm)8.88 Insider Own0.11% Shs Outstand502.05M Perf Week10.17%
Market Cap108.74B Forward P/E15.91 EPS next Y13.62 Insider Trans0.00% Shs Float501.64M Perf Month9.79%
Enterprise Value106.19B PEG1.15 EPS next Q3.42 Inst Own66.26% Short Float0.96% Perf Quarter25.12%
Income4.46B P/S9.13 EPS this Y65.21% Inst Trans0.13% Short Ratio1.81 Perf Half Y63.18%
Sales11.91B P/B4.38 EPS next Y-0.45% ROA13.84% Short Interest4.83M Perf YTD27.76%
Book/sh49.48 P/C37.82 EPS next 5Y13.84% ROE19.58% 52W High225.00 -3.74% Perf Year114.85%
Cash/sh5.73 P/FCF24.80 EPS past 3/5Y79.71% 33.22% ROIC17.82% 52W Low92.11 135.14% Perf 3Y322.45%
Dividend Est.1.60 (0.74%) EV/EBITDA13.25 Sales past 3/5Y27.53% 30.57% Gross Margin56.39% Volatility4.64% 4.43% Perf 5Y224.82%
Dividend TTM1.60 (0.74%) EV/Sales8.92 EPS Y/Y TTM134.58% Oper. Margin53.46% ATR (14)9.73 Perf 10Y507.72%
Dividend Ex-DateDec 01, 2025 Quick Ratio1.33 Sales Y/Y TTM43.71% Profit Margin37.47% RSI (14)59.38 Recom1.79
Dividend Gr. 3/5Y4.55% 23.81% Current Ratio2.02 EPS Q/Q200.99% SMA204.78% Beta0.64 Target Price256.61
Payout18.01% Debt/Eq0.01 Sales Q/Q60.27% SMA5014.74% Rel Volume1.00 Prev Close205.21
Employees16968 LT Debt/Eq0.01 EarningsFeb 12 AMC SMA20042.12% Avg Volume2.67M Price216.59
IPONov 01, 1982 Option/ShortYes / Yes EPS/Sales Surpr.1.04% 3.81% Trades Volume2,671,298 Change5.55%
Date Action Analyst Rating Change Price Target Change
Jan-29-26Initiated JP Morgan Neutral $248
Jun-30-25Resumed Raymond James Outperform $130
Apr-16-25Resumed BMO Capital Markets Outperform $181
Mar-31-25Downgrade UBS Buy → Neutral $100 → $110
Feb-29-24Initiated Jefferies Hold $54
Apr-03-23Resumed BMO Capital Markets Outperform $57 → $60
Sep-30-22Upgrade Citigroup Neutral → Buy
Sep-12-22Initiated Goldman Buy
Feb-10-22Resumed BMO Capital Markets Outperform
Feb-03-22Upgrade Barclays Equal Weight → Overweight $67 → $69
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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.
