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Created : Sat , 05 November 2011 21:20   Views : 901
This ratio is calculated by dividing the Latest Price Close by the Diluted EPS Excluding Extraordinary Items for the recent trailing twelve months. Diluted EPS Excluding Extraordinary Items represents Diluted Net Income excluding Total Extraordinary Items and divided by Diluted Weighted Average Shares.
Created : Sat , 05 November 2011 21:20   Views : 844
This value represents the average Interim Fiscal Period Price Close for the last 3 years divided by the average of the TTM Interim Diluted EPS Excluding Extraordinary Items for the same period. Diluted EPS Excluding Extraordinary Items represents Diluted Net Income excluding Total Extraordinary Items and divided by Diluted Weighted Average Shares.
Created : Sat , 05 November 2011 21:20   Views : 877
This value represents the average Annual Fiscal Period Price Close for the last 5 years divided by the average of the Annual Diluted EPS Including Extraordinary Items for the same period. Diluted EPS Including Extraordinary Items represents Diluted Net Income divided by Diluted Weighted Average Shares.
Created : Sat , 05 November 2011 21:20   Views : 854
This ratio is calculated by dividing the Latest Price Close by the Diluted EPS Including Extraordinary Items for the latest fiscal year. Diluted EPS Including Extraordinary Items represents Diluted Net Income divided by Diluted Weighted Average Shares.
Created : Sat , 05 November 2011 21:20   Views : 862
This value represents the average Interim Fiscal Period Price Close for the last 3 years divided by the average of the TTM Interim Diluted EPS Including Extraordinary Items for the same period. Diluted EPS Including Extraordinary Items represents Diluted Net Income divided by Diluted Weighted Average Shares.
Created : Sat , 05 November 2011 21:20   Views : 939
This is the Current Market Capitalization divided by the latest annual Free Cash Flow. Current Market Capitalization is calculated as Current Total Shares Outstanding multiply by Latest Price Close. Free Cash Flow (from income statement) represents Cash Flow minus Capital Expenditures and Total Cash Dividends Paid.
Created : Sat , 05 November 2011 21:20   Views : 908
This value represents the average Interim Market Capitalization for the last 3 years divided by the average of the TTM Interim Free Cash Flow for the same period. Free Cash Flow (from income statement) represents Cash Flow minus Capital Expenditures and Total Cash Dividends Paid.
Created : Sat , 05 November 2011 21:20   Views : 824
This value represents the average Annual Market Capitalization for the last 5 years divided by the average of the Annual Free Operating Cash Flow for the same period. Free Operating Cash Flow is calculated as Cash From Operations minus Capital Expenditures and Dividends Paid.
Created : Sat , 05 November 2011 21:20   Views : 832
This value represents the average Interim Market Capitalization for the last 3 years divided by the average of the TTM Interim Free Operating Cash Flow for the same period. Free Operating Cash Flow is calculated as Cash From Operations minus Capital Expenditures and Dividends Paid.
Created : Sat , 05 November 2011 21:20   Views : 917
This value represents the average Annual Market Capitalization for the last 5 years divided by the average of the Annual Free Operating Cash Flow Ex Dividends for the same period. Free Operating Cash Flow Excluding Dividends is calculated as Cash From Operations minus Capital Expenditures.
Created : Sat , 05 November 2011 21:20   Views : 1095
This ratio is calculated by dividing Current market capitalization by Free Operating Cash Flow Ex Dividends for the latest fiscal year. Free Operating Cash Flow Excluding Dividends is calculated as Cash From Operations minus Capital Expenditures.
Created : Sat , 05 November 2011 21:20   Views : 850
This value represents the average Interim Market Capitalization for the last 3 years divided by the average of the TTM Interim Free Operating Cash Flow Ex Dividends for the same period. Free Operating Cash Flow Excluding Dividends is calculated as Cash From Operations minus Capital Expenditures.
Created : Sat , 05 November 2011 21:20   Views : 945
This ratio is calculated by dividing Current Market Capitalization by Free Operating Cash Flow Ex Dividends for the recent trailing twelve months. Free Operating Cash Flow Excluding Dividends is calculated as Cash From Operations minus Capital Expenditures.
Created : Sat , 05 November 2011 21:20   Views : 804
This value represents the average Annual Market Capitalization for the last 5 years divided by the average of the Annual Total Revenue for the same period. Total Revenue represents revenue from all of a company.s operating activities after deducting any sales adjustments and their equivalents.
Created : Sat , 05 November 2011 21:20   Views : 819
This value represents the average Interim Market Capitalization for the last 3 years divided by the average of the TTM Interim Total Revenue for the same period. Total Revenue represents revenue from all of a company.s operating activities after deducting any sales adjustments and their equivalents.
Created : Sat , 05 November 2011 21:20   Views : 832
This value represents the average Annual Market Capitalization for the last 5 years divided by the average of the Annual Tangible Common Shareholders Equity for the same period. Tangible Common Shareholders Equity represents Total Equity minus Non-Redeemable and Redeemable Preferred Stock, Intangibles and Goodwill.
Created : Sat , 05 November 2011 21:20   Views : 922
This value represents the average Interim Market Capitalization for the last 3 years divided by the average of the TTM Interim Tangible Common Shareholders Equity for the same period. Tangible Common Shareholders Equity represents Total Equity minus Non-Redeemable and Redeemable Preferred Stock, Intangibles and Goodwill.
Created : Sat , 05 November 2011 21:20   Views : 974
This ratio is calculated by dividing the latest Price Close by Tangible Common Shareholders Equity per share for the latest fiscal year. Tangible Common Shareholders Equity per share represents Tangible Common Shareholders Equity divided by Total Common Shares Outstanding for the recent fiscal year.
Created : Sat , 05 November 2011 21:20   Views : 923
This ratio is calculated by dividing latest Price Close by Tangible Common Shareholders Equity per share for the recent fiscal interim. Tangible Common Shareholders Equity per share represents Tangible Common Shareholders Equity divided by Total Common Shares Outstanding for the recent fiscal interim.
Created : Sat , 05 November 2011 21:20   Views : 900
The 5 Year Average Payout Ratio is calculated by first determining the annual Payout Ratios for each of the 5 most recent fiscal years and then averaging the values. The Payout Ratio is the percentage of the Primary/Basic Earnings Per Share Excluding Extraordinary Items paid to common stockholders in the form of cash dividends.