單一日曆收錄全部收益公告

收益日曆是一個有用的工具,幫助您持續關注重點,它可以讓你追踪即將公佈收益的公司。您可以查看每個可用公司的日期、預估EPS和每股盈餘。每股盈餘是公司盈利能力的指標,將其納入基本分析至關重要。

           
ABG ASBURY AUTOMOTIVE GROUP INC
1.212B1.882.110.199.901.679B1.724B1540297800.001535760000.00
AGR AVANGRID, INC.
15.049B0.460.34-0.15-30.611.318B1.402B1540324800.001535760000.00
AI ARLINGTON ASSET INVESTMENT CORP CLASS A (NEW)
241.930M0.37-0.13-0.61-126.9410.183M10.862M1540324800.001535760000.00
AI/PB ARLINGTON ASSET INVESTMENT CORP 7.00% SERIES B CUMULATIVE PERPETUAL REDEEMABLE PREFERRED STOCK
241.930M1540324800.00
ALKS ALKERMES PLC - ORDINARY SHARES
6.035B-0.44-0.210.0930.39236.704M304.642M1540297800.001535760000.00
AMP AMERIPRISE FINANCIAL, INC.
18.892B3.503.10-0.33-9.623.211B3.196B1540324800.001535760000.00
ARCH ARCH COAL, INC. CLASS A
1.858B2.56532.253M633.180M1543622400.00
ASTE ASTEC INDUSTRIES, INC.
1.092B0.59-1.76-2.67-293.76276.796M347.000M1540292528.001535760000.00
ATI ALLEGHENY TECHNOLOGIES INCORPORATED
3.371B0.380.520.1645.02997.774M1.010B1540293300.001535760000.00
AUDC AUDIOCODES LTD. - ORDINARY SHARES
285.303M0.080.080.0123.0843.100M43.502M1540297800.001535760000.00
AVY AVERY DENNISON CORPORATION
8.477B1.231.07-0.39-26.711.749B1.854B1540291500.001535760000.00
AXE ANIXTER INTERNATIONAL INC.
2.120B2.110B2.138B1548901800.00
BIIB BIOGEN INC.
63.563B6.314.18-0.06-1.443.331B3.357B1540297800.001535760000.00
BUSE FIRST BUSEY CORPORATION
1.361B0.540.51-0.02-4.2385.388M83.174M1540324800.001535760000.00
BXMT BLACKSTONE MORTGAGE TRUST, INC.
3.893B0.610.660.058.4994.075M103.746M1540324800.001535760000.00
CAT CATERPILLAR, INC.
76.496B2.362.820.249.2513.286B14.011B1540294200.001535760000.00
CB CHUBB LIMITED
58.617B2.342.760.239.257.732B7.450B1540324800.001535760000.00
CCBG CAPITAL CITY BANK GROUP
381.706M0.320.350.0413.8236.150M35.312M1540292420.001535760000.00
CHFC CHEMICAL FINANCIAL CORPORATION
3.420B0.990.960.011.19201.900M195.555M1540324800.001535760000.00
CIT CIT GROUP INC (DEL)
5.395B1.150.94-0.05-4.94476.573M495.100M1540290600.001535760000.00
CNC CENTENE CORPORATION
29.005B0.811.500.4441.3616.021B14.181B1540288809.001535760000.00
CNI CANADIAN NATIONAL RAILWAY COMPANY
62.367B1.451.770.4029.293.562B3.631B1540324860.001535760000.00
COF CAPITAL ONE FINANCIAL CORPORATION
42.360B2.853.711.0137.346.893B7.192B1540325100.001535760000.00
COF/PC CAPITAL ONE FINANCIAL CORP DEPOSITORY SHARES REPRESENTING 1/40TH INT PERP PFD SER C%
42.360B1540325100.00
COF/PD CAPITAL ONE FINANCIAL CORP DEPOSITORY SHARES REPRESENTING 1/40TH INTEREST PERPETUAL PREFERRED SERIES D
42.360B1540325100.00
COF/PF CAPITAL ONE FINANCIAL CORPORATION DEPOSITARY SHARES, EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF FIXED RATE NON-CUMULATIVE PERPETUAL PREFERRED STOCK, SERI
42.360B1540325100.00
COF/PG CAPITAL ONE FINANCIAL CORPORATION DEPOSITARY SHARES, EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF FIXED RATE NON-CUMULATIVE PERPETUAL PREFERRED STOCK, SERI
42.360B1540325100.00
COF/PH CAPITAL ONE FINANCIAL CORPORATION DEPOSITARY SHARES, EACH REPRESENTING 1/40TH INTEREST IN A SHARE OF FIXED RATE NON-CUMULATIVE PERPETUAL PREFERRED STOCK, SERIES
42.360B1540325100.00
COF/PP CAPITAL ONE FINANCIAL CORP PFD SER B
42.360B1540325100.00
CSGP COSTAR GROUP, INC.
