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#1 / 38 Total
RGCO - RGC Resources, Inc. - Stock Price Chart
TickerRGCO [NASD, RUT]
CompanyRGC Resources, Inc.
CountryUSA
IndustryUtilities - Regulated Gas
Market Cap207.57MEPS (ttm)1.30
P/E15.64EPS this Y0.00%
Forward P/E16.06EPS next Y11.40%
PEG-EPS past 5Y3.72%
P/S2.49EPS next 5Y-
P/B1.88EPS Q/Q-0.95%
Dividend3.90%Sales Q/Q-14.12%
Insider Own20.09%Inst Own36.09%
Insider Trans0.13%Inst Trans-15.05%
Short Float0.65%EarningsMay 06/b
Analyst Recom1.00Target Price27.00
Avg Volume11.11K52W Range15.36 - 22.53
RGC Resources, Inc. is a holding company, which engages in the distribution and sale of natural gas to residential, commercial, and industrial users in its service territory. The firm operates through the following segments: Gas Utility, Investment in Affiliates, and Parent and Other. The Gas Utility segment focuses on tariff rates and other regulatory mechanisms through which it provides for the sale and distribution of natural gas to customers. The Investment in Affiliates includes investment activities in MVP and Southgate projects. The Parent and Other segment consists of unregulated activities and corporate eliminations. The company was founded on July 31, 1998 and is headquartered in Roanoke, VA.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Oliver Lawrence T.VP and SecretaryJun 03 '24Buy20.621020017,628Jun 05 08:40 AM
Miles Christen BrookeVP, Human ResourcesJun 03 '24Buy20.6251003,787Jun 05 08:39 AM
Nester Paul WPresident & CEOMay 08 '24Buy21.172004,234102,552May 09 02:34 PM
Oliver Lawrence T.VP and SecretaryMay 01 '24Buy20.941020017,619May 03 09:53 AM
Miles Christen BrookeVP, Human ResourcesMay 01 '24Buy20.9451003,783May 03 09:51 AM
IHYF - Invesco High Yield Bond Factor ETF - Stock Price Chart
TickerIHYF [NASD]
CompanyInvesco High Yield Bond Factor ETF
CountryUSA
IndustryExchange Traded Fund
CategoryBonds - Broad Market
Index-
TagsU.S., fixed-income, debt-securities, high-yield, multi-factor
Sector/Theme Region
Dividend7.06%Active/Passive
Total Holdings367AUM53.42M
Flows% 1M0.42%Flows% 3M26.01%
Flows% YTD15.15%Flows% 1Y
Return% 1Y10.60%Return% 3Y0.01%
Return% 5Y-Return% 10Y
NAV% Expense
Avg Volume16.85K52W Range20.78 - 22.42
Invesco High Yield Bond Factor ETF seeks total return. The fund is an actively managed ETF that seeks to achieve its investment objective by investing, under normal market conditions, at least 80% of its net assets (plus the amount of any borrowings for investment purposes) in high-yield, below-investment grade, fixed-income securities, and in derivatives and other instruments that have economic characteristics similar to such securities. It may invest up to 20% of its net assets in U.S. Treasury and agency securities. The fund may also invest up to 10% of its net assets in certain collateralized debt obligations.
PYLD - PIMCO Multisector Bond Active ETF - Stock Price Chart
TickerPYLD [NYSE]
CompanyPIMCO Multisector Bond Active ETF
CountryUSA
IndustryExchange Traded Fund
CategoryBonds - Broad Market
Index-
TagsGlobal, fixed-income, bonds, multi-sector
Sector/Theme Region
Dividend5.04%Active/Passive
Total Holdings1120AUM958.78M
Flows% 1M13.70%Flows% 3M106.10%
Flows% YTD227.12%Flows% 1Y
Return% 1Y-Return% 3Y-
Return% 5Y-Return% 10Y
NAV% Expense
Avg Volume436.41K52W Range23.76 - 25.81
PIMCO Multisector Bond Active Exchange-Traded Fund seeks to maximize yield and long term capital appreciation consistent with prudent investment management. The fund seeks to achieve its investment objective by investing, under normal circumstances, at least 80% of its assets in a multi-sector portfolio of Fixed Income Instruments of varying maturities, which may be represented by forwards or derivatives such as options, futures contracts or swap agreements. "Fixed Income Instruments" include bonds, debt securities and other similar instruments issued by various U.S. and non-U.S. public- or private-sector entities.
