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Last Close
Dec 12  •  12:16PM ET
81.90
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IndexS&P 500 P/E11.49 EPS (ttm)7.13 Insider Own0.95% Shs Outstand236.61M Perf Week3.87%
Market Cap19.39B Forward P/E5.98 EPS next Y13.70 Insider Trans-0.44% Shs Float234.45M Perf Month5.83%
Enterprise Value33.81B PEG0.52 EPS next Q3.16 Inst Own95.05% Short Float3.07% Perf Quarter-2.68%
Income1.75B P/S2.18 EPS this Y5.63% Inst Trans0.34% Short Ratio3.13 Perf Half Y9.76%
Sales8.89B P/B0.85 EPS next Y12.33% ROA3.12% Short Interest7.19M Perf YTD-26.91%
Book/sh95.80 P/C7.43 EPS next 5Y11.42% ROE6.72% 52W High117.56 -30.33% Perf Year-29.25%
Cash/sh11.02 P/FCF8.97 EPS past 3/5Y23.30% 23.30% ROIC4.86% 52W Low65.93 24.23% Perf 3Y-17.13%
Dividend Est.1.11 (1.36%) EV/EBITDA8.50 Sales past 3/5Y5.84% 15.52% Gross Margin67.06% Volatility2.73% 2.69% Perf 5Y-58.89%
Dividend TTM1.00 (1.22%) EV/Sales3.80 EPS Y/Y TTM34.28% Oper. Margin25.86% ATR (14)2.21 Perf 10Y16.36%
Dividend Ex-DateDec 12, 2025 Quick Ratio0.85 Sales Y/Y TTM-11.30% Profit Margin19.68% RSI (14)62.01 Recom2.35
Dividend Gr. 3/5Y3.96% 34.17% Current Ratio0.85 EPS Q/Q113.93% SMA207.32% Beta0.80 Target Price103.32
Payout16.23% Debt/Eq0.71 Sales Q/Q-22.83% SMA502.08% Rel Volume0.50 Prev Close81.92
Employees27000 LT Debt/Eq0.59 EarningsNov 04 BMO SMA200-1.52% Avg Volume2.30M Price81.90
IPOJan 16, 2001 Option/ShortYes / Yes EPS/Sales Surpr.0.87% 0.76% Trades Volume527,435 Change-0.02%
Date Action Analyst Rating Change Price Target Change
Oct-23-25Initiated Citigroup Buy $110
Oct-22-25Initiated Wells Fargo Overweight $103
Oct-22-25Downgrade KeyBanc Capital Markets Overweight → Sector Weight
Jul-25-25Upgrade Mizuho Neutral → Outperform $114
Jul-14-25Upgrade TD Cowen Hold → Buy $84
Jun-02-25Initiated Truist Hold $79
Apr-25-25Downgrade RBC Capital Mkts Outperform → Sector Perform $86
Apr-23-25Downgrade Wolfe Research Outperform → Peer Perform
Apr-21-25Downgrade TD Cowen Buy → Hold $78
Apr-21-25Downgrade Jefferies Buy → Hold $75
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Global Payments, Inc. engages in the provision of payment technology and software solutions. It operates through the Merchant Solutions and Issuer Solutions segments. The Merchant Solutions segment offers payments technology and software solutions globally to primarily small- and-medium sized businesses and select mid-market and enterprise customers. The Issuer Solutions segment is involved in comprehensive commerce solutions supporting the payment ecosystem for issuers. The company was founded by George W. Thorpe in 1967 and is headquartered in Atlanta, GA.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
BALDWIN ROBERT H B JRDirectorDec 11 '25Buy81.4210,392846,11759,303Dec 12 08:58 AM
BALDWIN ROBERT H B JRDirectorDec 10 '25Buy80.253,000240,75048,911Dec 12 08:58 AM
SHEFFIELD DAVID MOfficerDec 11 '25Proposed Sale81.412,016164,112Dec 11 03:24 PM
Green David LawrenceChief Administrative OfficerDec 03 '25Sale79.9911,600927,88468,096Dec 05 04:24 PM