14.022B1.331.200.69136.45305.709M297.018M1540324800.001535760000.00
CSL CARLISLE COMPANIES INCORPORATED
6.156B1.741.850.2113.151.201B1.236B1540324800.001535760000.00
DGX QUEST DIAGNOSTICS INCORPORATED
13.877B1.451.570.010.711.946B1.919B1540291503.001535760000.00
EDU NEW ORIENTAL EDUCATION & TECHNOLOGY GROUP, INC. SPONSORED ADR REPRESENTING 1 ORDINARY SHARE (CAYMAN ISLANDS)
9.949B1.120.410.038.61841.290M701.001M1540297800.001533081600.00
EQR EQUITY RESIDENTIAL OF BENEFICIAL INTEREST
23.401B0.290.310.013.33644.864M639.620M1540324800.001535760000.00
EW EDWARDS LIFESCIENCES CORPORATION
31.263B1.011.320.2018.21928.178M972.100M1540324800.001535760000.00
FBC FLAGSTAR BANCORP, INC.
1.736B0.840.850.011.19120.537M115.000M1540290610.001535760000.00
FCF FIRST COMMONWEALTH FINANCIAL CORPORATION
1.445B0.280.320.0730.0884.836M85.238M1540324800.001535760000.00
FFIC FLUSHING FINANCIAL CORPORATION
609.767M0.480.48-0.01-1.0345.381M45.808M1540324800.001535760000.00
FITB FIFTH THIRD BANCORP
16.912B0.640.800.022.381.628B1.582B1540290600.001535760000.00
FITBI FIFTH THIRD BANCORP - DEPOSITARY SHARE REPSTG 1/1000TH OWNERSHIP INTEREST PERP PFD SERIES I
16.912B1548293400.00
FMBI FIRST MIDWEST BANCORP, INC.
2.538B0.450.29-0.09-23.46169.585M164.350M1540324800.001535760000.00
FNB F.N.B. CORPORATION
3.645B0.290.26-0.01-4.98312.966M304.244M1540288748.001535760000.00
FNB/PE F.N.B. CORPORATION DEPOSITARY SHARES, EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF FIXED-TO-FLOATING RATE NON-CUMULATIVE PERPETUAL PREFERRED STOCK, SERIES
3.645B
GATX GATX CORPORATION
3.161B1.061.010.099.95356.167M349.500M1540297815.001535760000.00
GLW CORNING INCORPORATED
24.973B0.460.780.43123.773.006B2.759B1540293321.001535760000.00
GNTY GUARANTY BANCSHARES, INC.
359.900M0.520.41-0.07-13.6823.000M20.375M1540324800.001535760000.00
GPK GRAPHIC PACKAGING HOLDING COMPANY
3.823B0.240.16-0.03-15.791.577B1.509B1540290621.001535760000.00
HA HAWAIIAN HOLDINGS, INC.