Last Close
Feb 13  •  04:00PM ET
9.70
Dollar change
-0.04
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NIM Nuveen Select Maturities Municipal Fund daily Stock Chart
Index- P/E46.19 EPS (ttm)0.21 Insider Own- Shs Outstand12.45M Perf Week0.94%
Market Cap120.73M Forward P/E- EPS next Y- Insider Trans- Shs Float12.45M Perf Month2.54%
Enterprise Value- PEG- EPS next Q- Inst Own40.73% Short Float0.07% Perf Quarter2.27%
Income- P/S24.55 EPS this Y- Inst Trans- Short Ratio0.38 Perf Half Y5.43%
Sales4.92M P/B0.98 EPS next Y- ROA- Short Interest0.01M Perf YTD4.19%
Book/sh9.94 P/C- EPS next 5Y- ROE- 52W High9.94 -2.41% Perf Year7.06%
Cash/sh- P/FCF- EPS past 3/5Y- - ROIC- 52W Low8.80 10.23% Perf 3Y3.37%
Dividend Est.- EV/EBITDA- Sales past 3/5Y- - Gross Margin- Volatility1.00% 1.47% Perf 5Y-9.41%
Dividend TTM0.34 (3.53%) EV/Sales- EPS Y/Y TTM- Oper. Margin- ATR (14)0.13 Perf 10Y-5.05%
Dividend Ex-DateFeb 13, 2026 Quick Ratio- Sales Y/Y TTM- Profit Margin- RSI (14)65.98 Recom-
Dividend Gr. 3/5Y9.64% 1.67% Current Ratio- EPS Q/Q26.50% SMA202.00% Beta0.23 Target Price-
Payout240.94% Debt/Eq- Sales Q/Q3.50% SMA503.30% Rel Volume0.40 Prev Close9.74
Employees- LT Debt/Eq- Earnings- SMA2005.02% Avg Volume23.64K Price9.70
IPOSep 18, 1992 Option/ShortNo / No EPS/Sales Surpr.- - Trades Volume9,445 Change-0.40%
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Nuveen Select Maturities Municipal Fund is a closed-ended fixed income mutual fund launched by Nuveen Investments, Inc. The fund is co-managed by Nuveen Fund Advisors LLC and Nuveen Asset Management, LLC. It invests in the fixed income markets of the United States. The fund invests primarily in municipal securities rated Baa/BBB or better. It invests in securities that provide income exempt from federal income tax. The fund employs fundamental analysis with bottom-up stock picking approach to create its portfolio. It benchmarks the performance of its portfolio against the S&P Intermediate Municipal Bond Index and the S&P National Municipal Bond Index. Nuveen Select Maturities Municipal Fund was formed on September 18, 1992 and is domiciled in the United States.
Last Close
Feb 13  •  04:00PM ET
6.14
Dollar change
+0.09
Percentage change
1.49
%
SWZ Total Return Securities Fund daily Stock Chart
Index- P/E- EPS (ttm)- Insider Own- Shs Outstand16.97M Perf Week0.99%
Market Cap104.19M Forward P/E- EPS next Y- Insider Trans- Shs Float16.83M Perf Month-2.38%
Enterprise Value- PEG- EPS next Q- Inst Own- Short Float0.02% Perf Quarter1.57%
Income- P/S- EPS this Y- Inst Trans- Short Ratio0.03 Perf Half Y0.82%
Sales- P/B- EPS next Y- ROA- Short Interest0.00M Perf YTD-1.29%
Book/sh- P/C- EPS next 5Y- ROE- 52W High6.71 -8.47% Perf Year1.77%
Cash/sh- P/FCF- EPS past 3/5Y- - ROIC- 52W Low5.84 5.14% Perf 3Y13.12%
Dividend Est.- EV/EBITDA- Sales past 3/5Y- - Gross Margin- Volatility0.89% 1.19% Perf 5Y-3.35%
Dividend TTM0.10 (1.61%) EV/Sales- EPS Y/Y TTM- Oper. Margin- ATR (14)0.07 Perf 10Y-3.83%
Dividend Ex-DateApr 15, 2025 Quick Ratio- Sales Y/Y TTM- Profit Margin- RSI (14)58.08 Recom-
Dividend Gr. 3/5Y-38.52% -23.55% Current Ratio- EPS Q/Q- SMA201.75% Beta0.75 Target Price-