Green David LawrenceOfficerDec 03 '25Proposed Sale80.0011,600927,993Dec 03 05:02 PM
MCDANIEL CONNIE DDirectorNov 12 '25Option Exercise65.755,281347,22634,478Nov 14 04:02 PM
MCDANIEL CONNIE DDirectorNov 12 '25Sale77.814,464347,34430,014Nov 14 04:02 PM
MCDANIEL CONNIE DDirectorNov 12 '25Proposed Sale77.814,464347,333Nov 12 03:55 PM
Watson Patricia ADirectorNov 07 '25Buy75.061,33199,9052,651Nov 10 04:27 PM
Cortopassi Robert MPresident and COOAug 21 '25Sale85.524,000342,08049,121Aug 22 04:13 PM
Cortopassi Robert MOfficerAug 21 '25Proposed Sale85.524,000342,082Aug 21 03:50 PM
SHEFFIELD DAVID MEVP, Chief Accounting OfficerAug 12 '25Sale83.032,500207,57516,454Aug 14 04:09 PM
SHEFFIELD DAVID MOfficerAug 12 '25Proposed Sale83.032,500207,578Aug 12 11:28 AM
Steele-Belkin Dara L.General Counsel & Corp. Secty.Aug 07 '25Sale86.002,000172,00030,713Aug 11 04:55 PM
Steele-Belkin Dara L.OfficerAug 07 '25Proposed Sale86.002,000172,000Aug 07 02:05 PM
Bready Cameron MChief Executive OfficerJun 27 '25Option Exercise55.923,780211,378290,370Jun 30 04:48 PM
SHEFFIELD DAVID MEVP, Chief Accounting OfficerMay 08 '25Sale80.792,500201,97520,150May 12 04:31 PM
SHEFFIELD DAVID MOfficerMay 08 '25Proposed Sale80.792,500201,975May 08 02:47 PM
Carter Andrea MFormer OfficerMay 07 '25Proposed Sale78.713,815300,283May 07 01:13 PM
MCDANIEL CONNIE DDirectorMar 12 '25Option Exercise50.596,113309,25729,342Mar 13 04:58 PM
TURNER JOHN THOMPSONDirectorMar 10 '25Option Exercise50.596,113309,25734,212Mar 12 05:23 PM
BALDWIN ROBERT H B JRDirectorDec 13 '24Buy116.005,800672,80042,738Dec 16 04:10 PM
EDF Virtus Stone Harbor Emerging Markets Income Fund daily Stock Chart
Index- P/E6.91 EPS (ttm)0.69 Insider Own- Shs Outstand30.98M Perf Week-2.05%
Market Cap147.77M Forward P/E- EPS next Y- Insider Trans- Shs Float30.98M Perf Month-4.98%
Enterprise Value- PEG- EPS next Q- Inst Own30.10% Short Float0.11% Perf Quarter-4.60%
Income- P/S- EPS this Y- Inst Trans- Short Ratio0.32 Perf Half Y-4.79%
Sales- P/B- EPS next Y- ROA- Short Interest0.03M Perf YTD1.49%
Book/sh- P/C- EPS next 5Y- ROE- 52W High5.28 -9.66% Perf Year-5.82%
Cash/sh- P/FCF- EPS past 3/5Y- - ROIC- 52W Low4.14 15.22% Perf 3Y7.43%
Dividend Est.- EV/EBITDA- Sales past 3/5Y- - Gross Margin- Volatility0.94% 1.03% Perf 5Y-39.16%
Dividend TTM0.72 (15.09%) EV/Sales- EPS Y/Y TTM- Oper. Margin- ATR (14)0.06 Perf 10Y-62.05%
Dividend Ex-DateJan 12, 2026 Quick Ratio- Sales Y/Y TTM- Profit Margin- RSI (14)33.97 Recom-
Dividend Gr. 3/5Y-5.75% -19.73% Current Ratio- EPS Q/Q- SMA20-1.96% Beta1.19 Target Price-
Payout61.96% Debt/Eq- Sales Q/Q- SMA50-3.33% Rel Volume1.85 Prev Close4.79
Employees- LT Debt/Eq- Earnings- SMA200-4.23% Avg Volume102.14K Price4.77
IPODec 23, 2010 Option/ShortNo / Yes EPS/Sales Surpr.- - Trades Volume85,646 Change-0.42%
