7 Big Companies With Ex-Dividend Date On August 1, 2014 (ITUB, TTM, VIV, COG, RDY, EQM, CNL)

Below is a selection of the biggest stocks going ex-dividend tomorron on August 1, 2014. In Total, there are 19 companies with upcoming dividends.

Itau Unibanco Holding S.A. (ITUB) works within the Foreign Regional Banks industry and has a market capitalization of 86.86Billion.

Here are some important valuation figures of Itau Unibanco Holding S.A.:

P/E ---- 11.76
Forward P/E ---- 9.45
PEG ---- 0.75
P/S ---- 3.09
P/B ---- 2.34
Dividend Yield ---- 0.50%
Payout Ratio ---- -
EPS Growth next Year ---- 11.30%
EPS Growth next 5 Years ---- 15.60%
Debt/Equity Ratio ---- -
Operating Margin ---- -

The company is currently rated with a 2.20 analyst recommendation; 1.0 is a strong buy and 5.0 a strong sell in the rating scheme.

Earnings of the company are estimated to grow by 11.30% for the next fiscal and 15.60% over the next five years yearly on average.

The ITUB stock has a beta ratio of - and offers investors currently a dividend yield of 0.50% while - of the annual earnings are paid to shareholders (payout ratio).

Stock Price Chart of Itau Unibanco Holding S.A. (ITUB):

Itau Unibanco Holding S.A. (ITUB) Stock Price compared to the S&P 500



Chart Dividend Yields of Itau Unibanco Holding S.A. (ITUB):

10 Year Dividend Yield of Itau Unibanco Holding S.A. (ITUB)


Chart Dividend Payments of Itau Unibanco Holding S.A. (ITUB):

10 Year Dividend Payments of Itau Unibanco Holding S.A. (ITUB)


10 Year Yield on Cost of Itau Unibanco Holding S.A. (ITUB):

10 Year Yield on Cost Of Itau Unibanco Holding S.A. (ITUB) Stock

Tata Motors Limited (TTM) works within the Auto Manufacturers - Major industry and has a market capitalization of 22.90Billion.

Here are some important valuation figures of Tata Motors Limited:

P/E ---- 10.70
Forward P/E ---- 8.80
PEG ---- 0.43
P/S ---- 0.59
P/B ---- 2.35
Dividend Yield ---- 0.33%
Payout Ratio ---- 4.50%
EPS Growth next Year ---- 0.00%
EPS Growth next 5 Years ---- 25.00%
Debt/Equity Ratio ---- 0.19
Operating Margin ---- 10.30%

The company is currently rated with a 1.00 analyst recommendation; 1.0 is a strong buy and 5.0 a strong sell in the rating scheme.

Earnings of the company are estimated to grow by 0.00% for the next fiscal and 25.00% over the next five years yearly on average.

The TTM stock has a beta ratio of 2.17 and offers investors currently a dividend yield of 0.33% while 4.50% of the annual earnings are paid to shareholders (payout ratio).

Stock Price Chart of Tata Motors Limited (TTM):

Tata Motors Limited (TTM) Stock Price compared to the S&P 500



Chart Dividend Yields of Tata Motors Limited (TTM):

10 Year Dividend Yield of Tata Motors Limited (TTM)


Chart Dividend Payments of Tata Motors Limited (TTM):

10 Year Dividend Payments of Tata Motors Limited (TTM)


10 Year Yield on Cost of Tata Motors Limited (TTM):

10 Year Yield on Cost Of Tata Motors Limited (TTM) Stock

Telefonica Brasil, S.A. (VIV) works within the Wireless Communications industry and has a market capitalization of 21.93Billion.

Here are some important valuation figures of Telefonica Brasil, S.A.:

P/E ---- 14.43
Forward P/E ---- 12.70
PEG ---- -
P/S ---- 1.41
P/B ---- 1.21
Dividend Yield ---- 7.56%
Payout Ratio ---- 20.20%
EPS Growth next Year ---- 11.70%
EPS Growth next 5 Years ---- -0.20%
Debt/Equity Ratio ---- 0.20
Operating Margin ---- 13.50%

The company is currently rated with a 2.10 analyst recommendation; 1.0 is a strong buy and 5.0 a strong sell in the rating scheme.

Earnings of the company are estimated to grow by 11.70% for the next fiscal and -0.20% over the next five years yearly on average.

The VIV stock has a beta ratio of 0.64 and offers investors currently a dividend yield of 7.56% while 20.20% of the annual earnings are paid to shareholders (payout ratio).

