Enter your email address below to get the latest news and analysts' ratings for 3M with our FREE daily email newsletter: 3M Company is a technology company. It operates through five segments. The Industrial segment serves a range of markets, such as automotive original equipment manufacturer and automotive aftermarket, , appliance, paper and printing, packaging, food and beverage, and construction. The Safety and Graphics segment serves a range of markets for the safety, security and productivity of people, facilities and systems. Wordpress Hashcash needs javascript to work, but your browser has javascript disabled. Your comment will be placed in moderation! Ticker Trading Ideas Educational Ideas Scripts People How It Works Features Compare Plans Press Terms of Use Risk Warning Privacy Policy Cookies Policy Select market data provided by ICE Data services Enter your email address below to get the latest news and analysts' ratings for 3M with our FREE daily email newsletter: 3M Company is a technology company. It operates through five segments. The Industrial segment serves a range of markets, such as automotive original equipment manufacturer and automotive aftermarket, , appliance, paper and printing, packaging, food and beverage, and construction. The Safety and Graphics segment serves a range of markets for the safety, security and productivity of people, facilities and systems. Wordpress Hashcash needs javascript to work, but your browser has javascript disabled. Your comment will be placed in moderation! Skip to Primary Navigation Skip to Site Navigation Skip to Main Content Enter your email address below to get the latest news and analysts' ratings for 3M with our FREE daily email newsletter: 3M Company is a technology company. It operates through five segments. The Industrial segment serves a range of markets, such as automotive original equipment manufacturer and automotive aftermarket, , appliance, paper and printing, packaging, food and beverage, and construction. The Safety and Graphics segment serves a range of markets for the safety, security and productivity of people, facilities and systems. Daily dividend news for investors in dividend stocks Complete the form below to receive the latest headlines and analysts' recommendationsfor 3M with our free daily email newsletter: 3M Company is a technology company. It operates through five segments. The Industrial segment serves a range of markets, such as automotive original equipment manufacturer and automotive aftermarket, , appliance, paper and printing, packaging, food and beverage, and construction. The Safety and Graphics segment serves a range of markets for the safety, security and productivity of people, facilities and systems. In the meantime, you can use the Back link to return to the previous page and either try your request again or browse elsewhere on the site. We're sorry for the inconvenience. Aerospace & Defense Appellate Asset Management Automotive Banking Bankruptcy California Capital Markets Class Action Commercial Contracts Competition Consumer Protection Corporate Cybersecurity & Privacy Delaware Employment Energy Environmental Financial Services Uk Florida Food & Beverage Government Contracts Health Hospitality Illinois Immigration Insurance Insurance Uk Intellectual Property International Arbitration International Trade Law360 In Depth Legal Ethics Life Sciences Massachusetts Media & Entertainment Medical Malpractice Mergers & Acquisitions Native American New Jersey New York Pennsylvania Private Equity Product Liability Project Finance Public Policy Real Estate Retail & E Commerce Securities Sports Tax Technology Telecommunications Texas Transportation Trials White Collar The 3M Company, (NYSE: MMM) formerly known as the Minnesota Mining and Manufacturing Company, is a United States multinational conglomerate corporation … Get Stock quote detail for 3M Co. Stock quotes include the latest MMM market price, fundamental investing data, price chart Let us help you stay on top of your investments. We will alert you to important technical developments on your portfolio. ABB Ltd provides power and automation technologies for utility and industrial customers worldwide. The company 's Power Products division offers switchgears, circuit breakers, capacitors, surge arresters, cable accessories, high voltage components, reclosers, fuses, contactors, relays, sensors, motor control centers, ring main units, and modular systems; and instrument, power, traction, distribution, and other special transformers. Its Power Systems division provides integrated power and automation solutions; alternating current (AC) and direct current transmission systems; flexible AC systems technologies; land and submarine cables, as well as accessories and services for medium-to high-voltage AC and DC systems; air-and gas-insulated substations; and network management solutions. This segment also offers support agreements and retrofits, spare parts, service, and training; and undertakes consulting activities. The company's Discrete Automation and Motion segment manufactures and sells motors, generators, variable speed drives, programmable logic controllers, rectifiers, excitation systems, robotics, and related services for a range of applications in factory automation, process industries, and utilities. Its Low Voltage Products segment provides protection, control, and measurement for electrical installations; enclosures, switchboards, electronics, and electromechanical devices for industrial machines and plants; products for wiring and cable management, cable protection systems, power connection, and safety; and building control systems for home and building automation. The company's Process Automation segment develops and sells control and plant optimization systems, automation products and solutions, and industry-specific application services for the oil, gas, petrochemicals, metals and minerals, marine and turbocharging, pulp and paper, chemical and pharmaceuticals, and power industries. ABB Ltd was founded in 1883 and is headquartered in Zurich, Switzerland. Welcome back to Stockhouse Member Sign In We will not release or resell your information to third parties without your permission. By providing my email, I consent to receiving investment related electronic messages from Stockhouse. By providing my email, I consent to receiving messages from Stockhouse. By providing my email, I consent to receiving messages from Stockhouse. View by Rating 1 Star or More 2 Stars or More 3 Stars or More 4 Stars or More 5 Stars Complete the form below to receive the latest headlines and analysts' recommendationsfor ABB with our free daily email newsletter: Complete the form below to receive the latest headlines and analysts' recommendationsfor ABB with our free daily email newsletter: Complete the form below to receive the latest headlines and analysts' recommendationsfor ABB Ltd with our free daily email newsletter: At the heart of the philosophy of Post Analyst – news coverage on the principles of the highest quality standards. During its more than 20-year history, the company has established itself as a reliable and responsible supplier of business news and market analysis. Key employees of our company are professionals in the field of business, finance and stock markets. On our site you can always find daily updated business news from around the world. # ABB bags Emami Cement order for integrated automation, electrical systems ABB India has bagged orders for an automation and electricial system for a 2 MPTA greenfield plant in Odisha by Emami Cement, the flagship company of the Kolkata-based Emami Group. Emami is setting up advanced and energy-efficient cement plants to meet the future demand for cement arising from the steady growth of infrastructure spend in the country. The solution implemented will minimise energy consumption and enhance the overall plant performance, helping the plant support infrastruct Complete the form below to receive the latest headlines and analysts' recommendationsfor AbbVie with our free daily email newsletter: Complete the form below to receive the latest headlines and analysts' recommendationsfor AbbVie with our free daily email newsletter: Complete the form below to receive the latest headlines and analysts' recommendationsfor John Hancock Financial Opportunities Fund with our free daily email newsletter: Separately, Royal Bank of Canada reaffirmed an "outperform" rating on shares of John Hancock Financial Opportunities Fund in a report on Thursday, September 7th. Complete the form below to receive the latest headlines and analysts' recommendationsfor AbbVie with our free daily email newsletter: Return on Equity (ROE) is a measure of ABBV’s profit relative to its shareholders’ equity.For example, if ABBV invests $1 in the form of equity, it will generate $1.14 in earnings from this.If investors diversify their portfolio by industry, they may want to maximise their return in the Biotechnology sector by investing in the highest returning stock.But this can be misleading as each company has different costs of equity and also varying debt levels, which could artificially push up ROE whilst accumulating high interest expense. Return on Equity = Net Profit ÷ Shareholders Equity ROE = profit margin × asset turnover × financial leverage Basically, profit margin measures how much of revenue trickles down into earnings which illustrates how efficient ABBV is with its cost management.Asset turnover shows how much revenue ABBV can generate with its current asset base.And finally, financial leverage is simply how much of assets are funded by equity, which exhibits how sustainable ABBV’s capital structure is.We can determine if ABBV’s ROE is inflated by borrowing high levels of debt. Generally, a balanced capital structure means its returns will be sustainable over the long run. We can examine this by looking at ABBV’s debt-to-equity ratio. Currently the ratio stands at more than 2.5 times, which is very high. This means ABBV’s above-average ROE is being driven by its significant debt levels and its ability to grow profit hinges on a significant debt burden. Born in Ireland, Declan was the only one in his family who invested their money. A family of engineers, Declan saw it was essential to educate himself about managing his finances, and started learning investment principles. There are too many sessions currently in use on this account Ratings on over 170,000 corporate, government and structured finance securities. Information about training seminars, briefings, and teleconferences. Listings of issuers under review for rating changes. _For credit ratings that are derived exclusively from an existing credit rating of a program, series, category/class of debt, support provider or primary rated entity, or that replace a previously assigned provisional rating at the same rating level, Moody’s publishes a rating announcement on that series, category/class of debt or program as a whole, on the support provider or primary rated entity, or on the provisional rating, but often does not publish a specific rating announcement on each subsequent bond or note for which the credit rating is derived from the existing credit rating. Rating announcements are usually press releases classified as Rating Actions on www.moodys.com. Please refer to the Research tab on the issuer/entity page for the rating announcement._ Regional Sites: GlobalArgentinaAsiaAustraliaBoliviaBrazilCanadaCEEChinaCzech RepublicCISEMEAFranceGermanyIndonesiaIndiaItalyJapanKoreaMexicoMiddle EastPolandSouth AfricaSpainTurkeyTaiwanUruguay Both investors and stock traders are looking at technical indicators for the stocks of AbbVie Inc. (ABBV). At the moment, the 7-day directional indicator for this stock is to Buy. This signal is very important in