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5 March , 2011
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Text & Articles
Created : Sat , 05 November 2011 21:20   Views : 2815
This ratio is calculated by dividing the current Price by the sum of the Diluted Earnings Per Share from continuing operations BEFORE Extraordinary Items and Accounting Changes for the latest annual period.
Created : Sat , 05 November 2011 21:20   Views : 3009
This is the Current Price divided by the latest annual Normalized Earnings Per Share value.
Created : Sat , 05 November 2011 21:20   Views : 2902
This is the current Price divided by the Sales Per Share for the most recent fiscal year.
Created : Sat , 05 November 2011 21:20   Views : 2994
This is the Current Price divided by the latest annual Tangible Book Value Per Share. Tangible Book Value Per Share is defined as Book Value minus Goodwill and Intangible Assets divided by the Shares Outstanding at the end of the fiscal period.
Created : Sat , 05 November 2011 21:20   Views : 2985
This is the Current Price mutlipled by Total Shares Outstanding divided by Tangible Common Equity. Tangible Common Equity is defined as common equity less goodwill and intangibles.
Created : Sat , 05 November 2011 21:20   Views : 2939
This is the current Price divided by Cash Flow Per Share for the most recent fiscal year. Cash Flow is defined as Income After Taxes minus Preferred Dividends and General Partner Distributions plus Depreciation, Depletion and Amortization.
Created : Sat , 05 November 2011 21:20   Views : 2856
This is the current Price divided by the annual Free Cash Flow Per Share. Free Cash Flow is calculated from the Statement of Cash Flows as Cash From Operations minus Capital Expenditures and Dividends Paid.
Created : Sat , 05 November 2011 21:20   Views : 2864
This is the Current Price divided by the latest annual Book Value Per Share.
Created : Sat , 05 November 2011 21:20   Views : 2841
This is the current Market Cap divided by Total Sharesholders Equity as of the latest annual period.
Created : Sat , 05 November 2011 21:20   Views : 3227
This value represents Income Before Taxes for the most recent fiscal year expressed as a percent of Total Revenue for the most recent fiscal year.
Created : Sat , 05 November 2011 21:20   Views : 2842
This value represents Income Before Taxes for the period prior to the most recent fiscal year expressed as a percent of Total Revenue for the same period.
Created : Sat , 05 November 2011 21:20   Views : 2867
The Quick Ratio, also known as the Acid Test Ratio, is defined as Total Current Assets minus Total Inventory for the most recent fiscal year divided by Total Current Liabilities for the same period. NOTE: This item is Not Available (NA) for Banks, Insurance companies and other companies that do not distinguish between current and long term assets and liabilities.
Created : Sat , 05 November 2011 21:20   Views : 2993
This is the total research and development expense as reported on the income statement for the most recent fiscal year.
Created : Sat , 05 November 2011 21:20   Views : 2898
This is the ratio of Total Revenue for the most recent fiscal year divided by Average Accounts Receivables. Average Receivables is the average of the Accounts Receivables at the beginning and end of the year. NOTE: This item is Not Meaningful (NM) for Banks.
Created : Sat , 05 November 2011 21:20   Views : 2880
This value represents money owed to the company by customers for goods sold or services rendered, but not yet collected. Includes trade receivables, finance receivables, and sales receivables.
Created : Sat , 05 November 2011 21:20   Views : 2983
This is the sum of all sales reported for all operating divisions for the most recent fiscal year.
Created : Sat , 05 November 2011 21:20   Views : 2873
This is the percent change in annual Sales as compared to the same period one year ago. It is calculated as the Sales for the most recent fiscal year minus the Sales for the same period one year ago divided by the annual Sales one year ago, multiplied by 100.
Created : Sat , 05 November 2011 21:20   Views : 2933
This value is the Total Sales for the most recent year divided by the average number of Employees for the most recent fiscal year.
Created : Sat , 05 November 2011 21:20   Views : 2751
This value is the Total Revenue for the most recent fiscal year divided by the Average Diluted Shares Outstanding for the same period.
Created : Sat , 05 November 2011 21:20   Views : 3106
Reinvestment Rate represents the percent of earnings that have been ploughed back into the company. It is calculated as 100 minus the Payout Ratio of most recent fiscal year.