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BILZ - PIMCO Ultra Short Government Active ETF - Stock Price Chart
TickerBILZ [NYSE]
CompanyPIMCO Ultra Short Government Active ETF
CountryUSA
IndustryExchange Traded Fund
CategoryBonds - Treasury & Government
Index-
TagsU.S., bonds, treasuries
Sector/Theme Region
Dividend3.91%Active/Passive
Total Holdings13AUM372.37M
Flows% 1M20.18%Flows% 3M53.03%
Flows% YTD108.25%Flows% 1Y
Return% 1Y-Return% 3Y-
Return% 5Y-Return% 10Y
NAV% Expense
Avg Volume54.53K52W Range99.64 - 106.19
PIMCO Ultra Short Government Active Exchange-Traded Fund seeks maximum current income, consistent with preservation of capital and daily liquidity. The fund invests 100% of its total assets in (i) cash, (ii) U.S. government securities, such as U.S. Treasury bills, notes, and other obligations issued by, or guaranteed as to principal and interest by, the U.S. government (including its agencies and instrumentalities), and (iii) repurchase agreements that are collateralized fully by such U.S. government securities or cash.
PLPC - Preformed Line Products Co. - Stock Price Chart
TickerPLPC [NASD, RUT]
CompanyPreformed Line Products Co.
CountryUSA
IndustryElectrical Equipment & Parts
Market Cap648.41MEPS (ttm)10.34
P/E12.75EPS this Y-
Forward P/E-EPS next Y-
PEG-EPS past 5Y19.48%
P/S1.03EPS next 5Y-
P/B1.57EPS Q/Q-54.68%
Dividend0.61%Sales Q/Q-22.51%
Insider Own51.82%Inst Own41.38%
Insider Trans0.00%Inst Trans-3.22%
Short Float1.20%EarningsMay 01/a
Analyst Recom-Target Price-
Avg Volume14.72K52W Range104.96 - 184.82
Preformed Line Products Co. engages in the provision of products and systems employed in the construction and maintenance of overhead and underground networks for the energy, telecommunication, cable operators, information, and other similar industries. It operates through the following geographical segments: PLP-USA, Americas, EMEA, and Asia-Pacific. The PLP-USA segment is involved in manufacturing traditional products primarily supporting domestic energy, telecommunications, and solar products. The Americas, EMEA, and Asia-Pacific segments focuses on supporting energy, telecommunications, data communication, and solar products in each respective geographical region. The company was founded by Thomas F. Peterson in 1947 and is headquartered in Mayfield Village, OH.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Hofstetter John MExecutive Vice PresidentFeb 07 '24Option Exercise0.002,891011,684Feb 08 04:24 PM
Klaus Andrew SCFOFeb 07 '24Option Exercise0.00208014,709Feb 08 04:21 PM
Klaus Andrew SCFOFeb 07 '24Option Exercise0.003,35704,947Feb 08 04:21 PM
Ruhlman Jon RyanPresidentFeb 07 '24Option Exercise0.003,180011,327Feb 08 04:20 PM
Vaccariello Caroline SaylorGeneral Counsel&Corp SecretaryFeb 07 '24Option Exercise0.002,79406,563Feb 08 04:17 PM
CVGW - Calavo Growers, Inc - Stock Price Chart
TickerCVGW [NASD, RUT]
CompanyCalavo Growers, Inc
CountryUSA
IndustryFood Distribution
Market Cap423.64MEPS (ttm)-0.09
P/E-EPS this Y11033.33%
Forward P/E14.60EPS next Y49.09%
PEG-EPS past 5Y-
P/S0.52EPS next 5Y14.30%
P/B2.06EPS Q/Q250.49%
Dividend1.68%Sales Q/Q-24.65%