determining the market trend for this stock. The direction of this stock is getting Strengthening Select a credit card product by: --- Card Type | Credit Score | Card Issuer Select an offer: 0% APR Credit CardsAirline Credit CardsBalance Transfer Credit CardsBusiness Credit CardsCash Back Credit CardsCharge CardsCharge Cards for BusinessEMV Smart ChipsGas Cards & Auto RewardsHome Improvement Rewards Credit CardsHotel Credit CardsInstant Approval Credit CardsLow Interest Credit CardsNo Annual Fee Credit CardsNo Foreign Transaction Fee Credit CardsPoints Rewards Credit CardsPrepaid & Debit CardsReward Credit CardsStudent Credit CardsTop 10 Best Credit Card Deals and Offers Bad CreditCredit Quality AverageCredit Quality ExcellentCredit Quality FairCredit Quality GoodLimited or No Credit HistoryPersonal Loans Enter up to 25 symbols separated by commas or spaces in the text box below. These symbols will be available during your session for use on applicable pages. Flash Quote Summary Quote Interactive Charts Default Setting At the heart of the philosophy of Post Analyst – news coverage on the principles of the highest quality standards. During its more than 20-year history, the company has established itself as a reliable and responsible supplier of business news and market analysis. Key employees of our company are professionals in the field of business, finance and stock markets. On our site you can always find daily updated business news from around the world. If you are going to be trading the stock, you want to ensure volume is healthy so you are not stuck in a position. Volumes indicate how many shares are bought and sold over a given period of time. The more active the share, higher would be its volume. Technical analysts believe that volume can serve as a warning signal as to whether a stock is on the verge of breaking into upside territory (high volume) or into a downside trend (low volume). Low volume of a security, even if it's rising in price, can indicate a lack of conviction among investors. Conversely, high volume of a particular security can indicate that traders are placing their long-term confidence in the investment. Volume is incredibly important to traders. Without volume, it becomes more difficult to buy or sell securities when you want to, and at the price you want. Chart patterns can be difficult to read given the volatility in price movements of ACN. Moving averages can help smooth out these erratic movements by removing day-to-day fluctuations and make trends easier to spot. Since they take the average of past price movements, moving averages are better for accurately reading past price movements rather than predicting future past movements. We have taken technical analysis of Accenture plc (ACN)’s stock recent trading price and 3 moving average price of updated past trading days (20, 50 and 200). It shows a stock price recent trends and movement that can help investor and traders in trading. Moving average is popular technical tool and can be customized to any time frame, suiting both long term investors and short-term traders. Average True Range (14) for Accenture plc (ACN) is stands at 1.85. ATR is a volatility indicator. Volatility measures the strength of the price action, and is often overlooked for clues on market direction. The ATR is fairly simple to calculate and only needs historical price data. Simply a stock experiencing a high level of volatility has a higher ATR, and a low volatility stock has a lower ATR. The ATR may be used by market technicians to enter and exit trades, and it is a useful tool to add to a trading system. It was created to allow traders to more accurately measure the daily volatility of an asset by using simple calculations. The indicator does not indicate the price direction, rather it is used primarily to measure volatility caused by gaps and limit up or down moves. Typically, the Average True Range (ATR) is based on 14 periods. Over the past week, the company showed volatility of 1.12%. Moving out to look at the previous month volatility move, the stock is at 1 Mike is a developer who has been building solutions in Sitecore since 2007. He currently works for Southern New Hampshire University. Complete the form below to receive the latest headlines and analysts' recommendationsfor United Continental with our free daily email newsletter: United Continental announced that its Board of Directors has approved a stock buyback plan on Thursday, December 7th that permits the company to buyback $3.00 billion in outstanding shares. This buyback authorization permits the transportation company to repurchase shares of its stock through open market purchases. Stock buyback plans are generally a sign that the company's board of directors believes its shares are undervalued. Complete the form below to receive the latest headlines and analysts' recommendationsfor Kimco Realty with our free daily email newsletter: Kimco Realty Corporation is a self-administered real estate investment trust. The Company is engaged in the ownership, management, development and operation of open-air shopping centers, which are anchored generally by discount department stores, grocery stores or drugstores. As of June 30, 2017, the Company had interests in 510 shopping center properties, including 84 million square feet of gross leasable area (GLA), located in 32 states, Puerto Rico and Canada. Complete the form below to receive the latest headlines and analysts' recommendationsfor Apple with our free daily email newsletter: Apple Inc (Apple) designs, manufactures and markets mobile communication and media devices, personal computers, and portable digital music players, and a variety of related software, services, peripherals, networking solutions, and third-party digital content and applications. The Company's products and services include iPhone, iPad, Mac, iPod, Apple TV, a portfolio of consumer and professional software applications, the iOS and OS X operating systems, iCloud, and a variety of accessory, service and support offerings. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Henk Grevelman Director Vereniging Achmea Achmea Andre Abrahamse Directeur Service Centre NHL, Hogeschool Wout Kok Freelance Photographer ONE2Expose Gijs Spijkers Senior Manager Digital Transformation Achmea All Rabobank.com videos have been embedded to our YouTube channel. In order to play our videos, we, and third parties such as YouTube and other advertising networks, use cookies and similar techniques. We need your consent to set these cookies. By clicking on ‘accept cookies’, you give us your consent to set these cookies and to process your personal data. You can get more information about cookies as well as change or manage your cookie settings on the page ‘Privacy and cookies’. In addition to national and international subsidiaries, Rabobank holds minority stakes in various companies. The most important Dutch affiliated company is Achmea, in which Rabobank holds a 29% stake. Achmea has approximately 25,000 FTEs and is market leader in the Netherlands in the field of insurance. It has a broad customer base in the Netherlands comprising private individuals, government agencies and businesses. Achmea has a modest position outside the Netherlands with activities in seven European countries. Rabobank and Achmea work in close cooperation in the field of insurance. Achmea operates in its home market of the Netherlands through its labels Centraal Beheer Achmea, Interpolis, Avéro Achmea, FBTO, Agis Zorgverzekeringen and Zilveren Kruis Achmea. Interpolis is a label of Achmea and provides a wide range of non-life, healthcare and life insurance for both private individuals and businesses. With more than a million retail customers and several hundreds of thousands of business customers, Interpolis is one of the leading providers in the Dutch insurance market. Interpolis is market leader in the agricultur For the three months ended March 31, 2015, ACSF's Board of Directors declared a $0.290 dividend per common share. The dividend was paid on April 6, 2015 to common shareholders of record as of March 31, 2015, with an ex-dividend date of March 27, 2015. During the first quarter of 2015, the Board of Directors announced a change to the frequency of dividends to monthly from quarterly and announced the first monthly dividend for April 2015 of $0.097 per share payable on May 4, 2015 to common shareholders of record as of April 21, 2015, with an ex-dividend date of April 17, 2015. On May 4, 2015, the Company announced the following monthly dividends for May, June and July of 2015: | Accumulated net realized loss from investments | 1. Following the IPO in January 2014, the incremental capital was deployed into the investment portfolio, which was fully ramped by March 31, 2014. As such, the average portfolio size, debt outstanding and associated income and expense amounts in the period presented may not be comparable. 2\. Weighted average shares outstanding for the three months ended March 31, 2014 presumes the issuance of 10 million shares of common stock on January 1, 2014 that were issued in the IPO which closed on January 22, 2014. American Capital Senior Floating, Ltd. is a non-diversified closed-end investment management company. The Company's investment objective is to provide attractive, risk-adjusted returns over the long term primarily through current income while seeking to preserve its capital. It manages a leveraged portfolio composed primarily of diversified investments in first lien and second lien floating rate loans principally to the United States-based companies (collectively, Senior Floating Rate Loans or SFRLs), which are referred to as leveraged loans. It invests in equity tranches of collateralized loan obligations (CLOs), which are securitized vehicles collateralized primarily by SFRLs, and it may invest in debt tranches of CLOs. 2 Bethesda Metro Center 14th Floor Bethesda, MD 20814 Indicate by check mark whether the registrant has submitted electronically and posted on its corporate Web site, if any, every Interactive Data File required to be submitted and posted pursuant to Rule 405 of Regulation S-T during the preceding 12 months (or for such shorter period that the registrant was required to submit and post such files). Yes ¨ No ¨ Indicate by check mark if disclosure of delinquent filers pursuant to Item 405 of Regulation S-K is not contained herein and will not be contained, to the best of the registrant's knowledge, in definitive proxy or information statements incorporated by reference in part III of this Form 10-K or any amendment to this Form 10-K. ¨ The aggregate market value of the registrant's common stock held by non- affiliates of the registrant as of June 30, 2015 was $121,507,019 based upon a closing price of the registrant's common stock of $12.65 per share as reported on the NASDAQ Global Select Market on that date. For this computation, the registrant has excluded the market value of all shares of its common stock reported as beneficially owned by executive officers and directors of the registrant and certain other stockholders; such an exclusion shall not be deemed to constitute an admission that any such person is an "affiliate" of the registrant. The registrant had 10,000,100 shares of common stock outstanding as of March 9, 2016. Documents Incorporated by Reference: Portions of the Registrant's Proxy Statement relating to the Registrant's 2016 Annual Meeting of Stockholders to be filed not later than 120 days after the end of the fiscal year covered by this Annual Report on Form 10-K are incorporated by reference into Part III of this report. Certain exhibits previously filed with the Securities and Exchange Commission are incorporated by reference into Part IV of this report. Market for Registrant's Common Equity, Related