1.756B1.981.560.074.52764.620M715.447M1540324800.001535760000.00
HAFC HANMI FINANCIAL CORPORATION
694.479M0.510.48-0.05-9.7753.775M51.059M1540324800.001535760000.00
HBAN HUNTINGTON BANCSHARES INCORPORATED
15.084B0.320.300.012.801.158B1.120B1540294212.001535760000.00
HBANN HUNTINGTON BANCSHARES INCORPORATED - DEPOSITARY SHARES EACH REPRESENTING A 1/40TH INTEREST IN A SHARE OF 5.875% SERIES C NON-CUMULATIVE PERPETUAL PREFERRED STOC
15.084B1548293400.00
HBANO HUNTINGTON BANCSHARES INCORPORATED - DEPOSITARY SHARES
15.084B1548293400.00
HBCP HOME BANCORP, INC.
383.435M0.890.840.011.2023.034M23.337M1540297800.001535760000.00
HIW HIGHWOODS PROPERTIES, INC.
4.607B0.330.490.1750.77177.547M178.792M1540324800.001535760000.00
HNP HUANENG POWER INTL
13.528B
HOG HARLEY-DAVIDSON, INC.
6.451B0.441.450.107.221.073B1.525B1540291803.001535760000.00
HT HERSHA HOSPITALITY TRUST CLASS A OF BENEFICIAL INTEREST
754.918M-0.060.160.12326.67134.902M133.840M1540324800.001535760000.00
HUBB HUBBELL INC
6.646B1.961.820.1710.641.168B1.167B1540297800.001535760000.00
IEX IDEX CORPORATION
10.241B1.311.380.075.49613.921M634.360M1540324800.001535760000.00
ILMN ILLUMINA, INC.
46.633B1.151.410.3938.84828.587M830.000M1540324800.001535760000.00
IRBT IROBOT CORPORATION
2.487B0.480.370.20123.49245.105M226.317M1540324800.001535760000.00
JBLU JETBLUE AIRWAYS CORPORATION
5.186B0.44-0.38-0.74-204.502.015B1.928B1540297800.001535760000.00
JNPR JUNIPER NETWORKS, INC.
9.820B0.280.330.0938.461.176B1.204B1540324800.001535760000.00
LMT LOCKHEED MARTIN CORPORATION
92.479B4.284.050.236.0613.073B13.398B1540294214.001535760000.00
LPT LIBERTY PROPERTY TRUST
5.947B0.410.13-0.24-64.86121.390M119.578M1540294215.001535760000.00
LRN K12 INC
671.157M-0.400.230.1076.92226.819M238.874M1540324800.001535760000.00
MANH MANHATTAN ASSOCIATES, INC.
3.207B0.330.420.0720.00142.377M141.871M1540324800.001535760000.00
MBFI MB FINANCIAL INC.
3.552B0.620.42-0.10-18.45159.700M162.198M1540297800.001535760000.00
MBFIO MB FINANCIAL INC
3.552B
MCD MCDONALD'S CORPORATION
129.272B2.001.90-0.03-1.705.317B5.354B1540295882.001535760000.00
MKSI MKS INSTRUMENTS, INC.
4.079B1.562.220.209.77492.883M573.140M1540324800.001535760000.00
MLI MUELLER INDUSTRIES, INC.
1.484B583.385M662.773M1549503000.00
MMM 3M COMPANY
118.120B2.713.070.4718.218.395B8.390B1540294200.001535760000.00
NAVI NAVIENT CORPORATION
3.318B0.480.31-0.17-35.86311.250M319.000M1540324800.001535760000.00
NBHC NATIONAL BANK HOLDINGS CORPORATION
1.067B0.550.560.0919.5770.701M68.948M1540324800.001535760000.00
NDLS NOODLES & COMPANY
519.546M0.04-0.14-0.16-731.57114.764M117.395M1540324800.001535760000.00
NEE NEXTERA ENERGY, INC.