Insider Own6.02%Inst Own80.43%
Insider Trans0.00%Inst Trans-1.15%
Short Float5.20%EarningsJun 10/a
Analyst Recom1.67Target Price35.33
Avg Volume169.71K52W Range21.42 - 38.97
Calavo Growers, Inc. engages in the marketing and distribution of avocados, prepared avocado products, and other perishable foods. It operates through the Grown and Prepared segments. The Grown segment consists of fresh avocados, tomatoes, and papayas. The Prepared segment includes all other products including fresh-cut fruits and vegetables, ready-to-eat sandwiches, wraps, salads and snacks, guacamole, and salsa. The company was founded in 1924 and is headquartered in Santa Paula, CA.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Browne Michael AExecutive Vice PresidentSep 18 '23Buy28.1580022,5201,500Sep 20 05:30 PM
Browne Michael AExecutive Vice PresidentSep 18 '23Buy28.1440011,2561,400Sep 20 05:30 PM
Hollister SteveDirectorJul 14 '23Buy30.592,00061,18036,702Jul 17 08:11 PM
COLE LECIL EChief Executive OfficerJul 13 '23Buy30.7437,5001,152,750515,000Jul 14 05:20 PM
COLE LECIL EChief Executive OfficerJul 12 '23Buy29.9437,5001,122,750477,500Jul 14 05:20 PM
SKYY - First Trust Cloud Computing ETF - Stock Price Chart
TickerSKYY [NASD]
CompanyFirst Trust Cloud Computing ETF
CountryUSA
IndustryExchange Traded Fund
CategoryUS Equities - Industry Sector
IndexISE CTA Cloud Computing Index
TagsU.S., equity, technology, cloud-computing
Sector/Theme Region
Dividend-Active/Passive
Total Holdings66AUM2.91B
Flows% 1M-1.70%Flows% 3M-4.56%
Flows% YTD-4.74%Flows% 1Y
Return% 1Y18.30%Return% 3Y-0.03%
Return% 5Y10.14%Return% 10Y
NAV% Expense
Avg Volume122.20K52W Range70.42 - 97.78
First Trust Cloud Computing ETF seeks investment results that correspond generally to the price and yield of an equity index called the ISE CTA Cloud Computing Index TM. The fund will normally invest at least 90% of its net assets (including investment borrowings) in the common stocks and depositary receipts that comprise the index. The index is designed to track the performance of companies involved in the cloud computing industry.
AAA - Alternative Access First Priority CLO Bond ETF - Stock Price Chart
TickerAAA [NYSE]
CompanyAlternative Access First Priority CLO Bond ETF
CountryUSA
IndustryExchange Traded Fund
CategoryBonds - Non Government Asset Backed Securities
Index-
TagsU.S., debt, debt-securities, CLO
Sector/Theme Region
Dividend6.26%Active/Passive
Total Holdings48AUM22.55M
Flows% 1M0.00%Flows% 3M28.48%
Flows% YTD79.63%Flows% 1Y
Return% 1Y8.73%Return% 3Y0.04%
Return% 5Y-Return% 10Y
NAV% Expense
Avg Volume8.17K52W Range24.12 - 25.26
AXS First Priority CLO Bond ETF seeks capital preservation and income. The fund is an actively-managed exchange-traded fund ("ETF"). Under normal circumstances, it invests at least 80% of its net assets (plus any borrowings for investment purposes) in AAA rated first priority debt tranches of U.S. dollar-dominated collateralized loan obligations ("CLOs"). It may invest in CLOs of any maturity. The fund is actively managed and does not seek to track the performance of any particular index.