Stockholder Matters and Issuer Management's Discussion and Anal Obamacare 2018 enrollment had been expected to plummet, given short sign-ups, ad budget cuts Gross margin was down 40 basis points, against a strong comparison base last year. Regarding the current trading, the company said that positive momentum continued into January and February 2017, with a growth rate of 4-5%, organically and trading days adjusted. From April 1, operations in North America and UK & Ireland will be combined and managed according to the business lines General Staffing and Professional Staffing Further, the company said that at the AGM 2017, the Board of Directors will propose a dividend of CHF 2.40 to shareholders, a 50% payout of 2016 adjusted earnings per share. The Board has also decided to initiate a share buyback program of up to 300 million euros. According to Zacks, "Adecco Group offers a wide variety of services that connects colleagues with clients every day. The services offered fall into the broad categories of temporary staffing, permanent placement, outsourcing, consulting and outplacement. It also provides services in various business lines such as information technology, finance and legal, engineering and technical, medical and science, human capital solutions, sales, marketing and events. Adecco S.A. is headquartered in Glattbrugg, Switzerland. " For more information about research offerings from Zacks Investment Research, visit Zacks.com Adecco Group AG, together with its subsidiaries, provides workforce solutions to businesses and organizations worldwide. The company has market cap of $12.89 billion. The firm provides temporary staffing, permanent placement, and outsourcing services for clerical and support personnel in the areas of office employment; and candidates for blue collar job profiles across various industrial sectors under the Adecco brand. It has a 15.72 P/E ratio. It also offers professional staffing services in the information technology, and engineering and technical business lines primarily under the brand name of Modis; finance and legal business line under the Badenoch & Clark brand name; and medical and science business line. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: [TRADE IDEAS REVIEW – IS THIS THE BEST STOCK SCANNER? Trade Ideas is arguably one of the top scanning tools available on the market right Trade Ideas Pro helps traders find the best setups in the market right NOW Scottrade and E*TRADE license Trade Ideas proprietary technology for their premium trading platforms. We have fully automated trading available through Lightspeed and Interactive Brokers. Get the Next Big Winner in your inbox Before the Bell Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Looking for work outside your home country? You are banned from this site. Please contact via a different client configuration if you believe that this is a mistake. Welcome back to Stockhouse Member Sign In We will not release or resell your information to third parties without your permission. By providing my email, I consent to receiving investment related electronic messages from Stockhouse. By providing my email, I consent to receiving messages from Stockhouse. By providing my email, I consent to receiving messages from Stockhouse. Adecco is the largest recruitment provider globally, with over 5,000 branches in over 60 countries. The company is listed in Switzerland and came about through the merger of two large staffing companies, Adia and Ecco, in 1996. Adecco provides both temporary and permanent staffing in addition to HR systems outsourcing, career transition counselling, and restructuring consulting services. MenuHeadlines Business Technology Economy Personal Finance In addition to ValuEngine reporting its target price, a total of 6 firms have reported on the stock. The consensus target price is $20.53 with 1 firm rating the stock a st **Advisory Vote on Executive Compensation and Frequency of Future Advisory Votes:** Stockholders approved, on an advisory basis, the named executive compensation for the fiscal year ended June 30, 2017 and approved, on an advisory basis, that stockholders participate in an advisory vote on named executive compensation every year. The final vote results will be reported in a Current Report on Form 8-K to be filed by the Company with the Securities and Exchange Commission today. Preview: Hain Celestial Announces Strategic Acquisition Preview: Hain Celestial Reports First Quarter Fiscal Year 2018 Financial Results Choose A Page About Us Press Center Resources Advisory Services Free Newsletters Free Reports Contact Us Advertise With Us Employment Privacy Terms and Conditions Disclosures and Disclaimers Media Sites Sitemap Financial Market Data powered by FinancialContent Services, Inc. All rights reserved. Nasdaq quotes delayed at least 15 minutes, all others at least 20 minutes. # Aegon underlying earnings rise on improved claims Also Thursday, Aegon said it agreed to sell Aegon Ireland PLC to AGER Bermuda Holding Ltd., the holding company of the European operations of Athene Holding Ltd. I've identified one stock from basic materials I think has a chance to rebound as well as one from financials. My reasoning was simple: Aegon pays a very healthy dividend that currently yields 8%, isn't in danger of being cut, and is successfully transforming itself from an insurance company to a financial solutions company where clients aren't just about premiums and risk. The only question I have is whether Fitbit can remain the biggest in market share long enough to deliver an annual profit on a GAAP basis or be bought out by larger competitor. Choose A Page About Us Press Center Resources Advisory Services Free Newsletters Free Reports Contact Us Advertise With Us Employment Privacy Terms and Conditions Disclosures and Disclaimers Media Sites Sitemap Financial Market Data powered by FinancialContent Services, Inc. All rights reserved. Nasdaq quotes delayed at least 15 minutes, all others at least 20 minutes. To request an unblock, please fill out the form below and we will review it as soon as possible. GuruFocus Financial Strength Rank measures how strong a company’s financial situation is. It is based on these factors A company ranks high with financial strength is likely to withstand any business slowdowns and recessions. ROIC GuruFocus Profitability Rank ranks how profitable a company is and how likely the company’s business will stay that way. It is based on these factors: The maximum rank is 10. A rank of 7 or higher means a higher profitability and may stay that way. A rank of 3 or lower indicates that the company has had trouble to make a profit. Profitability Rank is not directly related to the Financial Strength Rank. But if a company is consistently profitable, its financial strength will be stronger. More than 500,000 people have already joined GuruFocus to track the stocks they follow and exchange investment ideas. You can also search for stocks or mutual funds using the search box. **Terms of Service:** The software is provided "as is", without warranty of any kind, express or implied, including but not limited to the warranties of merchantability, fitness for a particular purpose and noninfringement. In no event shall the authors or copyright holders be liable for any claim, damages or other liability, whether in an action of contract, tort or otherwise, arising from, out of or in connection with the software or the use or other dealings in the software. This site is not intended for trading purposes. Use at your own risk. Always verify security prices and other relevant financial information with your brokerage firm before trading. Are you getting the best rate from your broker? 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But we can’t do it without you. Aeon is a registered charity committed to the spread of knowledge and a cosmopolitan worldview. Our mission is to create a sanctuary online for serious thinking. Become a Friend of Aeon to save articles and enjoy other exclusive benefits ## Has money really changed from shells to digital apps? Underneath, money is always a token of our social relations From ApplePay to Bitcoin or Kenya's famous M-Pesa mobile money system, digital payment systems are proliferating at a pace never before seen. People are predicting the end of cash and coin. And many promoters and start-ups in payments pitch their service as the next stage – even the final pinnacle! – in the evolution of money. Advertisements for mobile phone-based payment systems sometimes exploit this. PayPal’s iPhone application, which can allow users to send small amounts of money to each other just by tapping their phones together, was released with an advertising campaign that explicitly drew upon this evolutionary story. The ad included mock cave drawings, hieroglyphics and even a narrator speaking in tones familiar From another technical standpoint, Aetna Inc. (NYSE:AET) 's 14-day Relative Strength Index (RSI) has reached 53.65, putting it inside a neutral zone. If the RSI is traveling up and it is between 40 and 80, it is probably an indication of an uptrend. If it moves beyond 70 but cannot hold this ground and instead falls below 70, it could be an indication that the market is overbought and prone to become bearish, at least in the short term. Conversely, if the RSI is traveling down and it is between 60 and 20, it is probably an indication of a downtrend. If it moves below 30 and fails to remain below, it could be an indication that the market is oversold and poised to become bullish, at least in the short term. Technical analysts also use volume to predict trends. The current trading volume of 3.35 sits 6.69% higher than the past 3 month 's readings, indicating near-term traders have been more active toward AET than usual of late. The company trades on average around 314000 shares per market session. Major moves in volume can signal unusual activity, such as insider trading. Unusual volume can be a major signal that investment gurus and momentum traders are piling into a stock ahead of a catalyst. These types of traders like to get in well ahead of a large spike, so it's always a smart move to monitor unusual volume. In terms of relative volume, these shares are trading at 1.07x their normal volume. AllStockNews provide quality information for free in a convenient place and format. You do not need to look for us – the news portal “AllStockNews” meets the reader every morning on the way to work in the metro, at traffic intersections, in cafes and business centers. Stock’s free cash flow yield, which represents the amount of cash available to investors before dividends, expressed as a percentage of the stock price, is 3.95. Company trades at a P/E ratio of 25.32, and is more expensive than the average stock in the Health Care Plans industry. The average investment recommendation for MGLN, taken from a group of Wall Street Analysts, is 2.30, or a buy. Over the past three months, Magellan Health, Inc. insiders have been net buyers, dumping a net of -256,361 shares. This implies that insiders have been feeling relatively bearish about the outlook for MGLN. Insider activity and sentiment signals are important to monitor because they can shed light on how “risky” a stock is perceived to be at it’s current valuation. Knowing this, it makes sense to look at beta, a measure of market risk. MGLN has a beta of 0.54 and therefore an below average level of market volatility. Aetna Inc. insiders have sold a net of -143,377 shares during the past three months, which implies that the company’s top executives have been feeling bearish about the stock’s outlook. Finally, AET’s beta of 0.59 indicates that the stock has an below average level of market risk. Economy and Money Authors gives investors their free and unbiased view