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Virtus Stone Harbor Emerging Markets Income Fund is a closed-ended fixed income mutual fund launched and managed by Stone Harbor Investment Partners LP. The fund invests in the fixed income markets of emerging market countries across the globe. It primarily invests in sovereign debt obligations, corporate debt securities, structured notes, convertible securities, securities issued by supranational organizations, floating rate commercial loans, and securitized loan participations. The fund focuses on factors such as liquidity, volatility, tax implications, interest rate sensitivity, counterparty risks, economic factors, currency exchange rates, and technical market considerations to create its portfolio. It benchmarks the performance of its portfolios against the JP Morgan EMBI Global Diversified TR Index, the JPMorgan CEMBI Broad Diversified Index, and the JPMorgan GBI-EM Global Diversified Composite TR Index. Virtus Stone Harbor Emerging Markets Income Fund was formed on December 22, 2010 and is domiciled in the United States.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
MCDANIEL CONNIE DDirectorSep 15 '25Buy4.981,1075,5131,107Sep 16 04:43 PM
ACV Virtus Diversified Income & Convertible Fund daily Stock Chart
Index- P/E6.20 EPS (ttm)4.17 Insider Own- Shs Outstand10.38M Perf Week-1.40%
Market Cap268.48M Forward P/E- EPS next Y- Insider Trans- Shs Float10.38M Perf Month-0.91%
Enterprise Value- PEG- EPS next Q- Inst Own19.66% Short Float0.54% Perf Quarter7.98%
Income- P/S- EPS this Y- Inst Trans- Short Ratio1.45 Perf Half Y17.66%
Sales- P/B- EPS next Y- ROA- Short Interest0.06M Perf YTD17.87%
Book/sh- P/C- EPS next 5Y- ROE- 52W High26.76 -3.31% Perf Year12.15%
Cash/sh- P/FCF- EPS past 3/5Y- - ROIC- 52W Low17.00 52.20% Perf 3Y32.73%
Dividend Est.- EV/EBITDA- Sales past 3/5Y- - Gross Margin- Volatility1.51% 1.82% Perf 5Y3.47%
Dividend TTM2.16 (8.35%) EV/Sales- EPS Y/Y TTM- Oper. Margin- ATR (14)0.44 Perf 10Y80.40%
Dividend Ex-DateJan 12, 2026 Quick Ratio- Sales Y/Y TTM- Profit Margin- RSI (14)54.04 Recom-
Dividend Gr. 3/5Y10.34% 6.40% Current Ratio- EPS Q/Q- SMA201.00% Beta1.40 Target Price-
Payout46.78% Debt/Eq- Sales Q/Q- SMA502.11% Rel Volume0.76 Prev Close26.13
Employees- LT Debt/Eq- Earnings- SMA20013.93% Avg Volume38.83K Price25.87
IPOMay 22, 2015 Option/ShortNo / No EPS/Sales Surpr.- - Trades Volume13,361 Change-0.98%
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Virtus Diversified Income & Convertible Fund is a closed-ended balanced mutual fund launched and managed by Allianz Global Investors Fund Management LLC. The fund is co-managed by Allianz Global Investors U.S. LLC. It invests in the public equity and fixed income markets. The fund primarily invests in diversified portfolio of convertible securities, income-producing equity securities, and income-producing debt and other instruments of varying maturities. It employs fundamental analysis along with bottom-up stock picking approach. Virtus Diversified Income & Convertible Fund was formed In May 27, 2015 and is domiciled in United States.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
MCDANIEL CONNIE DDirectorJun 17 '25Buy21.892375,187237Jun 18 12:46 PM
Last Close
Dec 12  •  12:14PM ET