Stock Price Chart of Telefonica Brasil, S.A. (VIV):

Telefonica Brasil, S.A. (VIV) Stock Price compared to the S&P 500



Chart Dividend Yields of Telefonica Brasil, S.A. (VIV):

10 Year Dividend Yield of Telefonica Brasil, S.A. (VIV)


Chart Dividend Payments of Telefonica Brasil, S.A. (VIV):

10 Year Dividend Payments of Telefonica Brasil, S.A. (VIV)


10 Year Yield on Cost of Telefonica Brasil, S.A. (VIV):

10 Year Yield on Cost Of Telefonica Brasil, S.A. (VIV) Stock

Cabot Oil & Gas Corporation (COG) works within the Independent Oil & Gas industry and has a market capitalization of 13.84Billion.

Here are some important valuation figures of Cabot Oil & Gas Corporation:

P/E ---- 37.27
Forward P/E ---- 23.43
PEG ---- 0.75
P/S ---- 7.04
P/B ---- 5.76
Dividend Yield ---- 0.24%
Payout Ratio ---- 8.90%
EPS Growth next Year ---- 26.09%
EPS Growth next 5 Years ---- 49.81%
Debt/Equity Ratio ---- 0.50
Operating Margin ---- 34.80%

The company is currently rated with a 2.10 analyst recommendation; 1.0 is a strong buy and 5.0 a strong sell in the rating scheme.

Earnings of the company are estimated to grow by 26.09% for the next fiscal and 49.81% over the next five years yearly on average.

The COG stock has a beta ratio of 0.60 and offers investors currently a dividend yield of 0.24% while 8.90% of the annual earnings are paid to shareholders (payout ratio).

Stock Price Chart of Cabot Oil & Gas Corporation (COG):

Cabot Oil & Gas Corporation (COG) Stock Price compared to the S&P 500



Chart Dividend Yields of Cabot Oil & Gas Corporation (COG):

10 Year Dividend Yield of Cabot Oil & Gas Corporation (COG)


Chart Dividend Payments of Cabot Oil & Gas Corporation (COG):

10 Year Dividend Payments of Cabot Oil & Gas Corporation (COG)


10 Year Yield on Cost of Cabot Oil & Gas Corporation (COG):

10 Year Yield on Cost Of Cabot Oil & Gas Corporation (COG) Stock

Dr. Reddy's Laboratories Ltd. (RDY) works within the Drug Manufacturers - Other industry and has a market capitalization of 8.07Billion.

Here are some important valuation figures of Dr. Reddy's Laboratories Ltd.:

P/E ---- 22.21
Forward P/E ---- 17.73
PEG ---- 1.01
P/S ---- 3.67
P/B ---- 5.61
Dividend Yield ---- 0.60%
Payout Ratio ---- 9.60%
EPS Growth next Year ---- 12.39%
EPS Growth next 5 Years ---- 22.00%
Debt/Equity Ratio ---- 0.58
Operating Margin ---- 19.70%

The company is currently rated with a 3.00 analyst recommendation; 1.0 is a strong buy and 5.0 a strong sell in the rating scheme.

Earnings of the company are estimated to grow by 12.39% for the next fiscal and 22.00% over the next five years yearly on average.

The RDY stock has a beta ratio of 0.80 and offers investors currently a dividend yield of 0.60% while 9.60% of the annual earnings are paid to shareholders (payout ratio).

Stock Price Chart of Dr. Reddy's Laboratories Ltd. (RDY):

Dr. Reddy's Laboratories Ltd. (RDY) Stock Price compared to the S&P 500



Chart Dividend Yields of Dr. Reddy's Laboratories Ltd. (RDY):

10 Year Dividend Yield of Dr. Reddy's Laboratories Ltd. (RDY)


Chart Dividend Payments of Dr. Reddy's Laboratories Ltd. (RDY):

10 Year Dividend Payments of Dr. Reddy's Laboratories Ltd. (RDY)


10 Year Yield on Cost of Dr. Reddy's Laboratories Ltd. (RDY):

10 Year Yield on Cost Of Dr. Reddy's Laboratories Ltd. (RDY) Stock

EQT Midstream Partners, LP (EQM) works within the Major Integrated Oil & Gas industry and has a market capitalization of 5.53Billion.

Here are some important valuation figures of EQT Midstream Partners, LP:

P/E ---- 38.79
Forward P/E ---- 23.98
PEG ---- 2.92
P/S ---- 27.07
P/B ---- 6.52
Dividend Yield ---- 2.20%
Payout Ratio ---- 55.50%
EPS Growth next Year ---- 13.79%
EPS Growth next 5 Years ---- 13.30%
Debt/Equity Ratio ---- 0.38
Operating Margin ---- 61.80%

The company is currently rated with a 1.80 analyst recommendation; 1.0 is a strong buy and 5.0 a strong sell in the rating scheme.