INVH - Invitation Homes Inc - Stock Price Chart
TickerINVH [NYSE, S&P 500]
CompanyInvitation Homes Inc
CountryUSA
IndustryREIT - Residential
Market Cap21.89BEPS (ttm)0.55
P/E65.15EPS this Y-9.89%
Forward P/E45.52EPS next Y2.48%
PEG5.39EPS past 5Y-
P/S8.56EPS next 5Y12.09%
P/B2.16EPS Q/Q1.15%
Dividend3.13%Sales Q/Q10.74%
Insider Own0.36%Inst Own102.08%
Insider Trans-3.62%Inst Trans3.29%
Short Float1.66%EarningsApr 30/a
Analyst Recom2.00Target Price38.25
Avg Volume2.85M52W Range28.49 - 36.53
Invitation Homes, Inc. engages in the acquisition, renovation, leasing, and operation of single-family homes as rental properties, including single-family homes in planned unit developments. Its services include property management, selection of homes, maintenance program, and online payment. The company was founded by Marcus Ridgway, Dallas Tanner, and Brad Greiwe in 2012 and is headquartered in Dallas, TX.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Barbe, Cohen JanaDirectorMay 24 '24Sale34.587,200248,97628,068May 28 04:16 PM
Young Charles D.President & COOMay 09 '24Sale34.7560,5822,105,224214,714May 10 04:16 PM
Young Charles D.President & COOMay 08 '24Sale34.855,000174,250275,296May 10 04:16 PM
Olsen Jonathan S.EVP&CFOMar 15 '24Sale34.7510,000347,50037,037Mar 18 05:20 PM
CMT - Core Molding Technologies - Stock Price Chart
TickerCMT [AMEX, RUT]
CompanyCore Molding Technologies
CountryUSA
IndustrySpecialty Chemicals
Market Cap153.00MEPS (ttm)2.07
P/E8.07EPS this Y-23.16%
Forward P/E6.92EPS next Y36.34%
PEG-EPS past 5Y-
P/S0.45EPS next 5Y-
P/B1.02EPS Q/Q-35.76%
Dividend-Sales Q/Q-21.47%
Insider Own12.81%Inst Own62.17%
Insider Trans-3.88%Inst Trans0.05%
Short Float3.98%EarningsMay 07/b
Analyst Recom1.00Target Price25.50
Avg Volume40.32K52W Range16.00 - 30.09
Core Molding Technologies, Inc. engages in manufacturing of sheet molding compound and molding of fiberglass reinforced plastics. It focuses on producing large-format moldings and offers a range of fiberglass processes, spray-up, hand-lay-up, and resin transfer molding. The company was founded in 1996 and is headquartered in Columbus, OH.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Zimmer John PEVP, Treasurer, Secretary, CFOMay 28 '24Sale19.696,595129,856157,628May 30 06:12 PM
ANDERSON RENEE REVP, Human ResourcesMay 28 '24Sale20.001020077,799May 30 06:10 PM
HELLMOLD RALPH ODirectorMay 24 '24Sale19.0070013,30027,440May 28 08:49 PM
HELLMOLD RALPH ODirectorMay 23 '24Sale19.001,17322,28728,140May 28 08:49 PM
HELLMOLD RALPH ODirectorMay 22 '24Sale19.001,60030,40029,313May 24 09:31 AM
NURE - Nuveen Short-Term REIT ETF - Stock Price Chart
TickerNURE [AMEX]
CompanyNuveen Short-Term REIT ETF
CountryUSA
IndustryExchange Traded Fund
CategoryUS Equities - Industry Sector
IndexDow Jones U.S. Sel Short-Term REIT Indx
TagsU.S., equity, REITs, real-estate
Sector/Theme Region
Dividend3.81%Active/Passive
Total Holdings36AUM47.69M
Flows% 1M-2.97%Flows% 3M-3.06%
Flows% YTD-3.00%Flows% 1Y
Return% 1Y4.50%Return% 3Y-0.01%
Return% 5Y3.90%Return% 10Y
NAV% Expense
Avg Volume6.15K52W Range25.00 - 31.57
Nuveen Short-Term REIT ETF seeks to track the investment results of the Dow Jones U.S. Select Short-Term REIT Index. The fund invests at least 80% of the sum of its net assets and the amount of any borrowings for investment purposes in REITs. The index is a subset of the Dow Jones U.S. Select REIT Index, which generally includes equity REITs traded on a national securities exchange in the U.S. that derive at least 75% of their total revenue from the ownership and operation of real estate assets and that have a minimum total market capitalization of $200 million at the time of their inclusion. It is non-diversified.