of Financial Markets and on what happening in Stock Market. Our team certainly analyze tons of Stocks every day and provide their fair opinion on them. We are always looking over financial statements, company’s earning, analyst upgrades/downgrades, joint ventures and balance sheets to keep our reader up to date. ROI deals with the invested cash in the company and the return the investor realize on that money based on the net profit of the business. Investors who are keeping close eye on the stock of Aetna Inc. (NYSE:AET) established that the company was able to keep return on investment at – in the trailing twelve month while Reuters data showed that industry’s average stands at 4.98 and sector’s optimum level is 10.52. Stock News Journal was founded in 1997 as an idea in January 1998 as a company. Our first objective is to provide latest financial information in simple words, to make it understandable to everyone. The second is to provide knowledge and training items, to ensure that our visitors over Complete the form below to receive the latest headlines and analysts' recommendationsfor AFLAC with our free daily email newsletter: * Your assessment is very important for improving the work of artificial intelligence, which forms the content of this project Complete the form below to receive the latest headlines and analysts' recommendationsfor AFLAC with our free daily email newsletter: Enter your email address below to get the latest news and analysts' ratings for AFLAC with our FREE daily email newsletter: You have encountered an Error accessing the Aflac Website, Please contact Aflac Support or submit a trouble ticket. AFLAC announced that its Board of Directors has authorized a stock repurchase plan on Wednesday, August 9th 2017, which allows the company to buyback 40,000,000 shares, according to EventVestor. This buyback authorization allows the company to buy shares of its stock through open market purchases. Shares buyback plans are typically a sign that the company's board believes its shares are undervalued. AFLAC is scheduled to release their next quarterly earnings announcement on Tuesday, January, 30th 2018. View Earnings Estimates for AFLAC. Here are some recent quotes from research analysts about AFLAC stock: AFLAC's stock was sold by a variety of institutional investors in the last quarter, including Nordea Investment Management AB, Janus Henderson Group PLC, Old Mutual Global Investors UK Ltd., Pinebridge Investments L.P., Schroder Investment Management Group, Private Vista LLC, Chicago Equity Partners LLC and BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp. Company insiders that have sold AFLAC company stock in the last year include Audrey B Tillman, Barbara K Rimer, Charles D Lake II, Douglas Wayne Johnson, Elizabeth J Hudson, Hiroshi Yamauchi, James Todd Daniels, Kenneth S Janke Jr, Kriss Cloninger III, Paul S Amos II, Robert B Johnson and Teresa L White. View Insider Buying and Selling for AFLAC. AFLAC's stock was bought by a variety of institutional investors in the last quarter, including Canada Pension Plan Investment Board, Ameriprise Financial Inc., PGGM Investments, Los Angeles Capital Management & Equity Research Inc., Principal Financial Group Inc., Teacher Retirement System of Texas, Skandinaviska Enskilda Banken AB publ and Victory Capital Management Inc.. Company insiders that have bought AFLAC stock in the last two years include Eric M Kirsch, Joseph L Moskowitz and Karole Lloyd. View Insider Buying and Selling for AFLAC. 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Each Fortune 500 company receives a score based on a ratio of f The page you are looking for might have been removed, had its name changed, or is temporarily unavailable. Fintel provides advanced research tools for data-driven investors Fintel currently tracks over 9500 funds and over 63,000 securities traded worldwide. Information includes fund holdings, fund sentiment, financial data, and regulatory filings (including SEC, LSE, ASX, and SGX). # 4 Best International ETFs To Effectively Diversify Your Portfolio In a volatile market, ETFs are a great way to diversify your portfolio. Fast-growing emerging economies and a recovering Europe is getting more traction among ETF investors. However, investors with a strategy focusing on dividend distributions should note that FEEU currently do not distribute cash dividends, and capital gains from the ETN only comes from rise in the securities price. Vanguard FTSE Pacific ETF diversifies across Asia Pacific region and focuses on developed markets such as Japan (biggest index component), Australia, Hong Kong, New Zealand, and Singapore. International investors looking to build exposure abroad should be aware that investing in certain regions involves several risks, ranging from individual country’s economic growth, to potential of political/social unrest in the region. Specifically, the political factors such as recent and upcoming elections, ECB and individual countries’ rate policies, and the underdeveloped infrastructure and non-transparent legal & regulatory environment of certain emerging markets all pose uncertainty to the holdings in the above-stated Funds. Investors should carefully weigh these risks before committing any capital in order to mitigate overall portfolio risk while achieving an effective diversification effect. Want to share your opinion on this article? Add a comment. 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Email : dianaconnor@nasdaqtimes.com Founded in 2016, The NASDAQ Times is a dynamic and innovative financial media outlet. Our mission is to produce high-quality investment news and analysis to a broad audience through various distribution networks and channels. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell NewBurgh Press is an online financial news outlet covering the most relevant financial news from around the globe including stocks, shares, forex and business news. The most active shares in an exchange indicates that these shares are heavily bought and sold in today’s market. They often have a large number of shares outstanding. The rationale behind such high activity for a share could be their large number of shares outstanding or due to special situations such as there being a tender offer for the company and unexpected news. For the most active stocks in the market, it is highly important to check the outstanding shares of the company. The outstanding shares for American International Group, Inc. is 908.67, along with a floating outstanding shares of 898.59. Outstanding shares denotes a company's stock currently held by all its shareholders, comprising share blocks apprehended by institutional investors and limited shares owned by the officers and insiders of the organization. The amount of a company’s shares outstanding is not fixed, but may vary extensively over time. Market capitalization of 53.97B shares for the company helps traders interpret the size of American International Group, Inc., acting as the basic determinant for numerous important characteristics that affects an investment decision. The P/E ratio of *tba for American International Group, Inc., AIG, provides an insight into the measurement sticks, which compares the company’s valuations. The PE ratio shows how the company is performing in its financial terms compared to its competitors. A lower P/E ratio costs less per share for the same level of performance than a company with a higher P/E ratio. As expected, an investor would want to pay less for the same degree of performance. The PEG ratio for American International Group, Inc. is currently *tba. Looking deep into the PEG, the metric allows the investor to understand whether the company is undervalued or not, and whether it is growing or going down. The insurer has done a good job of rehabilitating itself. Can it stand on its own feet? That AIG is around at all is remarkable. By piling into what would emerge as the most rotten part of the financial system (insuring investors against losses on securities linked to American subprime mortgages) during the credit bubble, it ended up owing billions of dollars to those holding the other side of its bets. Ben Bernanke, the Federal Reserve’s chairman, famously derided AIG as a hedge-fund attached to a large and stable insurance company. Receive our Daily Dispatch and Editor’s Picks newsletters. The transition back to private ownership has been pretty smooth. Much of the credit for the transformation falls to Bob Benmosche, a former boss of MetLife, an insurance rival, who was pulled out of a retirement spent cultivating grapes in Croatia to take the reins in August 2009. Known for his blunt, speak-your-mind approach (a month into the job, he said he was avoiding “those crazies down in Washington”), he has helped turn a demoralised group with a radioactive brand into a company with a renewed sense of self. With less management time spent fire-fighting and negotiating with politician Despite a grounding in the majority of the North Sea region that has now lasted more than a year, Airbus Helicopters is confident that its H225 will shortly be restored to full flight status. The H225 and related AS332 L2 remain grounded in Norway and the UK following an April 2016 crash in which 13 passengers and crew died. That flight restriction covers a "significant part" of the global oil and gas Super Puma fleet, Enders says. Although the European Aviation Safety Agency has released the type to fly again provided a number of safety procedures are observed, Norway and the UK have refused to follow suit. However, they have been unable to determine a root cause for the underlying fatigue in the second-stage planet gear that caused the incident, although they believe it may be related to a bearing issue implicated in a 2009 accident. European regulators grounded the H225 in the immediate aftermath of the crash, but lifted their ban in October 2016. Copyright © Reed Business Information Limited # Airbus chairman backs CEO amid corruption probe Britain's Serious Fraud Office began to investigate potential wrongdoing and was later joined by French authorities. The probes came on top of allegations of misdeeds in Austria over the sale of Typhoon combat jets more than a decade ago. Austrian authorities said they were investigating actions by a number of officials, including Mr. Enders. The company this year also appointed an outside panel to review its processes. Complete the form below to receive the latest headlines and analysts' recommendationsfor Airbus with our free daily email newsletter: Airbus SE, through its subsidiaries, provides aeronautics, space, and related products and services worldwide. The company operates through three segments: Airbus Commercial Aircraft, Airbus Helicopters, and Airbus Defence and Space segments. The Airbus Commercial Aircraft segment develops, manufactures, markets, and sells commercial jet aircraft of approximately 100 seats; and regional turboprop aircraft and aircraft components, as well as provides aircraft conversion and related services. MarketBeat empowers retail investors to make better trading decisions by providing real-time financial data and objective market analysis. Whether you’re looking for analyst ratings, corporate buybacks, dividends, earnings, economic reports, insider trades, IPOs, SEC filings or stock splits, MarketBeat has the objective information you need to analyze any stock. Get analysts' upgrades, downgrades and new coverage delivered to your email inbox with our free daily newsletter: "These investigations have already established beyond question that Bombardier has taken billions of dollars in illegal government subsidies to prop up its C Series program. The C Series would not even exist at this point but for those subsidies," Boeing said in a statement emailed during Bombardier's panel remarks. If Bombardier wins, Chicago-based Boeing says its smallest 737 model could face unfair competition from the CSeries for decades. Canada's ambassador to the United States, David MacNaughton, warned that a positive finding of material harm to Boeing by the ITC could represent a possible violation of World Trade Organization agreements and prompt a more formal complaint with the global trade group. Canada earlier this month scrapped plans to buy 18 Boeing Super Hornet fighter jets, underlining Ottawa's anger over the trade challenge. Boeing has said it considered all potential risks before deciding to launch its trade case. The case stems from an April 2016 sale of 75 CSeries jets to Delta Air Lines Inc. Boeing claims Delta paid $20 million per plane, well below an estimated cost of $33 million and what Bombardier charges in Canada. European planemaker Airbus SE, which is buying a controlling stake in the CSeries program and has a competing plane, has said it would add a second CSeries production line to a factory in Alabama, making it a U.S. product for domestic airlines Reuters content is the intellectual property of Thomson Reuters or its third party content providers. Any copying, republication or redistribution of Reuters content, including by framing or similar means, is expressly prohibited without the prior written consent of Thomson Reuters. Thomson Reuters shall not be liable for any errors or delays in content, or for any actions taken in reliance thereon. "Reuters" and the Reuters Logo are trademarks of Thomson Reuters and its affiliated companies. Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. It flies the fanciest product on the biggest planes on the longest routes. There might not be much more room to soar Dubai International runs at full speed 24 hours a day to help Emirates serve a network that spans from Buenos Aires to Christchurch, New Zealand. Photographer: Greg White for Bloomberg Businessweek In their fifth week of training, women hired as flight attendants at Emirates Airline spend a day in Dubai with Pamela Mizzi. A makeup artist from Malta who spent 12 years in the sky herself, Mizzi greets the students in a windowless instruction space about 20 feet across, lined on three sides by mirrors divided into vanities by bright roundels of light, like an old-timey dressing room. Her job is to teach the trainees how Emirates expects them to look. Photographer: Greg White for Bloomberg Businessweek Those challenges may make the world less hospitable than ever to a company whose marketing projects a sunny globalism. With Trump and his ilk ascendant, one Emirates ad sums up a corporate ethos that feels increasingly at odds with the times: "Tomorrow thinks borders are so yesterday." Supplies of plane parts for maintenance of Emirates aircraft. Photographer: Greg White for Bloomberg Businessweek In 1984, Dubai was a backwater, one of the seven city-states that made up the fledgling United Arab Emirates, when its ruler, Sheikh Rashid bin Saeed al- Maktoum, and his son Mohammed decided to start an airline. With $10 million in seed capital and a couple of jets leased from Pakistan, Emirates was created a year later under the leadership of a pair of British expats, Maurice Flanagan and Tim Clark, initially serving regional destinations before making its first flights to London in 1987. Born in 1912, Rashid was fond of saying that while his father rode a camel, he drove a luxury Mercedes and his son drove a playboy's Land Rover--but his great-grandson would be back on a camel unless Dubai, never as oil-rich as neighboring Abu Dhabi, found other sources of income. His vision was to turn the city into an entrepot for the Middle East, an orderly hub for business and tourism--like Singapore, but drier (in every sense). Emerging from a rural society with a tiny native population, the face of this city would by necessity be foreign: Bangladeshis to build the skyscrapers, Filipinos to staff the restaurants, and Brits to run the management consulting firms. Wealthy Iranians, Egyptians, Saudis, and Indians would fill the condominiums and buy the yachts, using Dubai as neutral ground on which to play, work, and cut deals. The sheikhdom pioneered a model of the state as highly leveraged private equity firm, developing and owning ports, shopping malls, hotels, and, most important, a top-notch airline to bring the world to its door. While Emirates is adamant that it never received subsidies after its startup grant, there's no question it's operated in an environment that drives Western airlines mad with envy. For starters, Dubai won the geographic lottery. From a fuel and flight-time perspective, the Persian Gulf is the most efficient place on the planet to conne The Research and Experts relevance ranting consists of a set of figure of merit (FOM) values that are provided as an indication of the value of the report in the current economic environment. These FOM values cannot take into account the reason for the clients interest in a report and therefore the client should view these FOM values only as a visual guide. The FOM scores are based on The taxonomy on the left shows the ancestors of the Japan node. This provides an insight into parent categories that may provide reports or articles that may compliment this report. The number in brackets after the node name indicates the number of reports that Research and Experts currently have in the parent category. Japan suffered a record trade deficit of $27.4billion in January 2014, exacerbated by a weak yen. Fears are growing about the viability of the Japanese economy as higher sales taxes are expected to dampen consumer demand. If the economy doesn't achieve the desired inflation rate of 2% by mid 2014, policy makers are expected to implement the necessary monetary policies to achieve their aim. The Japanese government hopes to achieve moderate growth in 2014 however Japanese companies are concerned about declining exports to China and other export partners in developing economies. Japan has also had to increase it's imports of fossil fuels following the fukushima disaster in 2011 leading to increased energy costs for manufacturers. The taxonomy on the left shows the ancestors of the Automotive node. This provides an insight into parent categories that may provide reports or articles that may compliment this report. The number in brackets after the node name indicates the number of reports that Research and Experts currently have in the parent category. Research and Experts provides an extensive range of reports on heavy industry with specific focus on energy and resources, manufacturing and construction, materials and chemicals and transport and shipping. Our reports provide detailed market analysis, information and insights into industries in the heavy industry sector. Energy and Resources. This sector includes reports on energy, renewables, the environment, mining and minerals. Manufacturing and Construction. This area includes reports on the manufacturing and construction sectors including architecture, engineering, packaging, building materials, interior products etc. Challenges facing the global construction industry according to one of our publishers, Timetric, include cost containment, market uncertainty and retention or recruitment of skilled staff. The global manufacturing industry showed considerable growth in 2013. Employment in manufacturing grew most notably in the US helped by lower labour and energy costs. Growth was also recorded in the UK and throughout the Eurozone. Materials and Chemicals. This section covers materials and chemicals such as plastics, glass and ceramics, metals, wood and advanced materials. Transport and Shipping. This category includes reports on the automotive, logistics, shipping, rail and aerospace industries. sharewise.com requires Javascript. If you see this message you have probably deactivated Javascript or use a browser add-on that disables it and can not use this page wrote the following prediction: closed the prediction There is currently no activity in the live stream Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. AISIN SEIKI CO., LTD. manufactures motor vehicle parts such as transmissions, clutches, disc brakes, ABS, suspensions, oil pumps, power windows, and power door locks. The Company has sales and production subsidiaries worldwide. Aisin Seiki als But Tyson Foods established a 5 percent stake with the meatless-meat producer this time last year, suggesting that the Springdale-based company has seen a shift in consumer demand for vegetarian and vegan meat alternatives. "This investment reinforces our focus on protein and enables us to support Beyond Meat's efforts to produce new, leading edge products," said Justin Whitmore, executive vice president of corporate strategy and chief sustainability officer, in a statement. Other notable investors include Bill Gates, Leonardo DiCaprio, Twitter co- founders Biz Stone and Evan Williams, and Don Thompson, the former chief executive officer of McDonald's. California-based Beyond Meat said it wants to use its latest round of funding to more than triple its production, fund further research and development projects, and expand sales and distribution. Ken Shea, Bloomberg senior analyst of food and beverage, said the shift in demand toward plant-based meats is being driven largely by millennials, who he says are likely more aware of sustainable food practices and their own health. The cost difference alone between plant-based and lab-grown meats compared with traditional meat options is enough to sway consumers away for now, according to a study from Colorado-based CoBank, which serves agribusiness. On average the Fayetteville store sells about 42 units of Beyond Burger per week. Material from the Associated Press is Copyright (C) 2017, Associated Press and may not be published, broadcast, rewritten, or redistributed. Associated Press text, photo, graphic, audio and/or video material shall not be published, broadcast, rewritten for broadcast or publication or redistributed directly or indirectly in any medium. Neither these AP materials nor any portion thereof may be stored in a computer except for personal and noncommercial use. The AP will not be held liable for any delays, inaccuracies, errors or omissions therefrom or in the transmission or delivery of all or any part thereof or for any damages arising from any of the foregoing. All rights reserved. # Safeway to close downtown Fort Collins store, rebrand Albertsons Safeway will close its downtown Fort Collins supermarket next month, rebrand three Northern Colorado Albertsons stores but leave its downtown Loveland location open, the company announced Tuesday. In its announcement Tuesday, the Albertsons Cos.' Denver division said it would rebrand its three Northern Colorado Albertsons stores, turning them into Safeways. Albertsons and Safeway merged almost two years ago. A release from the company said it has invested more than $6.5 million in its Northern Colorado Albertsons stores recently, including putting in new flooring and fixtures, upgrading the buildings' exteriors and expanding their product offerings. Albertsons Cos. has 113 stores in Colorado, including 105 Safeways and eight Albertsons, the release said. Jewel parent takes cue from Amazon with meal-kit delivery deal The transaction announced earlier this week gives Albertsons a much-needed vehicle for reaching younger consumers attracted to the convenience of having their meals delivered. With same-store sales in a slump beginning in 2016, Albertsons also picks up a key selling point for investors as it reignites once-stalled plans for an initial public offering -- now targeted for 2018, the person said. The deal allows Plated and its backers to secure an