Earnings of the company are estimated to grow by 13.79% for the next fiscal and 13.30% over the next five years yearly on average.

The EQM stock has a beta ratio of - and offers investors currently a dividend yield of 2.20% while 55.50% of the annual earnings are paid to shareholders (payout ratio).

Stock Price Chart of EQT Midstream Partners, LP (EQM):

EQT Midstream Partners, LP (EQM) Stock Price compared to the S&P 500



Chart Dividend Yields of EQT Midstream Partners, LP (EQM):

10 Year Dividend Yield of EQT Midstream Partners, LP (EQM)


Chart Dividend Payments of EQT Midstream Partners, LP (EQM):

10 Year Dividend Payments of EQT Midstream Partners, LP (EQM)


10 Year Yield on Cost of EQT Midstream Partners, LP (EQM):

10 Year Yield on Cost Of EQT Midstream Partners, LP (EQM) Stock

Cleco Corporation (CNL) works within the Electric Utilities industry and has a market capitalization of 3.52Billion.

Here are some important valuation figures of Cleco Corporation:

P/E ---- 22.15
Forward P/E ---- 20.07
PEG ---- 3.16
P/S ---- 3.08
P/B ---- 2.23
Dividend Yield ---- 2.75%
Payout Ratio ---- 54.70%
EPS Growth next Year ---- 5.76%
EPS Growth next 5 Years ---- 7.00%
Debt/Equity Ratio ---- 0.83
Operating Margin ---- 26.90%

The company is currently rated with a 2.50 analyst recommendation; 1.0 is a strong buy and 5.0 a strong sell in the rating scheme.

Earnings of the company are estimated to grow by 5.76% for the next fiscal and 7.00% over the next five years yearly on average.

The CNL stock has a beta ratio of 0.48 and offers investors currently a dividend yield of 2.75% while 54.70% of the annual earnings are paid to shareholders (payout ratio).

Stock Price Chart of Cleco Corporation (CNL):

Cleco Corporation (CNL) Stock Price compared to the S&P 500



Chart Dividend Yields of Cleco Corporation (CNL):

10 Year Dividend Yield of Cleco Corporation (CNL)


Chart Dividend Payments of Cleco Corporation (CNL):

10 Year Dividend Payments of Cleco Corporation (CNL)


10 Year Yield on Cost of Cleco Corporation (CNL):

10 Year Yield on Cost Of Cleco Corporation (CNL) Stock

7 Large Caps To Go Ex-Dividend Tomorrow (C, SO, ETN, BHI, NBL, SNDK, KKR)

Below is a short overview about the biggest stocks by market cap that go ex-dividend tomorrow. If you feel that this article contains some values, please help me and share him with your friends on Twitter or Facebook.

Citigroup Inc. (C) works within the Money Center Banks industry and has a market capitalization of 149.84Billion.

Here are some important valuation figures of Citigroup Inc.:

P/E ---- 16.81
Forward P/E ---- 9.22
PEG ---- 1.50
P/S ---- 2.41
P/B ---- 0.74
Dividend Yield ---- 0.08%
Payout Ratio ---- 1.30%
EPS Growth next Year ---- 50.46%
EPS Growth next 5 Years ---- 11.19%
Debt/Equity Ratio ---- 1.12
Operating Margin ---- 21.90%

The company is currently rated with a 2.10 analyst recommendation; 1,0 is a strong buy and 5,0 a strong sell in the rating scheme.

Earnings of the company are estimated to grow by 50.46% for the next fiscal and 11.19% over the next five years yearly on average.

The C stock has a beta ratio of 1.92 and offers investors currently a dividend yield of 0.08% while 1.30% of the annual earnings are paid to shareholders (payout ratio).

Stock Price Chart of Citigroup Inc. (C):


Citigroup Inc. (C) Stock Price compared to the S&P 500



Chart Dividend Yields of Citigroup Inc. (C):


10 Year Dividend Yield of Citigroup Inc. (C)


Chart Dividend Payments of Citigroup Inc. (C):


10 Year Dividend Payments of Citigroup Inc. (C)


10 Year Yield on Cost of Citigroup Inc. (C):


10 Year Yield on Cost Of Citigroup Inc. (C) Stock

Southern Company (SO) works within the Electric Utilities industry and has a market capitalization of 39.96Billion.