Payout- Debt/Eq- Sales Q/Q- SMA500.02% Rel Volume1.01 Prev Close6.05
Employees- LT Debt/Eq- Earnings- SMA200-0.04% Avg Volume121.59K Price6.14
IPOAug 19, 1987 Option/ShortNo / Yes EPS/Sales Surpr.- - Trades Volume122,791 Change1.49%
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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.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
GOLDSTEIN PHILLIPDirectorFeb 06 '26Buy6.0710,00060,70082,910Feb 10 04:05 PM
Dakos AndrewPresident and CEOFeb 03 '26Buy5.9710,00059,67033,453Feb 05 06:55 PM
Dakos AndrewPresident and CEOFeb 04 '26Buy6.036,00036,18039,453Feb 05 06:55 PM
SELL MORITZ ADirectorFeb 02 '26Buy5.981,1206,6988,998Feb 04 04:05 PM
SELL MORITZ ADirectorFeb 03 '26Buy5.961,0005,9609,998Feb 04 04:05 PM
GOLDSTEIN PHILLIPDirectorJan 30 '26Buy5.9210,00059,20072,910Feb 03 04:00 PM
CSS LLC/IL10% OwnerDec 30 '25Sale6.2512,19676,1801,686,971Dec 31 11:55 AM
CSS LLC/IL10% OwnerDec 29 '25Sale6.267,77248,6651,699,167Dec 31 11:55 AM
CSS LLC/IL10% OwnerDec 26 '25Sale6.2621,000131,4361,706,939Dec 29 04:17 PM
CSS LLC/IL10% OwnerDec 23 '25Sale6.255,40033,7751,729,039Dec 29 04:17 PM
CSS LLC/IL10% OwnerDec 24 '25Sale6.221,1006,8431,727,939Dec 29 04:17 PM
CSS LLC/IL10% OwnerDec 22 '25Sale6.261,0676,6781,734,439Dec 29 04:17 PM
CSS LLC/IL10% OwnerDec 15 '25Sale6.237,00043,6001,735,506Dec 17 10:29 AM
SELL MORITZ ADirectorDec 11 '25Option Exercise6.077,40044,91811,800Dec 12 05:16 PM
Dakos AndrewPresident and CEODec 11 '25Option Exercise6.0735,064212,83835,128Dec 12 05:14 PM
Das Rajeev PSecretaryDec 11 '25Option Exercise6.074682,841500Dec 12 05:09 PM
GOLDSTEIN PHILLIPDirectorDec 11 '25Option Exercise6.0780,976491,52493,224Dec 12 05:04 PM
SELL MORITZ ADirectorOct 27 '25Buy6.051,0006,0554,400Oct 29 04:16 PM
SELL MORITZ ADirectorJun 30 '25Buy6.341,81511,5073,400Jul 01 04:39 PM
HELLERMAN GERALDDirectorApr 02 '25Sale9.24413795,283Apr 03 04:05 PM
Last Close
Feb 13  •  04:00PM ET
58.93
Dollar change
+0.39
Percentage change
0.67
%
GSK GSK Plc ADR daily Stock Chart
Index- P/E16.08 EPS (ttm)3.66 Insider Own0.00% Shs Outstand2.04B Perf Week-2.16%
Market Cap118.87B Forward P/E11.08 EPS next Y5.32 Insider Trans- Shs Float2.02B Perf Month16.03%
Enterprise Value137.55B PEG1.74 EPS next Q1.17 Inst Own19.31% Short Float0.88% Perf Quarter22.59%
Income7.53B P/S2.76 EPS this Y2.94% Inst Trans0.82% Short Ratio3.68 Perf Half Y50.22%
Sales43.11B P/B5.45 EPS next Y9.92% ROA9.61% Short Interest17.72M Perf YTD20.17%
Book/sh10.81 P/C25.95 EPS next 5Y6.38% ROE38.48% 52W High60.37 -2.39% Perf Year61.23%
Cash/sh2.27 P/FCF15.09 EPS past 3/5Y-25.93% 0.08% ROIC18.01% 52W Low32.38 82.00% Perf 3Y62.66%
Dividend Est.1.92 (3.26%) EV/EBITDA9.57 Sales past 3/5Y6.03% -0.31% Gross Margin72.53% Volatility1.56% 1.70% Perf 5Y61.83%
Dividend TTM1.71 (2.89%) EV/Sales3.19 EPS Y/Y TTM132.14% Oper. Margin22.57% ATR (14)1.16 Perf 10Y47.68%
Dividend Ex-DateFeb 20, 2026 Quick Ratio0.54 Sales Y/Y TTM7.51% Profit Margin17.47% RSI (14)74.33 Recom2.83
Dividend Gr. 3/5Y8.77% -7.68% Current Ratio0.82 EPS Q/Q61.53% SMA2010.00% Beta0.46 Target Price56.10
Payout47.15% Debt/Eq1.08 Sales Q/Q10.17% SMA5015.71% Rel Volume1.22 Prev Close58.54