81.496B2.131.64-0.43-20.704.752B4.069B1540297800.001535760000.00
NEE/PR NEXTERA ENERGY, INC. CORPORATE UNITS EXPIRING 09/01/2019
81.496B
NEP NEXTERA ENERGY PARTNERS, LP COMMON UNITS REPRESENTING LIMITED PARTNER INTERESTS
2.565B0.431.430.89163.84267.764M225.000M1540297800.001535760000.00
NWE NORTHWESTERN CORPORATION
3.032B0.740.870.3980.00312.149M261.817M1540324800.001535760000.00
ODT ODONATE THERAPEUTICS, INC.
401.493M-0.91-0.790.067.06001540292340.001535760000.00
PCAR PACCAR INC.
21.208B1.501.590.1913.235.508B5.467B1540296001.001535760000.00
PCB PACIFIC CITY FINL
266.834M0.4520.757M18.160M1535760000.00
PEBO PEOPLES BANCORP INC.
655.027M0.650.410.0617.1447.337M46.615M1540292002.001535760000.00
PFLC PACIFIC FINANCIAL CORP.
130.554M
PHM PULTEGROUP, INC.
5.930B0.951.120.3750.162.617B2.570B1540290600.001535760000.00
PNR PENTAIR PLC. ORDINARY SHARE
6.672B0.460.23-0.38-62.12698.619M780.600M1540292400.001535760000.00
PPBI PACIFIC PREMIER BANCORP INC
1.975B0.380.58-0.01-2.17112.603M81.171M1540288801.001535760000.00
PSB PS BUSINESS PARKS, INC.
3.354B0.362.562.00357.14100.000M101.824M1540324800.001535760000.00
PSB/PU PS BUSINESS PARKS, INC. DEP SHS REPSTG 1/1000 PFD SER U
3.354B1540324800.00
PSB/PV PS BUSINESS PARKS, INC. DEPOSITARY SHARES REPRESTING 1/1000TH SHARES CUMULATIVE PREFERRED STOCK SERIES V
3.354B1540324800.00
PSB/PW PS BUSINESS PARKS, INC. DEPOSITARY SHARES EACH REPRESENTING 1/1000 OF A SHARE OF 5.20% CUMULATIVE PREFERRED STOCK, SERIES W
3.354B1540324800.00
PSB/PX PS BUSINESS PARKS, INC. DEPOSITARY SHARES EACH REPRESENTING 1/1,000 OF A SHARE OF 5.25% CUMULATIVE PREFERRED STOCK, SERIES X
3.354B1540324800.00
PSB/PY PS BUSINESS PARKS, INC. 5.20% CUMULATIVE PREFERRED STOCK, SERIES Y
3.354B1540324800.00
PTIE PAIN THERAPEUTICS, INC.
21.228M
RF REGIONS FINANCIAL CORPORATION
18.069B0.550.32-0.01-3.561.464B1.450B1540288800.001535760000.00
RF/PA REGIONS FINANCIAL CORPORATION DEPOSITARY SHARES REPRESENTING 1/40TH PERPETUAL PREFERRED SERIES A
18.069B1548046800.00
RF/PB REGIONS FINANCIAL CORPORATION DEPOSITARY SHARES REPRESENTING 1/40TH PERPETUAL PREFERRED SERIES B
18.069B1548046800.00
RHI ROBERT HALF INTERNATIONAL INC.
7.761B0.910.890.044.091.465B1.457B1540324800.001535760000.00
ROIC RETAIL OPPORTUNITY INVESTMENTS CORP.
2.015B0.070.06-0.01-10.0073.256M72.341M1540324800.001535760000.00
RRC RANGE RESOURCES CORPORATION
4.166B0.16-0.32-0.42-428.21692.919M661.390M1540324800.001535760000.00
RUSHA RUSH ENTERPRISES, INC.
1.321B0.880.720.0711.261.383B1.349B1540324800.001535760000.00
RUSHB RUSH ENTERPRISES, INC. - CLASS B
1.321B1540324800.00
SEIC SEI INVESTMENTS COMPANY
8.425B0.760.750.000.54410.345M404.830M1540324800.001535760000.00
SFST SOUTHERN FIRST BANCSHARES, INC.