exit, one that looked to be elusive after the flameout of competitor Blue Apron Holdings Inc.'s IPO. Blue Apron, whose June 29 trading debut followed the Amazon's Whole Foods deal by 13 days, has seen its stock tumble 47 percent since then. The Albertsons-Plated transaction is expected to close this month, the companies said in a statement. A spokeswoman for Albertsons declined to comment on financial terms. The terms were previously reported by technology news website the Information. Amazon stepping into food delivery has roiled grocery stocks and complicated Albert Alfresa Holdings Corporation (Alfresa) is a pharmaceutical company that manufactures and markets diagnostic reagent and medical devices. The company’s business includes ethical pharmaceuticals wholesaling, self-medication products and manufacturing. It’s ethical pharmaceutical wholesaling business supplies diagnostic reagents, medical devices and equipment to hospitals, clinics, dispensing pharmacies and other institutions. Alfresa’s self- medication products wholesaling business sells products include health foods, supplements, cosmetics, and other products to drugstores and pharmacies. It provides comprehensive healthcare services by broadening its operational scale and scope. The company serves drug stores and pharmacies. Alfresa is headquartered in Tokyo, Japan. GlobalData derived the data presented in this report from proprietary in-house Pharma eTrack deals database, and primary and secondary research. \- Deals by Region - Chart and table presenting information on the number of deals and value reported by the company by region, which includes North America, Europe, Asia Pacific, the Middle East and Africa and South and Central America. Access elaborate information on the company's recent financial deals that enable you to understand the key deals which have shaped the company Equip yourself with detailed information about the company’s operations to identify potential customers and suppliers. Gain key insights into the company for academic or business research \- Key elements such as break up of deals into categories and information on detailed major deals are incorporated into the profile to assist your academic or business research needs. Alfresa Holdings Corporation, Pharmaceuticals & Healthcare, Deals By Year, 2010 to YTD 2016 5 Alfresa Holdings Corporation, Pharmaceuticals & Healthcare Deals By Type, 2010 to YTD 2016 6 Alfresa Holdings Corporation, Pharmaceuticals & Healthcare, Deals By Region, 2010 to YTD 2016 7 Alfresa Holdings Corporation, Pharmaceuticals & Healthcare, Deals By Therapy Area, 2010 to YTD 2016 8 Alfresa Holdings Corporation, Medical Devices Deals, 2010 to YTD 2016 10 Alfresa Holdings Corporation, Pharmaceuticals & Healthcare, Deals Summary, 2010 to YTD 2016 11 Alfresa Holdings Corporation, Pharmaceuticals & Healthcare, Deal Details 12 Sanofi Enters Into Co-Development Agreement With Alfresa For Antiepileptic Drug 12 Alfresa Completes Acquisition Of Tokiwa Yakuhin 14 Alfresa Holdings Corporation, Pharmaceuticals & Healthcare, Key Facts, 2016 1 Alfresa Holdings Corporation, Pharmaceuticals & Healthcare, Deals By Year, 2010 to YTD 2016 5 Alfresa Holdings Corporation, Pharmaceuticals & Healthcare Deals By Type, 2010 to YTD 2016 6 Alfresa Holdings Corporation, Pharmaceuticals & Healthcare, Deals By Region, 2010 to YTD 2016 7 Alfresa Holdings Corporation, Deals By Therapy Area, 2010 to YTD 2016 8 Alfresa Holdings Corporation, Medical Devices Deals, 2010 to YTD 2016 10 Alfresa Holdings Corporation, Pharmaceuticals & Healthcare, Deals Summary, 2010 to YTD 2016 11 Sanofi Enters Into Co-Development Agreement With Alfresa For Antiepileptic Drug 12 Alfresa Completes Acquisition Of Tokiwa Yakuhin 14 Alfresa Holdings Corporation, Key Competitors 19 Alfresa Holdings Corporation, Key Employees 20 Alfresa Holdings Corporation, Subsidiaries 21 Alfresa Holdings Corporation, Pharmaceuticals & Healthcare, Deals by Type, 2010 to YTD 2016 1 Alfresa Holdings Corporation, Pharmaceuticals & Healthcare, Deals By Year, 2010 to YTD 2016 1 Alfresa Holdings Corporation, Pharmaceuticals & Healthcare, Deals By Region, 2010 to YTD 2016 1 Alfresa Holdings Corporation, Pharmaceuticals & Healthcare, Deals By Therapy Area, 2010 to YTD 2016 1 Alfresa Holdings Corporation, Pharmaceuticals & Healthcare, Deals By Year, 2010 to YTD 2016 5 Alfresa Holdings Corporation, Pharmaceuticals & Healthcare, Deals by Type, 2010 to YTD 2016 6 Alfresa Holdings Corporation, Pharmaceuticals & Healthcare, Deals By Region, 2010 to YTD 2016 7 Alfresa Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: [TRADE IDEAS REVIEW – IS THIS THE BEST STOCK SCANNER? 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No one receiving or accessing our research should make any investment decision without first consulting his or her own personal financial advisor and conducting his or her own research and due diligence, including carefully While a deal would give investors little control over the company, a likely exit through an initial public offering planned within three years has attracted a wide range of suitors, the people added. Final bids are due by end-August, though it was not clear how many shortlisted bidders are likely to make offers. Couche-Tard, growing rapidly through acquisitions, and ENN are both bidding solo, as is privately owned Chinese investment company New Hope Group, the people said. Sinopec, ENN, Affinity, Tencent, China Life and Fosun all declined to comment. Couche-Tard CFO Raymond Paré also declined to comment in an email. New Hope and did not reply to emails seeking response. Hopu could not be reached for an immediate comment. Sinopec Sales wants to boost non-fuel sales too and is seeking investors to get into businesses such as car services, telematics, online-to-offline sales, financial services and advertising, the sources said. Sinopec unveiled plans in February to restructure the business, which also includes oil-products pipelines and storage facilities across China. Note the numbers here are in millions apart from the per share values. So the total value is the sum of the next 5 years cash flows and the terminal value discounted to today, this is known as the Equity Value. In the final step we divide the equity value by the number of shares outstanding. If the stock is an depositary receipt (represents a specified number of shares in a foreign corporation) or ADR then we use the equivalent number. Hector got his first taste in the stock market as a junior analyst right after college. Since then, he’s attained a number of senior analyst roles at mutual funds and financial advisory firms. The profile contains critical company information including: Important locations and subsidiaries-A list and contact details of key locations and subsidiaries of the company. Detailed financial ratios for the past five years-The latest financial ratios derived from the annual financial statements published by the company with 5 years history. Jul 12, 2016: Alimentation Couche-Tard Announces Its Results For Its Fourth Quarter And Fiscal Year 2016 Mar 15, 2016: Alimentation Couche-Tard Announces Iits Results For Its Third Quarter Of Fiscal Year 2016 Nov 24, 2015: Alimentation Couche-Tard Announces Its Results For Its Second Quarter Of Fiscal Year 2016 Oct 13, 2015: Alimentation Couche-Tard Announces Resignation Of Vice President And Chief Financial Officer You get detailed information about the company and its operations to identify potential customers and suppliers. The profile analyzes the company's business structure, operations, major products and services, prospects, locations and subsidiaries, key executives and their biographies and key competitors. Understand and respond to your competitors' business structure and strategies, and capitalize on their weaknesses. Stay up to date on the major developments affecting the company. The company's core strengths and weaknesses and areas of development or decline are analyzed and presented in the profile objectively. Recent developments in the company covered in the profile help you track important events. Equip yourself with information that enables you to sharpen your strategies and transform your operations profitably. Opportunities that the company can explore and exploit are sized up and its growth potential assessed in the profile. Competitive and/or technological threats are highlighted. Scout for potential investments and acquisition targets, with detailed insight into the companies' strategic, financial and operational performance. Financial ratio presented for major public companies in the profile include the revenue trends, profitability, growth, margins and returns, liquidity and leverage, financial position and efficiency ratios. Gain key insights into the company for academic or business research. Key elements such as SWOT analysis, corporate strategy and financial ratios and char This notice should not be used to prepare tax returns. In January 2018, Form 1099 DIV (or substitute Form 1099 DIV) will be sent to shareholders and will state the aggregate amount and tax characterizations of distributions for the 2017 calendar year. It is anticipated that the Funds’ next quarterly distributions will be declared on or about June 2, 2017 and be payable on or about June 23, 2017. Statements made in this release that look forward in time involve risks and uncertainties and are forward looking statements within the meaning of the Private Securities Litigation Reform Act of 1995. Such risks and uncertainties include, without limitation, the adverse effect from a decline in the securities markets or a decline in a Funds’ performance, a general downturn in the economy, competition from other companies, changes in government policy or regulation, inability to attract or retain key employees, inability to implement its operating strategy and/or acquisition strategy, and unforeseen costs and other effects related to legal proceedings or investigations of governmental and self-regulatory organizations. OPIC has approved up to $150 million in financing and up to $250 million in political risk insurance and reinsurance for EuroCape Ukraine I, the first 225MW phase of Eurocape's planned 500MW wind farm. GE will supply and install 62 wind turbines and provide long-term operation and maintenance services. The EBRD is providing a €71 million loan for the construction of a new 30 km highway section connecting Kijeve and Zahaq. The highway is part of Route 6b of the Western Balkans Comprehensive Network. The EBRD funding will be complemented by an €80 million loan provided by the EIB and €3.2 million in grant funding from the Western Balkans Investment Framework (WBIF) for project preparation. UK fund manager Equitix has bought Statkraft 's 40% stake in the 317MW operational Sheringham Shoal Offshore Wind Farm located off the coast of Norfolk for £558 million. Statoil will continue as the operator of the facility. The Jordanian Ministry of Water and Irrigation is to tender a 24MW build- operate-transfer solar project in the Disi District to supply power for the Disi Water Conveyance Project. A grant of €38 million has been made available by the European Union. The Kenyan Treasury has given permission for three Universities to pursue student accommodation expansion through Public Private Partnerships. Embu University College requires an extra 4,000 beds, South Eastern Kenya University (Seku) 5,400 beds and Moi University an additional 14,000. South African consultancy Genesis Analytics led the transaction advisers. Prequalification closes February 28. The Australian government has announced that former Westpac deputy CEO Philip Coffey, 20-year energy infrastructure veteran Laura Reed, and financial services expert Andrea Slattery, are to take up appointments to the Clean Energy Finance