BX - Blackstone Inc - Stock Price Chart
TickerBX [NYSE, S&P 500]
CompanyBlackstone Inc
CountryUSA
IndustryAsset Management
Market Cap148.59BEPS (ttm)2.84
P/E43.34EPS this Y20.87%
Forward P/E20.43EPS next Y25.98%
PEG1.92EPS past 5Y-4.02%
P/S14.36EPS next 5Y22.59%
P/B21.50EPS Q/Q870.06%
Dividend3.35%Sales Q/Q2.73%
Insider Own41.51%Inst Own41.43%
Insider Trans-0.51%Inst Trans0.80%
Short Float2.46%EarningsApr 18/b
Analyst Recom2.43Target Price125.06
Avg Volume3.18M52W Range85.97 - 133.08
Blackstone, Inc. engages in the provision of investment and fund management services. It operates through the following segments: Real Estate, Private Equity, Credit and Insurance, and Hedge Fund Solutions. The Real Estate segment includes management of opportunistic real estate funds, Core+ real estate funds, high-yield real estate debt funds, and liquid real estate debt funds. The Private Equity segment consists of management of flagship corporate private equity funds, sector and geographically focused corporate private equity funds, core private equity funds, an opportunistic investment platform, a secondary fund of funds business, infrastructure-focused funds, a life sciences investment platform, a growth equity investment platform, a multi-asset investment program for eligible high net worth investors and a capital markets services business. The Credit and Insurance segment refers to Blackstone Credit, which is organized into two overarching strategies: private credit which includes mezzanine direct lending funds, private placement strategies, stressed and distressed strategies and energy strategies, and liquid credit which consists of CLOs, closed-ended funds, open ended funds and separately managed accounts. In addition, the segment includes an insurer-focused platform, an asset-based finance platform, and publicly traded master limited partnership investment platform. The Hedge Fund Solutions segment focuses on Blackstone Alternative Asset Management, which manages a broad range of commingled and customized hedge fund of fund solutions. It also includes a GP Stakes business and investment platforms that invest directly, as well as investment platforms that seed new hedge fund businesses and create alternative solutions through daily liquidity products. The company was founded by Stephen Allen Schwarzman in 1985 and is headquartered in New York, NY.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Blackstone Inc.10% OwnerMay 21 '24Sale16.3320,125,000328,641,25077,326May 23 05:56 PM
Porat RuthDirectorMay 06 '24Buy119.4821926,19234,445May 08 05:23 PM
Porat RuthDirectorMay 06 '24Buy119.95586,9298,406May 08 05:23 PM
BX Buzz ML-1 GP LLC10% OwnerMar 03 '24Sale11.102,509,31627,845,37812,802Mar 05 06:34 PM
Brown Reginald JDirectorFeb 21 '24Buy125.622,400301,50016,949Feb 21 05:05 PM
FBMS - First Bancshares Inc Miss - Stock Price Chart
TickerFBMS [NYSE, RUT]
CompanyFirst Bancshares Inc Miss
CountryUSA
IndustryBanks - Regional
Market Cap751.47MEPS (ttm)2.53
P/E9.53EPS this Y-21.83%
Forward P/E9.09EPS next Y10.71%
PEG-EPS past 5Y8.08%
P/S1.91EPS next 5Y-
P/B0.78EPS Q/Q26.42%
Dividend4.18%Sales Q/Q13.06%
Insider Own9.57%Inst Own66.15%
Insider Trans0.00%Inst Trans5.03%
Short Float0.72%EarningsApr 24/a
Analyst Recom2.00Target Price29.69
Avg Volume153.28K52W Range22.96 - 32.06
First Bancshares, Inc. is a bank holding company, which engages in banking services such as personal and business, which include checking, savings, and loans, cards, and others. It operates through the following segments: Commercial, Financial and Agriculture, Commercial Real Estate, Consumer Real Estate, and Consumer Installment. The Commercial, Financial and Agriculture segment provides loans to business entities issued for commercial, industrial, or other business purposes. The Commercial Real Estate segment offers loans that are grouped as such because repayment is mainly dependent upon either the sale of the real estate, operation of the business occupying the real estate, or refinance of the debt obligation. The Consumer Real Estate segment includes loans secured by 1-4 family residential properties and/or residential lots. The Consumer Installment segment focuses on the l loans issued to individuals that are not for any purpose related to operation of a business, and not secured by real estate. The company was founded in 1996 and is headquartered in Hattiesburg, MS.
