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Latest Earnings

Share
Updated: Friday, February 14, 2020 8:05:22 AM
Date
Company
Symbol
Current EPS
Year Ago EPS
Net. Ern Curr
Net. Ern Year-Ago
Current Sales
Year Ago Sales
2/14/20
PPL Corporation
$ 0.48
$ 0.57
$ 364 M
$ 415 M
$ 1.95 B
$ 1.94 B
2/14/20
Enbridge Inc.
C$ 0.37
C$ 0.60
C$ 0.75 B
C$ 1.09 B
C$ -
C$ -
2/14/20
Newell Brands, Inc.
$ 1.87
$ 0.41
$ 793.8 M
$ 183.5 M
$ 2.62 B
$ 2.71 B
2/13/20
Agnico-Eagle Mines Ltd
$ 1.38
$ -1.68
$ 331.70 M
$ -393.66 M
$ -
$ -
2/13/20
Digital Realty Trust Inc.
$ 1.50
$ 0.15
$ 315.58 M
$ 31.23 M
$ 787.46 M
$ 778.27 M
2/13/20
NVIDIA Corporation
$ 1.53
$ 0.92
$ 950 M
$ 567 M
$ 3.11 B
$ 2.21 B
2/13/20
Terex Corp.
$ 0.34
$ -0.45
$ 24.5 M
$ -33.0 M
$ 0.89 B
$ 1.05 B
2/13/20
Fidelity National Financial Inc
$ 1.22
$ 0.16
$ 340 M
$ 44 M
$ 2.36 B
$ 1.69 B
2/13/20
AMN Healthcare Services Inc.
$ 0.58
$ 0.74
$ 27.5 M
$ 35.6 M
$ 586.9 M
$ 528.6 M
2/13/20
Mohawk Industries Inc
$ 3.68
$ 3.05
$ 264.67 M
$ 229.34 M
$ 2.42 B
$ 2.45 B
2/13/20
Republic Services
$ 0.90
$ 0.92
$ 289.3 M
$ 301.0 M
$ 2.58 B
$ 2.53 B
2/13/20
Arista Networks, Inc.
$ 3.25
$ 2.10
$ 260.69 M
$ 170.32 M
$ 552.55 M
$ 595.73 M
2/13/20
Mattel Inc.
$ 0.00
$ 0.03
$ 0.2 M
$ 9.6 M
$ 1.47 B
$ 1.52 B
2/13/20
Expedia Inc.
$ 0.52
$ 0.11
$ 76 M
$ 17 M
$ 2.75 B
$ 2.56 B
2/13/20
IPG Photonics Corporation
$ -0.08
$ 1.40
$ -4.5 M
$ 75.6 M
$ 306.6 M
$ 330.1 M
2/13/20
Ryder System Inc.
$ -1.02
$ 2.12
$ -53.1 M
$ 111.8 M
$ 2.28 B
$ 2.26 B
2/13/20
Kelly Services
$ 0.43
$ -0.62
$ 17.0 M
$ -23.9 M
$ 1.34 B
$ 1.41 B
2/13/20
Linde plc
$ 0.95
$ 6.45
$ 0.51 B
$ 2.98 B
$ 7.08 B
$ 5.80 B
2/13/20
Waste Management Inc
$ 1.05
$ 1.24
$ 447 M
$ 531 M
$ 3.85 B
$ 3.84 B
2/13/20
Huntington Ingalls Industries, Inc.
$ 3.61
$ 4.94
$ 149 M
$ 212 M
$ 2.41 B
$ 2.20 B
2/13/20
Brookfield Asset Management Inc.
$ 0.74
$ 1.87
$ 1.64 B
$ 3.03 B
$ 17.82 B
$ 16.01 B
2/13/20
Incyte Corporation
$ 0.51
$ 0.32
$ 111.01 M
$ 69.06 M
$ 579.39 M
$ 528.40 M
2/13/20
Sonoco Products
$ 0.44
$ 0.77
$ 44.90 M
$ 77.68 M
$ 1.31 B
$ 1.36 B
2/13/20
Duke Energy Corp
$ 0.88
$ 0.65
$ 660 M
$ 464 M
$ 6.10 B
$ 6.12 B
2/13/20
The Kraft Heinz Company
$ 0.15
$ -10.30
$ 0.18 B
$ -12.57 B
$ 6.54 B
$ 6.89 B
2/13/20
Fidelity National Information Services
$ -0.26
$ 0.91
$ -158 M
$ 299 M
$ 3.34 B
$ 2.17 B
2/13/20
Alkermes plc
$ -0.03
$ -0.06
$ -5.35 M
$ -9.71 M
$ 412.73 M
$ 315.76 M
2/13/20
Laboratory Corporation Of America Holdings
$ 2.32
$ 1.56
$ 227.1 M
$ 157.9 M
$ 2.95 B
$ 2.79 B
2/13/20
Alibaba Group Holding Ltd
RMB 19.55
RMB 12.64
RMB 52.31 B
RMB 33.05 B
RMB 161.46 B
RMB 117.28 B
2/13/20
American International Group, Inc.
$ 1.03
$ -0.70
$ 922 M
$ -622 M
$ -
$ -
2/13/20
Zebra Technologies Corporation
$ 3.10
$ 2.11
$ 169 M
$ 115 M
$ 1.19 B
$ 1.14 B
2/13/20
Borg Warner Inc.
$ 1.06
$ 1.10
$ 237 M
$ 248 M
$ 2.56 B
$ 2.57 B
2/13/20
Himax Technologies Inc.
$ 0.006
$ 0.049
$ 1.04 M
$ 8.46 M
$ 174.93 M
$ 191.01 M
2/13/20
Canadian Tire Corp.
C$ 5.42
C$ 3.99
C$ 365.9 M
C$ 278.2 M
C$ 4.32 B
C$ 4.13 B
2/13/20
Pepsico Inc
$ 1.26
$ 4.83
$ 1.77 B
$ 6.85 B
$ 20.64 B
$ 19.52 B
2/13/20
Iron Mountain Inc
$ 0.13
$ 0.55
$ 37.70 M
$ 157.85 M
$ 1.08 B
$ 1.06 B
2/13/20
Huntsman Corp.
$ 1.34
$ -1.43
$ 303 M
$ -340 M
$ 1.66 B
$ 1.82 B
2/12/20
Welltower Inc.
$ 0.55
$ 0.27
$ 224.32 M
$ 101.76 M
$ 1.26 B
$ 1.24 B
2/12/20
MGM Resorts International
$ 3.91
$ -0.06
$ 2011 M
$ -23.33 M
$ 3.18 B
$ 3.05 B
2/12/20
Equifax Inc
$ 0.07
$ 0.21
$ 9.2 M
$ 25.6 M
$ 905.8 M
$ 835.3 M
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