GABC - German American Bancorp Inc - Stock Price Chart
TickerGABC [NASD, RUT]
CompanyGerman American Bancorp Inc
CountryUSA
IndustryBanks - Regional
Market Cap977.33MEPS (ttm)2.84
P/E11.59EPS this Y0.34%
Forward P/E12.63EPS next Y-10.68%
PEG1.29EPS past 5Y7.87%
P/S3.01EPS next 5Y9.00%
P/B1.49EPS Q/Q-8.85%
Dividend3.23%Sales Q/Q11.06%
Insider Own4.96%Inst Own49.31%
Insider Trans0.16%Inst Trans0.65%
Short Float3.92%EarningsApr 29/a
Analyst Recom2.80Target Price35.20
Avg Volume92.90K52W Range24.85 - 34.96
German American Bancorp, Inc. is a financial holding company, which engages in owning a trust, brokerage, and financial planning through German American Financial Advisors & Trust Co. and German American Insurance, Inc. It operates through the following segments: Core Banking, Wealth Management Services, Insurance Operations, and Other. The Core Banking segment is involved in attracting deposits from the public and using such funds to originate consumer, commercial and agricultural, commercial and agricultural real estate, and residential mortgage loans, primarily in the company's local markets. The Wealth Management Services segment offers trust, investment advisory, brokerage, and retirement planning services to customers. The Insurance Operations segment focuses on the full range of personal and corporate property and casualty insurance products, primarily in the company's banking subsidiary's local markets. The company was founded in 1982 and is headquartered in Jasper, IN.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Ryan Christina MDirectorJun 15 '24Buy32.19792,55012,260Jun 18 09:52 AM
SHEIDLER JACKDirectorJun 15 '24Buy32.19541,75061,511Jun 18 10:04 AM
Ellspermann Susan JDirectorJun 15 '24Buy32.19531,7006,406Jun 18 09:44 AM
Bawel Zachary WDirectorJun 15 '24Buy32.192685017,929Jun 18 09:40 AM
SEGER THOMAS WDirectorJun 15 '24Buy32.1926850478,816Jun 18 09:57 AM
FLHY - Franklin High Yield Corporate ETF - Stock Price Chart
TickerFLHY [AMEX]
CompanyFranklin High Yield Corporate ETF
CountryUSA
IndustryExchange Traded Fund
CategoryBonds - Corporate
Index-
TagsU.S., fixed-income, corporate-bonds, high-yield
Sector/Theme Region
Dividend5.84%Active/Passive
Total Holdings229AUM287.23M
Flows% 1M3.84%Flows% 3M7.97%
Flows% YTD16.17%Flows% 1Y
Return% 1Y10.87%Return% 3Y0.02%
Return% 5Y4.46%Return% 10Y
NAV% Expense
Avg Volume53.83K52W Range21.74 - 23.78
Franklin High Yield Corporate ETF seeks to earn a high level of current income; its secondary goal is to seek capital appreciation to the extent it is possible and consistent with the fund's principal goal. Under normal market conditions, the fund invests at least 80% of its net assets in high yield corporate debt securities and investments that provide exposure to high yield corporate debt securities. It may invest up to 100% of its total assets in high yield debt securities. The fund may invest in debt securities of U.S. and foreign issuers, including those in developing or emerging markets. These securities may be U.S. dollar or non-U.S. dollar denominated.
UJB - ProShares Ultra High Yield 2x Shares - Stock Price Chart
TickerUJB [NYSE]
CompanyProShares Ultra High Yield 2x Shares
CountryUSA
IndustryExchange Traded Fund
CategoryBonds - Leveraged / Inverse
IndexMarkit iBoxx $ Liquid High Yield Index
TagsU.S., corporate-bonds, bonds, high-yield, leverage
Sector/Theme Region
Dividend2.21%Active/Passive
Total Holdings7AUM13.09M
Flows% 1M-26.56%Flows% 3M79.12%
Flows% YTD-32.68%Flows% 1Y
Return% 1Y12.62%Return% 3Y-0.02%
Return% 5Y2.29%Return% 10Y
NAV% Expense
Avg Volume16.20K52W Range58.05 - 69.68
ProShares Ultra High Yield seeks daily investment results, before fees and expenses, that correspond to two times (2x) the daily performance of the Markit iBoxx $Liquid High Yield Index. The fund invests in financial instruments that ProShare Advisors believes, in combination, should produce daily returns consistent with the fund's investment objective. The index is a market-value weighted index designed to provide a balanced representation of U.S. dollar denominated high yield corporate bonds for sale within the United States by means of including the most liquid high yield corporate bonds available. The fund is non-diversified.
VRE - Veris Residential Inc - Stock Price Chart
TickerVRE [NYSE, RUT]
CompanyVeris Residential Inc
CountryUSA
IndustryREIT - Residential
Market Cap1.32BEPS (ttm)-1.45
P/E-EPS this Y62.06%
Forward P/E-EPS next Y4.63%
PEG-EPS past 5Y-
P/S4.69EPS next 5Y-
P/B1.16EPS Q/Q78.66%
Dividend1.61%Sales Q/Q0.62%
Insider Own9.47%Inst Own94.34%
Insider Trans0.00%Inst Trans-1.98%
Short Float5.36%EarningsApr 24/a
Analyst Recom2.67Target Price17.25
Avg Volume489.94K52W Range13.06 - 18.98
Veris Residential, Inc. is a real estate investment trust, which owns and operates a real estate portfolio comprised predominantly of Class A office and flex properties located primarily in the Northeast. It operates through the following segments: Commercial and Other Real Estate, and Multi-Family Real Estate and Services. The Commercial and Other Real Estate and Multi-Family Real Estate Portfolio segments provides leasing, property management, acquisition, development, construction, and tenant-related services. The company was founded on May 24, 1994 and is headquartered in Jersey City, NJ.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
KATZ A. AKIVADirectorAug 31 '23Sale18.7510,607198,8815,195,930Sep 01 04:41 PM
KATZ A. AKIVADirectorAug 30 '23Sale18.83100,0001,883,0005,206,537Sep 01 04:41 PM
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