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NCZ Virtus Convertible & Income Fund II daily Stock Chart
Index- P/E1.27 EPS (ttm)10.94 Insider Own- Shs Outstand19.03M Perf Week-0.96%
Market Cap264.41M Forward P/E- EPS next Y- Insider Trans- Shs Float19.03M Perf Month-2.49%
Enterprise Value- PEG- EPS next Q- Inst Own36.62% Short Float0.09% Perf Quarter0.32%
Income- P/S15.02 EPS this Y- Inst Trans- Short Ratio0.26 Perf Half Y14.13%
Sales17.60M P/B0.98 EPS next Y- ROA- Short Interest0.02M Perf YTD10.98%
Book/sh14.16 P/C- EPS next 5Y- ROE- 52W High14.44 -3.74% Perf Year5.27%
Cash/sh- P/FCF- EPS past 3/5Y- - ROIC- 52W Low10.23 35.80% Perf 3Y12.06%
Dividend Est.- EV/EBITDA- Sales past 3/5Y- - Gross Margin- Volatility1.14% 1.72% Perf 5Y-29.96%
Dividend TTM1.44 (10.36%) EV/Sales- EPS Y/Y TTM- Oper. Margin- ATR (14)0.23 Perf 10Y-33.71%
Dividend Ex-DateJan 12, 2026 Quick Ratio- Sales Y/Y TTM- Profit Margin- RSI (14)50.29 Recom-
Dividend Gr. 3/5Y-7.17% -9.02% Current Ratio- EPS Q/Q-5.80% SMA200.93% Beta1.18 Target Price-
Payout58.98% Debt/Eq- Sales Q/Q-3.50% SMA50-0.19% Rel Volume0.91 Prev Close13.99
Employees- LT Debt/Eq- Earnings- SMA2008.05% Avg Volume64.15K Price13.90
IPOJul 29, 2003 Option/ShortNo / Yes EPS/Sales Surpr.- - Trades Volume26,543 Change-0.68%
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Virtus Convertible & Income Fund II is a closed ended fixed income mutual fund launched and managed by Allianz Global Investors Fund Management LLC. The fund is co-managed by Allianz Global Investors U.S. LLC. It invests in fixed income markets of the United States. The fund primarily invests in convertible securities and non-convertible high-yield bonds rated below investment grade. It invests in securities across a broad range of maturities, with the weighted average maturity ranging between five to ten years. The fund typically employs fundamental analysis with a bottom up stock picking approach to create its portfolio. It conducts in-house research using proprietary models. The fund was formerly known as AGIC Convertible & Income Fund II. Virtus Convertible & Income Fund II was formed on July 31, 2003 and is domiciled in the United States.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
MCDANIEL CONNIE DDirectorJun 17 '25Buy12.314225,194422Jun 18 12:46 PM
Last Close
Dec 12  •  12:16PM ET
24.94
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NIE Virtus Equity & Convertible Income Fund daily Stock Chart
Index- P/E6.55 EPS (ttm)3.81 Insider Own- Shs Outstand27.71M Perf Week-2.69%
Market Cap691.05M Forward P/E- EPS next Y- Insider Trans- Shs Float27.71M Perf Month-3.03%
Enterprise Value- PEG- EPS next Q- Inst Own26.23% Short Float0.10% Perf Quarter-0.08%
Income- P/S- EPS this Y- Inst Trans- Short Ratio0.47 Perf Half Y9.14%
Sales- P/B- EPS next Y- ROA- Short Interest0.03M Perf YTD1.13%
Book/sh- P/C- EPS next 5Y- ROE- 52W High26.00 -4.08% Perf Year0.20%
Cash/sh- P/FCF- EPS past 3/5Y- - ROIC- 52W Low18.54 34.52% Perf 3Y33.04%
Dividend Est.- EV/EBITDA- Sales past 3/5Y- - Gross Margin- Volatility0.89% 1.28% Perf 5Y8.85%