268.067M0.700.710.034.4115.200M14.612M1540292340.001535760000.00
SIX SIX FLAGS ENTERTAINMENT CORPORATION NEW
5.511B2.320.880.010.64634.596M445.420M1540324800.001535760000.00
SLCA U.S. SILICA HOLDINGS, INC.
1.213B0.680.22-0.46-67.72467.894M427.433M1540288806.001535760000.00
SNV SYNOVUS FINANCIAL CORP.
4.734B0.920.910.033.34368.393M357.964M1540290600.001535760000.00
STL STERLING BANCORP
4.275B0.520.500.023.31254.399M250.310M1540324800.001535760000.00
STL/PA STERLING BANCORP DEPOSITARY SHARES EACH REPRESENTING OWNERSHIP OF A 1/40TH INTEREST IN A SHARE OF 6.50% NON-CUMULATIVE, PERPETUAL PREFERRED STOCK, SERIES A
4.275B1540324800.00
STXB SPIRIT OF TEXAS BANCSHARES, INC.
188.471M0.300.290.001.1614.456M13.385M1540324800.001535760000.00
TER TERADYNE, INC.
6.069B0.590.520.0613.04556.891M526.929M1540328400.001535760000.00
TRCB TWO RIVER BANCORP
142.059M0.320.30-0.02-6.259.050M8.970M1540292340.001535760000.00
TRIB TRINITY BIOTECH PLC - AMERICAN DEPOSITARY SHARES EACH REPRESENTING 4 A ORDINARY SHARES
69.958M0.080.070.0111.6725.000M25.002M1540296333.001535760000.00
TRMK TRUSTMARK CORPORATION
2.063B0.570.590.058.68155.334M155.758M1540324800.001535760000.00
TRU TRANSUNION
12.672B0.380.29-0.12-28.40616.784M563.100M1540291805.001535760000.00
TSS TOTAL SYSTEM SERVICES, INC.
17.041B0.810.780.000.39951.360M956.548M1540324800.001535760000.00
TXN TEXAS INSTRUMENTS INCORPORATED
96.947B1.531.400.086.354.298B4.017B1540324800.001535760000.00
UCBI UNITED COMMUNITY BANKS, INC.
1.961B0.550.49-0.06-10.37136.692M131.816M1540324800.001535760000.00
UMBF UMB FINANCIAL CORPORATION
3.192B1.131.11-0.03-3.00259.430M250.515M1540324800.001535760000.00
USNA USANA HEALTH SCIENCES, INC.
2.564B1.121.360.2522.89291.731M301.460M1540324800.001535760000.00
UTMD UTAH MEDICAL PRODUCTS, INC.
322.382M
UTX UNITED TECHNOLOGIES CORPORATION
101.132B1.762.560.7541.5116.154B16.705B1540297800.001535760000.00
VAR VARIAN MEDICAL SYSTEMS, INC.
9.564B1.130.79-0.14-15.51766.257M709.100M1540324800.001535760000.00
VMI VALMONT INDUSTRIES, INC.
2.894B1.471.46-0.37-20.36677.335M682.405M1540324800.001535760000.00
VZ VERIZON COMMUNICATIONS INC.
227.174B1.191.00-0.14-12.2832.512B32.203B1540293908.001535760000.00
WAT WATERS CORPORATION
14.341B1.851.980.126.70587.794M596.219M1540291800.001535760000.00
WRB W.R. BERKLEY CORPORATION
8.942B0.961.400.4851.471.876B1.911B1540324800.001535760000.00
XRX XEROX CORPORATION
6.735B0.530.42-0.27-39.132.415B2.510B1540290600.001535760000.00
ZIXI ZIX CORPORATION
265.407M0.040.03-0.01-25.0017.725M17.500M1540324800.001535760000.00
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