Here are some important valuation figures of Southern Company:

P/E ---- 20.77
Forward P/E ---- 15.67
PEG ---- 6.20
P/S ---- 2.24
P/B ---- 2.09
Dividend Yield ---- 4.68%
Payout Ratio ---- 93.50%
EPS Growth next Year ---- 2.80%
EPS Growth next 5 Years ---- 3.35%
Debt/Equity Ratio ---- 1.24
Operating Margin ---- 26.10%

The company is currently rated with a 3.00 analyst recommendation; 1,0 is a strong buy and 5,0 a strong sell in the rating scheme.

Earnings of the company are estimated to grow by 2.80% for the next fiscal and 3.35% over the next five years yearly on average.

The SO stock has a beta ratio of 0.16 and offers investors currently a dividend yield of 4.68% while 93.50% of the annual earnings are paid to shareholders (payout ratio).

Stock Price Chart of Southern Company (SO):


Southern Company (SO) Stock Price compared to the S&P 500



Chart Dividend Yields of Southern Company (SO):


10 Year Dividend Yield of Southern Company (SO)


Chart Dividend Payments of Southern Company (SO):


10 Year Dividend Payments of Southern Company (SO)


10 Year Yield on Cost of Southern Company (SO):


10 Year Yield on Cost Of Southern Company (SO) Stock

Eaton Corporation plc (ETN) works within the Diversified Machinery industry and has a market capitalization of 33.61Billion.

Here are some important valuation figures of Eaton Corporation plc:

P/E ---- 17.54
Forward P/E ---- 12.72
PEG ---- 1.57
P/S ---- 1.51
P/B ---- 1.97
Dividend Yield ---- 2.78%
Payout Ratio ---- 43.20%
EPS Growth next Year ---- 16.79%
EPS Growth next 5 Years ---- 11.20%
Debt/Equity Ratio ---- 0.55
Operating Margin ---- 10.80%

The company is currently rated with a 1.70 analyst recommendation; 1,0 is a strong buy and 5,0 a strong sell in the rating scheme.

Earnings of the company are estimated to grow by 16.79% for the next fiscal and 11.20% over the next five years yearly on average.

The ETN stock has a beta ratio of 1.62 and offers investors currently a dividend yield of 2.78% while 43.20% of the annual earnings are paid to shareholders (payout ratio).

Stock Price Chart of Eaton Corporation plc (ETN):


Eaton Corporation plc (ETN) Stock Price compared to the S&P 500



Chart Dividend Yields of Eaton Corporation plc (ETN):


10 Year Dividend Yield of Eaton Corporation plc (ETN)


Chart Dividend Payments of Eaton Corporation plc (ETN):


10 Year Dividend Payments of Eaton Corporation plc (ETN)


10 Year Yield on Cost of Eaton Corporation plc (ETN):


10 Year Yield on Cost Of Eaton Corporation plc (ETN) Stock

Baker Hughes Incorporated (BHI) works within the Oil & Gas Equipment & Services industry and has a market capitalization of 31.35Billion.

Here are some important valuation figures of Baker Hughes Incorporated:

P/E ---- 25.11
Forward P/E ---- 12.97
PEG ---- 0.81
P/S ---- 1.34
P/B ---- 1.75
Dividend Yield ---- 0.94%
Payout Ratio ---- 20.80%
EPS Growth next Year ---- 32.79%
EPS Growth next 5 Years ---- 31.13%
Debt/Equity Ratio ---- 0.25
Operating Margin ---- 9.90%

The company is currently rated with a 2.10 analyst recommendation; 1,0 is a strong buy and 5,0 a strong sell in the rating scheme.

Earnings of the company are estimated to grow by 32.79% for the next fiscal and 31.13% over the next five years yearly on average.

The BHI stock has a beta ratio of 1.54 and offers investors currently a dividend yield of 0.94% while 20.80% of the annual earnings are paid to shareholders (payout ratio).

Stock Price Chart of Baker Hughes Incorporated (BHI):


Baker Hughes Incorporated (BHI) Stock Price compared to the S&P 500



Chart Dividend Yields of Baker Hughes Incorporated (BHI):


10 Year Dividend Yield of Baker Hughes Incorporated (BHI)


Chart Dividend Payments of Baker Hughes Incorporated (BHI):


10 Year Dividend Payments of Baker Hughes Incorporated (BHI)


10 Year Yield on Cost of Baker Hughes Incorporated (BHI):


10 Year Yield on Cost Of Baker Hughes Incorporated (BHI) Stock

Noble Energy, Inc. (NBL) works within the Independent Oil & Gas industry and has a market capitalization of 24.76Billion.

