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This ratio is calculated by dividing Free Operating Cash Flow for the recent fiscal year by Total Revenue for the same period and is expressed as percent. Free Operating Cash Flow is calculated as Cash From Operations minus Capital Expenditures and Dividends Paid. Total Revenue represents revenue from all of a company.s operating activities after deducting any sales adjustments and their equivalents.

This value represents the average Annual Free Operating Cash Flow for the last 5 years divided by the average of the Annual Total Revenue for the same period, expressed as a percent. Free Operating Cash Flow is calculated as Cash From Operations minus Capital Expenditures and Dividends Paid. Total Revenue represents revenue from all of a company.s operating activities after deducting any sales adjustments and their equivalents.

This value represents the average TTM Interim Free Operating Cash Flow for the last 3 years divided by the average of the TTM Interim Total Revenue for the same period, expressed as a percent. Free Operating Cash Flow is calculated as Cash From Operations minus Capital Expenditures and Dividends Paid. Total Revenue represents revenue from all of a company.s operating activities after deducting any sales adjustments and their equivalents.

This ratio is calculated by dividing Free Operating Cash Flow for the recent trailing twelve months by Total Revenue for the same period and is expressed as percent. Free Operating Cash Flow is calculated as Cash From Operations minus Capital Expenditures and Dividends Paid. Total Revenue represents revenue from all of a company.s operating activities after deducting any sales adjustments and their equivalents.

This ratio is calculated by dividing Free Operating Cash Flow Ex Dividends for the recent fiscal year by Total Revenue for the same period and is expressed as percent. Free Operating Cash Flow Excluding Dividends is calculated as Cash From Operations minus Capital Expenditures. Total Revenue represents revenue from all of a company.s operating activities after deducting any sales adjustments and their equivalents.

This value represents the average Annual Free Operating Cash Flow Ex Dividends for the last 5 years divided by the average of the Annual Total Revenue for the same period, expressed as a percent. Free Operating Cash Flow Excluding Dividends is calculated as Cash From Operations minus Capital Expenditures. Total Revenue represents revenue from all of a company.s operating activities after deducting any sales adjustments and their equivalents.

This value represents the average TTM Interim Free Operating Cash Flow Ex Dividends for the last 3 years divided by the average of the TTM Interim Total Revenue for the same period, expressed as a percent. Free Operating Cash Flow Excluding Dividends is calculated as Cash From Operations minus Capital Expenditures. Total Revenue represents revenue from all of a company.s operating activities after deducting any sales adjustments and their equivalents.

This ratio is calculated by dividing Free Operating Cash Flow Ex Dividends for the recent trailing twelve months by Total Revenue for the same period and is expressed as percent. Free Operating Cash Flow Excluding Dividends is calculated as Cash From Operations minus Capital Expenditures. Total Revenue represents revenue from all of a company.s operating activities after deducting any sales adjustments and their equivalents.

This is the compound annual growth rate of Free Operating Cash Flow Excluding Dividends over the last 10 years. Free Operating Cash Flow Excluding Dividends is calculated as Cash Flow From Operations minus Capital Expenditures. NOTE: If the value for either the most recent year or the oldest year is zero or negative, the growth rate cannot be calculated, a 'NA' (Not Available) code will be used.

This is an Annual Trend Momentum of Free Operating Cash Flow Excluding Dividends over 10 years. Trend Momentum is derived for the most recent period by subtracting the log linear Estimated index value (in index value units) from the Actual index value and divide by the Estimated index value to derive a % deviation. Subtract from the most recent period % deviation the % deviation of the prior period. Express this difference in % deviation as a percentage. Required 11 latest fiscal year intervals. Free Operating Cash Flow Excluding Dividends is calculated as Cash From Operations minus Capital Expenditures.

This is an Annual Trend Volatility of Free Operating Cash Flow Excluding Dividends over 10 years. Trend Volatility is derived by subtract the log linear Estimated index value (in index value units) from the Actual index value and divide by the Estimated index value to derive a % deviation. Repeat this for each observation and average the .absolute. results to derive a % Mean Absolute Deviation. Express this result as a percentage. Required 11 latest fiscal year intervals. Free Operating Cash Flow Excluding Dividends is calculated as Cash From Operations minus Capital Expenditures.

This is the compound annual growth rate of Free Operating Cash Flow Excluding Dividends over the last 3 years. Free Operating Cash Flow Excluding Dividends is calculated as Cash Flow From Operations minus Capital Expenditures.

This is the compound annual growth rate of Free Operating Cash Flow Excluding Dividends over the last 5 years. Free Operating Cash Flow Excluding Dividends is calculated as Cash Flow From Operations minus Capital Expenditures.

This is an Interim Trend Momentum of Free Operating Cash Flow Excluding Dividends over 5 years. Trend Momentum is derived for the most recent period by subtracting the log linear Estimated index value (in index value units) from the Actual index value and divide by the Estimated index value to derive a % deviation. Subtract from the most recent period % deviation the % deviation of the prior period. Express this difference in % deviation as a percentage. Required 11 latest semi-annual or 21 latest quarterly periods. Free Operating Cash Flow Excluding Dividends is calculated as Cash From Operations minus Capital Expenditures.

This is an Interim Trend Volatility of Free Operating Cash Flow Excluding Dividends over 5 years. Trend Volatility is derived by subtract the log linear Estimated index value (in index value units) from the Actual index value and divide by the Estimated index value to derive a % deviation. Repeat this for each observation and average the .absolute. results to derive a % Mean Absolute Deviation. Express this result as a percentage. Required 11 latest semi-annual or 21 latest quarterly periods. Free Operating Cash Flow Excluding Dividends is calculated as Cash From Operations minus Capital Expenditures.

This is the compound annual growth rate of Gross Margin over the last 5 years. Gross Margin measures the percent of Revenue left after paying all direct production expenses. It is calculated as Revenue minus Cost of Goods Sold divided by Revenue and expressed as a percentage. NOTE: If the value for either the most recent year of the oldest year is zero or negative,the ratio cannot be calculated and a 'NA' (Not Available) code will be used.

This value represents the average TTM Interim Gross Profit for the last 3 years divided by the average of the TTM Interim Revenue for the same period, expressed as a percent. Gross Profit represents Revenue minus Cost of Revenue, Fuel Expense and Operations & Maintenance. NOTE: This value is only available for Industrial and Utility companies.

This value is calculated by first determining the Gross Margin for each of the 5 most recent fiscal years and then averaging the values. Gross Margin is Total Revenue minus Cost of Goods Sold divided by Total Revenue and is expressed as a percentage. NOTE: This item is only available for Industrial and Utility companies.

This is the mean of the last 5 years of annual Relative P/E * 100. It is calculated as the difference between the trailing twelve month P/E and the 5 year P/E Low divided by the difference between the 5 year P/E High and the 5 year P/E Low, multiplied by 100.

This value is the total of the expected dividend payments over the next twelve months. It is generally the most recent cash dividend paid or declared multiplied by the dividend payment frequency, plus any recurring extra dividends.

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