Dividend TTM2.00 (8.02%) EV/Sales- EPS Y/Y TTM- Oper. Margin- ATR (14)0.34 Perf 10Y61.26%
Dividend Ex-DateDec 11, 2025 Quick Ratio- Sales Y/Y TTM- Profit Margin- RSI (14)40.43 Recom-
Dividend Gr. 3/5Y16.65% 9.68% Current Ratio- EPS Q/Q- SMA20-1.16% Beta1.03 Target Price-
Payout42.52% Debt/Eq- Sales Q/Q- SMA50-1.82% Rel Volume0.90 Prev Close25.19
Employees- LT Debt/Eq- Earnings- SMA2004.55% Avg Volume61.93K Price24.94
IPOFeb 23, 2007 Option/ShortNo / Yes EPS/Sales Surpr.- - Trades Volume25,227 Change-0.99%
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Virtus Equity & Convertible Income Fund is a closed ended equity mutual fund launched and managed by Allianz Global Investors Fund Management LLC. The fund is co-managed by Allianz Global Investors U.S. LLC. It invests in the public equity markets of the United States. The fund invests in stocks of companies operating across diversified sectors. It primarily invests in growth stocks of companies. The fund also invests in income producing convertible securities. It employs fundamental analysis focusing on factors like above-average earnings growth, high return on invested capital, a healthy or improving balance sheet, strong competitive advantages, and development of new technologies to make its investments. The fund was formerly known as AGIC Equity & Convertible Income Fund. Virtus Equity & Convertible Income Fund was formed on Feb 27, 2007 and is domiciled in the United States.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
MCDANIEL CONNIE DDirectorJun 17 '25Buy22.972265,191226Jun 18 12:45 PM
Last Close
Dec 12  •  12:16PM ET
15.03
Dollar change
-0.22
Percentage change
-1.44
%
NCV Virtus Convertible & Income Fund daily Stock Chart
Index- P/E1.30 EPS (ttm)11.58 Insider Own- Shs Outstand22.59M Perf Week-2.72%
Market Cap339.58M Forward P/E- EPS next Y- Insider Trans- Shs Float22.59M Perf Month-3.78%
Enterprise Value- PEG- EPS next Q- Inst Own26.45% Short Float0.04% Perf Quarter-0.33%
Income- P/S14.37 EPS this Y- Inst Trans- Short Ratio0.10 Perf Half Y10.84%
Sales23.63M P/B0.95 EPS next Y- ROA- Short Interest0.01M Perf YTD8.29%
Book/sh15.79 P/C- EPS next 5Y- ROE- 52W High15.83 -5.05% Perf Year3.23%
Cash/sh- P/FCF- EPS past 3/5Y- - ROIC- 52W Low11.51 30.58% Perf 3Y3.80%
Dividend Est.- EV/EBITDA- Sales past 3/5Y- - Gross Margin- Volatility1.06% 1.61% Perf 5Y-33.02%
Dividend TTM1.63 (10.86%) EV/Sales- EPS Y/Y TTM- Oper. Margin- ATR (14)0.23 Perf 10Y-37.58%
Dividend Ex-DateJan 12, 2026 Quick Ratio- Sales Y/Y TTM- Profit Margin- RSI (14)41.51 Recom-
Dividend Gr. 3/5Y-7.17% -9.38% Current Ratio- EPS Q/Q-18.50% SMA20-0.89% Beta1.16 Target Price-
Payout61.88% Debt/Eq- Sales Q/Q-3.60% SMA50-2.13% Rel Volume1.82 Prev Close15.25
Employees- LT Debt/Eq- Earnings- SMA2005.89% Avg Volume95.29K Price15.03
IPOMar 27, 2003 Option/ShortNo / Yes EPS/Sales Surpr.- - Trades Volume78,636 Change-1.44%