Here are some important valuation figures of Noble Energy, Inc.:

P/E ---- 28.40
Forward P/E ---- 17.84
PEG ---- 2.31
P/S ---- 4.71
P/B ---- 2.63
Dividend Yield ---- 1.05%
Payout Ratio ---- 17.00%
EPS Growth next Year ---- 15.75%
EPS Growth next 5 Years ---- 12.30%
Debt/Equity Ratio ---- 0.56
Operating Margin ---- 34.20%

The company is currently rated with a 2.10 analyst recommendation; 1,0 is a strong buy and 5,0 a strong sell in the rating scheme.

Earnings of the company are estimated to grow by 15.75% for the next fiscal and 12.30% over the next five years yearly on average.

The NBL stock has a beta ratio of 1.29 and offers investors currently a dividend yield of 1.05% while 17.00% of the annual earnings are paid to shareholders (payout ratio).

Stock Price Chart of Noble Energy, Inc. (NBL):


Noble Energy, Inc. (NBL) Stock Price compared to the S&P 500



Chart Dividend Yields of Noble Energy, Inc. (NBL):


10 Year Dividend Yield of Noble Energy, Inc. (NBL)


Chart Dividend Payments of Noble Energy, Inc. (NBL):


10 Year Dividend Payments of Noble Energy, Inc. (NBL)


10 Year Yield on Cost of Noble Energy, Inc. (NBL):


10 Year Yield on Cost Of Noble Energy, Inc. (NBL) Stock

SanDisk Corp. (SNDK) works within the Data Storage Devices industry and has a market capitalization of 21.01Billion.

Here are some important valuation figures of SanDisk Corp.:

P/E ---- 18.96
Forward P/E ---- 13.92
PEG ---- 0.76
P/S ---- 3.23
P/B ---- 2.93
Dividend Yield ---- 0.97%
Payout Ratio ---- 17.60%
EPS Growth next Year ---- 12.38%
EPS Growth next 5 Years ---- 25.00%
Debt/Equity Ratio ---- 0.30
Operating Margin ---- 28.30%

The company is currently rated with a 1.90 analyst recommendation; 1,0 is a strong buy and 5,0 a strong sell in the rating scheme.

Earnings of the company are estimated to grow by 12.38% for the next fiscal and 25.00% over the next five years yearly on average.

The SNDK stock has a beta ratio of 1.31 and offers investors currently a dividend yield of 0.97% while 17.60% of the annual earnings are paid to shareholders (payout ratio).

Stock Price Chart of SanDisk Corp. (SNDK):


SanDisk Corp. (SNDK) Stock Price compared to the S&P 500



Chart Dividend Yields of SanDisk Corp. (SNDK):


10 Year Dividend Yield of SanDisk Corp. (SNDK)


Chart Dividend Payments of SanDisk Corp. (SNDK):


10 Year Dividend Payments of SanDisk Corp. (SNDK)


10 Year Yield on Cost of SanDisk Corp. (SNDK):


10 Year Yield on Cost Of SanDisk Corp. (SNDK) Stock

Kohlberg Kravis Roberts & Co. (KKR) works within the Asset Management industry and has a market capitalization of 19.71Billion.

Here are some important valuation figures of Kohlberg Kravis Roberts & Co.:

P/E ---- 9.35
Forward P/E ---- 9.23
PEG ---- -
P/S ---- 19.76
P/B ---- 2.39
Dividend Yield ---- 6.99%
Payout Ratio ---- 65.60%
EPS Growth next Year ---- -0.08%
EPS Growth next 5 Years ---- -7.96%
Debt/Equity Ratio ---- 1.07
Operating Margin ---- -

The company is currently rated with a 1.80 analyst recommendation; 1,0 is a strong buy and 5,0 a strong sell in the rating scheme.

Earnings of the company are estimated to grow by -0.08% for the next fiscal and -7.96% over the next five years yearly on average.

The KKR stock has a beta ratio of 1.90 and offers investors currently a dividend yield of 6.99% while 65.60% of the annual earnings are paid to shareholders (payout ratio).

Stock Price Chart of Kohlberg Kravis Roberts & Co. (KKR):


Kohlberg Kravis Roberts & Co. (KKR) Stock Price compared to the S&P 500



Chart Dividend Yields of Kohlberg Kravis Roberts & Co. (KKR):


10 Year Dividend Yield of Kohlberg Kravis Roberts & Co. (KKR)


Chart Dividend Payments of Kohlberg Kravis Roberts & Co. (KKR):


10 Year Dividend Payments of Kohlberg Kravis Roberts & Co. (KKR)


10 Year Yield on Cost of Kohlberg Kravis Roberts & Co. (KKR):


10 Year Yield on Cost Of Kohlberg Kravis Roberts & Co. (KKR) Stock

Thank you for reading this blog!

Blog-Archiv