Employees68629 LT Debt/Eq0.90 EarningsFeb 04 BMO SMA20035.49% Avg Volume4.82M Price58.93
IPOMar 28, 1980 Option/ShortYes / Yes EPS/Sales Surpr.8.50% 3.23% Trades Volume5,883,338 Change0.67%
Date Action Analyst Rating Change Price Target Change
Jan-27-26Initiated Citigroup Neutral
Jan-06-26Downgrade Barclays Equal Weight → Underweight
Nov-25-25Upgrade BofA Securities Underperform → Neutral
Jun-03-25Downgrade Berenberg Buy → Hold
Apr-15-25Initiated Exane BNP Paribas Neutral $35.25
Feb-12-25Initiated Morgan Stanley Equal-Weight
Nov-15-24Downgrade Deutsche Bank Buy → Hold
Nov-12-24Downgrade Jefferies Buy → Hold $53 → $39.50
Oct-31-24Downgrade Guggenheim Buy → Neutral
Jul-08-24Downgrade UBS Buy → Neutral
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GSK Plc is a healthcare company, which engages in the research, development, and manufacture of pharmaceutical medicines, vaccines, and consumer healthcare products. It operates through the Commercial Operations, and Research and Development segments. The Commercial Operations segment has three product groups of specialty medicines, vaccines, and general medicines. The company was founded in 1715 and is headquartered in Middlesex, the United Kingdom.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
GSK plc10% OwnerDec 11 '25Buy19.001,470,00027,930,00018,245,691Dec 15 04:32 PM
Last Close
Feb 13  •  04:00PM ET
32.70
Dollar change
+0.03
Percentage change
0.10
%
SEF ProShares Short Financials -1x Shares daily Stock Chart
CategoryEquity - Leveraged / Inverse Asset TypeEquities (Stocks) TagsU.S. Return% 1Y1.44% Total Holdings10 Perf Week5.25%
SponsorProShares ETF Type Tagsequity Return% 3Y-7.94% AUM9.60M Perf Month5.17%
Fund Family Bond Type Tagsfinancial Return% 5Y-9.22% NAV/sh Perf Quarter3.56%
IndexS&P Financial Select Sector Index Average Maturity TagsSP500 Return% 10Y 52W High40.06 -18.36% Perf Half Y1.80%
Index Weighting Commodity Type Tagsinverse Return% SI 52W Low29.77 9.85% Perf YTD6.56%
Active/Passive Quant Type Tags- Flows% 1M0.00% Volatility1.68% 1.05% Perf Year-1.89%
Dividend TTM1.33 (4.06%) ESG Type Tags- Flows% 3M-7.13% ATR (14)0.42 Perf 3Y-31.81%
Dividend Ex-DateDec 24, 2025 Dividend Type Sector/Theme Flows% YTD-13.55% RSI (14)65.87 Perf 5Y-45.75%
Dividend Gr. 3/5Y86.72% 76.29% Structure Type Region Flows% 1Y Beta-0.93 Perf 10Y-78.88%
Expense0.95% Growth/Value SMA203.40% Flows% 3Y Rel Volume0.46 Prev Close32.67
Inverse/Leveraged Market Cap SMA504.92% Flows% 5Y Avg Volume9.85K Price32.70
IPOJun 12, 2008 Option/ShortYes / Yes SMA2001.76% Trades Volume4,500 Change0.10%
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ProShares Short Financials seeks daily investment results, before fees and expenses, that correspond to the inverse (-1x) of the daily performance of the S&P Financial Select Sector Index. The fund invests in financial instruments that ProShare Advisors believes, in combination, should produce daily returns consistent with the fund's investment objective. The index is one of eleven S&P Select Sector Indices, each designed to measure the performance of a sector of the S&P 500. The fund is non-diversified.