FMY - First Trust Mortgage Income Fund - Stock Price Chart
TickerFMY [NYSE]
CompanyFirst Trust Mortgage Income Fund
CountryUSA
IndustryClosed-End Fund - Debt
Market Cap50.64MEPS (ttm)0.31
P/E38.77EPS this Y-
Forward P/E-EPS next Y-
PEG-EPS past 5Y-
P/S13.03EPS next 5Y-
P/B1.03EPS Q/Q-
Dividend7.38%Sales Q/Q42.40%
Insider Own14.00%Inst Own135.63%
Insider Trans0.00%Inst Trans-
Short Float0.18%Earnings-
Analyst Recom-Target Price-
Avg Volume6.47K52W Range10.71 - 12.23
First Trust Mortgage Income Fund is a closed-ended fixed income mutual fund launched and managed by First Trust Advisors L.P. It is co-managed by Brookfield Investment Management Inc. The fund invests in fixed income markets. It seeks to invest in fixed income securities including mortgage-backed securities, consisting of pass-through certificates, collateralized mortgage obligations, residential mortgage-backed securities, and commercial mortgage-backed securities. The fund was formerly known as the First Trust/FIDAC Mortgage Income Fund. First Trust Mortgage Income Fund was formed on May 25, 2005 and is domiciled in United States.
PAI - Western Asset Investment Grade Income Fund Inc - Stock Price Chart
TickerPAI [NYSE]
CompanyWestern Asset Investment Grade Income Fund Inc
CountryUSA
IndustryClosed-End Fund - Debt
Market Cap114.99MEPS (ttm)1.11
P/E10.89EPS this Y-
Forward P/E-EPS next Y-
PEG-EPS past 5Y-
P/S16.95EPS next 5Y-
P/B0.92EPS Q/Q-
Dividend4.74%Sales Q/Q2.30%
Insider Own0.01%Inst Own27.87%
Insider Trans0.00%Inst Trans-
Short Float0.07%Earnings-
Analyst Recom3.00Target Price-
Avg Volume18.82K52W Range10.59 - 12.29
Western Asset Income Fund is a closed-ended fixed income mutual fund launched and managed by Western Asset Management Company. It is co-managed by Western Asset Management Company Limited. The fund invests in the fixed income markets of the United States. It primarily invests in investment grade debt, including government securities, bank debt, commercial paper, and cash or cash equivalents. The fund benchmarks the performance of its portfolio against the Barclays U.S. Corporate High Yield Index and the Barclays U.S. Credit Index. Western Asset Income Fund was formed on March 22, 1973 and is domiciled in the United States.
HSRT - Hartford AAA CLO ETF - Stock Price Chart
TickerHSRT [AMEX]
CompanyHartford AAA CLO ETF
CountryUSA
IndustryExchange Traded Fund
CategoryBonds - Non Government Asset Backed Securities
Index-
TagsU.S., fixed-income, bonds, investment-grade
Sector/Theme Region
Dividend4.31%Active/Passive
Total Holdings104AUM95.78M
Flows% 1M-14.02%Flows% 3M-10.90%
Flows% YTD-7.54%Flows% 1Y
Return% 1Y7.63%Return% 3Y0.02%
Return% 5Y2.43%Return% 10Y
NAV% Expense
Avg Volume21.93K52W Range37.64 - 39.32
Hartford Short Duration ETF seeks to provide current income and long-term total return. The fund seeks to achieve its investment objective by investing in securities that is considered to be attractive giving consideration to both yield and total return. It normally invests in investment grade securities. The fund may invest up to 35% of its net assets in non-investment grade fixed income securities (also referred to as "junk bonds"). It may also invest up to 35% of its net assets in bank loans or loan participation interests in secured or unsecured variable, fixed or floating rate loans to U.S. and foreign corporations, partnerships and other entities ("bank loans").
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