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Virtus Convertible & Income Fund is a closed ended fixed income mutual fund launched and managed by Allianz Global Investors Fund Management LLC. The fund is co-managed by Allianz Global Investors U.S. LLC. It invests in fixed income markets of the United States. The fund primarily invests in convertible securities and non-convertible high-yield bonds rated below investment grade. It invests in securities with a broad range of maturities, with a weighted average maturity ranging between five to ten years. The fund employs fundamental analysis with a bottom up stock picking approach to create its portfolio. It conducts in house research using proprietary models. The fund was formerly known as AGIC Convertible & Income Fund. Virtus Convertible & Income Fund was formed on March 31, 2003 and is domiciled in the United States.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
MCDANIEL CONNIE DDirectorJun 16 '25Buy13.593674,987367Jun 18 12:45 PM
NFJ Virtus AllianzGI Dividend Interest & Premium Strategy Fund daily Stock Chart
Index- P/E18.58 EPS (ttm)0.69 Insider Own- Shs Outstand94.10M Perf Week-2.81%
Market Cap1.21B Forward P/E- EPS next Y- Insider Trans- Shs Float94.10M Perf Month-1.99%
Enterprise Value- PEG- EPS next Q- Inst Own41.63% Short Float0.04% Perf Quarter-0.39%
Income- P/S37.46 EPS this Y- Inst Trans- Short Ratio0.16 Perf Half Y6.30%
Sales32.20M P/B0.92 EPS next Y- ROA- Short Interest0.04M Perf YTD1.50%
Book/sh13.91 P/C- EPS next 5Y- ROE- 52W High13.30 -3.61% Perf Year-1.91%
Cash/sh- P/FCF- EPS past 3/5Y- - ROIC- 52W Low10.02 27.94% Perf 3Y14.58%
Dividend Est.- EV/EBITDA- Sales past 3/5Y- - Gross Margin- Volatility0.91% 1.44% Perf 5Y1.15%
Dividend TTM1.22 (9.52%) EV/Sales- EPS Y/Y TTM- Oper. Margin- ATR (14)0.18 Perf 10Y7.23%
Dividend Ex-DateDec 11, 2025 Quick Ratio- Sales Y/Y TTM- Profit Margin- RSI (14)45.54 Recom-
Dividend Gr. 3/5Y10.63% 6.25% Current Ratio- EPS Q/Q- SMA20-0.47% Beta1.09 Target Price-
Payout- Debt/Eq- Sales Q/Q- SMA50-0.65% Rel Volume0.59 Prev Close12.91
Employees- LT Debt/Eq- Earnings- SMA2002.90% Avg Volume221.98K Price12.82
IPOFeb 24, 2005 Option/ShortNo / Yes EPS/Sales Surpr.- - Trades Volume59,471 Change-0.70%
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AllianzGI NFJ Dividend, Interest & Premium Strategy Fund is a closed ended equity mutual fund launched and managed by Allianz Global Investors Fund Management LLC. The fund is co-managed by Allianz Global Investors U.S. LLC and NFJ Investment Group LLC. It invests in public equity markets of the United States. The fund invests in the stocks of companies operating across diversified sectors. It primarily invests in dividend-paying stocks of companies. The fund employs a combination of fundamental research with bottom up stock picking approach and quantitative analysis to create its portfolio. It was formerly known as NFJ Dividend, Interest & Premium Strategy Fund. AllianzGI NFJ Dividend, Interest & Premium Strategy Fund was formed on February 28, 2005 and is domiciled in the United States.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
MCDANIEL CONNIE DDirectorJun 17 '25Buy12.144275,186427Jun 18 12:45 PM