Corporation (CEFC) board from 1 February 2018. The Australian government-owned green bank Clean Energy Finance Corporation (CEFC) will provide $110 million in senior secured debt towards the 110MW Wemen Solar Farm near Mildura in Victoria and up to $97 million towards the 90MW Clermont Solar Farm in Queensland. Developer Wirsol Energy is able to start construction before securing PPAs for the 200MW of capacity. Adani Group has cancelled a $2.6 billion contract with mine operator Downer Group for the Carmichael coal and rail project in Queensland. According to Adani the decision was mutual, due to Downer being targeted by activists for its involvement in the controversial $12 billion project. PLN has raised an €85 million 15-year loan from KfW to finance construction of the €100 million 45MW Kumbih III hydropower project in Sumatra. The deal signed on 15 December. Wircon Group subsidiary Wirsol Energy has acquired the development rights to the 7MW Outwood Solar Farm in Essex and the 9MW Trowse-Newton Solar Farm in Norfolk. The subs The PE ration is a market prospect ratio that calculates the market value of a stock relative to its earnings by comparing the market price per share by the earnings per share. In other words, the price earnings ratio shows what the market is willing to pay for a stock based on its current earnings. Investors often use this ratio to evaluate what a stock's fair market value should be by predicting future earnings per share. A company with a lower ratio is usually an indication of poor current and future performance. This could prove to be a poor investment. It also means that companies with losses have poor PE ratios. Moving averages are a very simple tool to use, like most technical indicators, different traders will focus on different ways to use them. A longer-term moving average may be used to identify the primary price trend, a shorter moving average period to identify the secondary, price trend, and an even shorter moving average period to identify the minor price trend. Finally observing long term time frame, 200-day simple moving average is more helpful at telling general investing trends lasting 200 days. Longer moving average timeframes are less sensitive to price fluctuations than shorter term timeframes and will generate far few signals. This will reduce the number of “whipsaws”, which is good, but will also generate signals later than when using shorter term averages. ALL stock price revealed optimistic move of 15.71% comparing average price of last 200 days. This comparison showed up direction of price above its 200-SMA. Receive your FREE email to get Wall Street expected earnings moves and weekly upcoming earnings alerts! The Allstate Corporation (Allstate) is a holding company for Allstate Insurance Company. The Company's business is conducted principally through Allstate Insurance Company, Allstate Life Insurance Company and other subsidiaries. It is engaged in the property-liability insurance business and the life insurance, retirement and investment products business. Complete the form below to receive the latest headlines and analysts' recommendationsfor United Technologies with our free daily email newsletter: Terraform Glbl Cla (NASDAQ:GLBL) has an ABR of 3 which is the combined stock view of 3 analysts poll results. As per Zacks simplified descending rating scale the ABR rank is displayed in the range of 1 to 5 where 1 represents Strong Buy and 5 a Strong Sell. As the name implies that ABR will show you the Average of Brokerage Recommendations on a given stock. It helps you quickly get a picture of where Wall Street stands on a stock without reading huge research reports. The smaller number of ABR is the more favorable. The modest value of the stock is known as the current ABR of the stock. Investors generally keep an extensive variety of technical indicators at their disposal for completing technical stock analysis. The average true range is a moving average, generally 14 days, of the true ranges. The average true range (ATR) was fashioned to allow traders to more precisely evaluate the daily volatility of an asset by using straightforward calculations. However the indicator does not specify the price direction, rather it is used first and foremost to measure volatility caused by gaps and limit up or down moves. The ATR is fairly simple to calculate and only needs historical price data. Stock News Journal was founded in 1997 as an idea in January 1998 as a company. Our first objective is to provide latest financial information in simple words, to make it understandable to everyone. The second is to provide knowledge and training items, to ensure that our visitors over time have the largest number of cognitive tools to consciously decide how to invest their savings. Complete the form below to receive the latest headlines and analysts' recommendationsfor Nucor with our free daily email newsletter: There are plenty of different types of stocks that investors have to choose from. Some will opt to be mor Complete the form below to receive the latest headlines and analysts' recommendationsfor Alphabet with our free daily email newsletter: Alphabet Inc is a holding company. The Company's businesses include Google Inc (Google) and its Internet products, such as Access, Calico, CapitalG, GV, Nest, Verily, Waymo and X. The Company's segments include Google and Other Bets. The Google segment includes its Internet products, such as Search, Ads, Commerce, Maps, YouTube, Google Cloud, Android, Chrome and Google Play, as well as its hardware initiatives. Enter your email address below to get the latest news and analysts' ratings for your stocks with our FREE daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Stock chart is not supported by your current browser For a technology that the average person has probably never heard of, Kubernetes surged in popularity in 2017 with a particular group of IT pros who are working with container technology. Kubernetes is the orchestration engine that underlies how operations staff deploy and manage containers at scale. In plain English, that means that as the number of containers grows then you need a tool to help launch and track them all. Netflix’s Chief Content Officer Ted Sarandos had his annual chat at the UBS Global Media and Communications Conference last Tuesday. We ran a sentiment analysis of Sarandos’ transcripts at this conference and analyze Netflix original content performance using alternative data. Twitter’s new “hateful conduct and abusive behavior” rules likely aren’t the main reason the social network’s shares rose some 8% Monday morning. • Twitter on Monday expanded its policies covering hateful content and abuse, now saying that names, biographical information and images in user profiles can lead to permanent suspension. Pokemon GO continues to pour Legendaries into the game, but where are the Mythical Pokemon? They could arrive in a very cool way indeed. Estimates by Accenture and Wells Fargo Securities show that AI could add $14 trillion to the economies of 12 developed countries by 2035. Complete the form below to receive the latest headlines and analysts' recommendationsfor Alphabet with our free daily email newsletter: Alphabet Inc is a holding company. The Company's businesses include Google Inc (Google) and its Internet products, such as Access, Calico, CapitalG, GV, Nest, Verily, Waymo and X. The Company's segments include Google and Other Bets. The Google segment includes its Internet products, such as Search, Ads, Commerce, Maps, YouTube, Google Cloud, Android, Chrome and Google Play, as well as its hardware initiatives. Complete the form below to receive the latest headlines and analysts' recommendationsfor Alphabet Inc with our free daily email newsletter: Alphabet Inc is a holding company. The Company's businesses include Google Inc (Google) and its Internet products, such as Access, Calico, CapitalG, GV, Nest, Verily, Waymo and X. The Company's segments include Google and Other Bets. The Google segment includes its Internet products, such as Search, Ads, Commerce, Maps, YouTube, Google Cloud, Android, Chrome and Google Play, as well as its hardware initiatives. Several other hedge funds also recently modified their holdings of the company. Bank of New York Mellon Corp boosted its position in TerraForm Global by 20.0% in the first quarter. Bank of New York Mellon Corp now owns 451,281 shares of the energy company's stock worth $2,166,000 after buying an additional 75,076 shares during the last quarter. Virtu Financial LLC acquired a new position in TerraForm Global during the first quarter worth $708,000. Nisa Investment Advisors LLC acquired a new position in TerraForm Global during the first quarter worth $128,000…. Other institutional investors have also modified their holdings of the company. Parametrica Management Ltd acquired a new position in shares of Deckers Outdoor Corporation during the first quarter valued at a Isstories is a provider of independent, focused, in-depth research and financial news. We provide comprehensive coverage of the most important news including business, earnings reports, dividend, Acquisition & Merger and global news. ROI deals with the invested cash in the company and the return the investor realize on that money based on the net profit of the business. Investors who are keeping close eye on the stock of Altice USA, Inc. (NYSE:ATUS) established that the company was able to keep return on investment at – in the trailing twelve month while Reuters data showed that industry’s average stands at 23.57 and sector’s optimum level is 20.15. Stock News Journal was founded in 1997 as an idea in January 1998 as a company. Our first objective is to provide latest financial information in simple words, to make it understandable to everyone. The second is to provide knowledge and training items, to ensure that our visitors over time have the largest number of cognitive tools to consciously decide how to invest their savings. Stock chart is not supported by your current browser Altice USA , Charter Communications and Comcast Cable today announced that they have reached a preliminary agreement to form a new Interconnect in the New York market that will provide a one-stop advertising solution to reach more than 6.2 million households across the New York DMA, the largest advertising market in the country. Iliad (ILD.PA), whose market launch in 2012 shook up the French telecoms industry, won over more customers in both its fixed and mobile businesses in the third-quarter and said it was on its way to finalising a team to launch its business in Italy. Iliad’s launch in Italy, due later this year or early 2018, is its first international foray besides a failed $15 billion bid for T-Mobile US, and will be a major test for the French company's billionaire founder and majority owner Xavier Niel. "More than 70 people have already been recruited, essentially in Milan but also in Rome," Chief Financial Officer Thomas Reynaud said in an interview on the sidelines of a Morgan Stanley telecoms conference in Barcelona. Welcome to a very special retail edition of charts of the day, and it’s not all bad news. The Halloween holiday has failed to scare away the companies in the initial public offering pipeline this week, with eight deals on the slate for total proceeds of $2 billion. Altice USA , one of the largest broadband communications and video services operators in the United States and the provider of Optimum and Suddenlink- branded TV, phone, and internet services, today announced that it will advance its goal of delivering the best in-home connectivity experience with a focus on enabling the ‘smart home’ by beginning to offer Nest connected home products and services to ... It’s generally a good idea to start with the most fundamental piece of the picture: the balance sheet. The balance sheet health of any company plays a key role in its ability to meet its obligations and maintain the faith of its investment base. For ATUS, the company currently has 595.34 million of cash on the books, which is offset by 1.71 billion in current liabilities. The trend over time is important to note. In this case, the company’s debt has been falling. The company also has 35.43 billion in total assets, balanced by 31.97 billion in total liabilities, which should give you a sense of the viability of the company under any number of imagined business contexts. Looking ahead at valuations, according to the consensus, the next fiscal year is forecast to bring about 0.16 in total earnings per share. If we consider a median price to earnings ratio on the stock, that corresponds with a stock price of 99.92. However, one should always remember: the trends are more important than the forecasts. This continues to be an interesting story, and we look forward to updating it again soon on Altice USA, Inc.. You will be redirected back to your article News Corp is a network of leading companies in the worlds of diversified media, news, education, and information services. 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Learn important info about providing a safe and kid-friendly web environment, and who to contact if a child is in possible danger. Yahoo doesn't offer financial services but you can link your brokerage account to make trades using the Yahoo Finance app. Find out more and learn how to protect yourself from fraud. Learn about removing malware that causes offensive ads. # Get help if someone posts intimate content of you without your permission Report photos or videos of yourself that someone else put online, and learn about some of the organizations that can help support you through a difficult time. Aluminum Corporation of China LimitedMultinational aluminium company headquartered in Beijing, China Receive alerts when important organizational changes happen. For each of our 784,788 listed executives, discover their exact roles and their biographies. The EU's ruling that Apple must pay the Irish tax authorities Aluminum Corp of China also sells and produces alumina chemical products- including alumina hydrate. Product list includes gallium, carbon anodes and cathodes. This company reached a production target of 1,100,000 tonnes of alumina chemical products and 8,830,000 tonnes of alumina in 2006. An English journalist who, when he's not exploring the social consequences of political actions, likes to write about cricket for some light relief. Senior Associate at the Carnegie Endowment for International Peace and a finance professor at Peking University’s Guanghua School of Management. Analysis of economics, politics and public policy in East Asia and the Pacific. Located in Tokyo, Japan, ADBI is the think tank of the Asian Development Bank. Its mission is to identify effective development strategies and improve development management in ADB's developing members countries. ADBI has an extensive network of partners in the Asia and Pacific region and beyond. ADBI's activities are guided by its three strategic priority themes of inclusive and sustainable growth, regional cooperation and integration, and governance for policies and institutions. Independent source of news and views, sourced from the academic and research community. Deena Zaidi is the chief writer and owner of the economic website Financial Keyhole QFINANCE is a unique collaboration of more than 300 of the world’s leading practitioners and visionaries in finance and financial management, covering key aspects of finance including risk and c Are you getting the best rate from your broker? Compare your broker's rates now to find out if you can save money We are redirecting you to the Broker Center now Join other Individual Investors receiving FREE personalized market updates and research. Join other Institutional Investors receiving FREE personalized market updates and research. Join other Financial Advisors receiving FREE personalized market updates and research. Check your email and confirm your subscription to complete your personalized experience. Thank you for your submission, we hope you enjoy your experience Looking for dividend stocks with great yields? Visit our list of: Low Volatility ETFs invest in securities with low volatility characteristics. These funds tend to have relatively stable share prices, and higher than average yields. It was more of the same great news for Amazon shareholders in the aftermath of the Q1 report, as the remarkable bull run continues on the heels of another standout quarter. Amazon Web Services, the cloud computing service that has been an integral part in helping Amazon achieve sustained profitability and growth, continues to grow, if at a decelerating rate. AWS revenue grew 43 percent year over year to $3.66 billion in Q1. A year ago, it was growing at a 64 percent clip. Even after the price cut, the most important thing about AWS is the enviable operating margins, which allow the company to take risks and try out things its competitors can't in other parts of its business. We are a creative agency that believes in authenticity, originality and results. We empower brands and causes that have the potential to change the way people live. We win because we are committed to cultivating a culture that fosters open communication, diversity of talent and forward thinking. Request a personalized brand analysis Treble will create a customized blueprint outlining how we can move your brand forward in the media. Need to launch your brand? While we strive for long term relationships and to delight our customers, if you are in a pinch and need a proven team to execute on announcing new funding, new product or a new market, Treble will customize a brand building package just for you. Your aggregate position in this market will be margined in the following tiers: Please note: we have tried to ensure that the information here is as accurate as possible, but it is intended for guidance only and any errors will not be binding on us. Settlement DFBs settle on the Last Dealing Day at the closing market bid/offer price of the share, plus or minus half the IG spread. It’s free to open an account, takes less than five minutes, and there’s no obligation to fund or trade. Plus news and opinion from our expert analysts With trading opportunities 24 hours a day Seamless functionality with our multi-device platform Get 100+ technical indicators, plus price alerts on the move It’s free to open an account, takes less than five minutes, and there’s no obligation to fund or trade. 87% of IG client accounts with open positions in this market expect the price to rise 13% of IG client accounts with open positions in this market expect the price to fall 501+ IG client accounts have open positions in this market Find out what other markets are being traded by IG client accounts that hold a position on the market herein, and see sentiment data from these accounts only. The circle for each market show the percentage of these accounts with positions that are currently long or short. This is calculated to the nearest 1% and is updated automatically every 15 minutes. To find out the client sentiment of a market amongst all IG client accounts (not just those with positions on the market herein) see the client sentiment section of the relevant market data page. Our charges are clear and transparent, so you’ll always know what fees to expect. Use integrated IG charts and access Autochartist packages. Get fast, reliable execution and the best available prices. America Movil provides fixed line and wireless voice and data services in Latin America A motif is an intelligently weighted basket of up to 30 stocks and ETFs built around themes and investing styles. On our platform, you can buy shares of AMX not only as a single stock, but also as part of a motif. Related Companies Within The Wireless Communications Sector ETFs have unique features that you should be aware of, which can include distribution of any gains, risks related to securities within the portfolio, and tax consequences. The data quoted herein represents past performance and is not indicative of future results. The investment return and principal value of an investment will fluctuate so that your investment, when redeemed, may be worth more or less than their original value. Current performance may be lower or higher than the performance data provided. Please review the prospectus or other research tools provided on this site for more recent information. Contact Motif Investing at 1-855-586-6843 to obtain the most recent month-end performance data. Fixed income investments are subject to various unique risks, including changes in credit quality, market valuations, liquidity, prepayments, early redemption, corporate events, tax ramifications, and other factors. Fixed income securities are subject to increased loss of principal during periods of rising interest rates. The Motif Index level represents the performance of a benchmark motif (a motif in our catalog) over time. It is set at 1000 on the date of inception of the motif. For example, a Motif Index of 1100 represents a 10% return since inception. Similarly, the change in the Index over a specified period represents the period return on the portfolio holding the same share weights as the benchmark motif. The Motif Index is a measure created and maintained by the firm, which has the discretion to change the holdings that comprise the index and to make alterations to a particular Motif Index. Popularity shows you how much interest a motif is attracting, compared to other motifs. We base this score on a proprietary formula that uses factors like how many people are viewing the motif, and how much conversation about it is happening in the community, in a range from Low-to-High. The Volatility measurement for a Motif represents the annualized standard deviation of daily returns on a portfolio holding the same share weights as the Motif, and is measured in a range from Low to High. Since the standard deviation of returns are commonly used as a measure of portfolio risk, a Volatility measurement that is High is indicative of the fact that holding the motif in the past subjected the holder to larger fluctuations or higher risk. The Valuation metric represents the present valuation of the stocks in the motif relative to the broader equity market. The Valuation metric is calculated as the composite Price-to-Earnings ratio for the stocks in the motif weighted by their respective share weights in a range from Low to High. System response time and account access times may vary due to a variety of factors, including trading volumes, market conditions, system performance, and other factors. Time shown in Eastern Time unless otherwise specified. The data contained herein from third party providers is obtained from what are considered reliable sources. However, it's accuracy, completeness, or reliability cannot be guaranteed. Investing in securities involves risks, you should be aware of prior to making an investment decision, including the possible loss of principal. An investment in individual stocks, or a collection of stocks focused on a particular theme or idea, such as a motif, may be subject to increased risk of price fluctuation over more diversified holdings due to adverse developments which can affect a particular industry or sector. Investments in ETFs can include those with a narrow or targeted investment strategy and can be subject to similar sector risks than more broad # Workers At American Airlines Subsidiary Say Starting Hourly Pay Is Too Low While the airline industry has been steadily boosting wages and benefits since it entered a post-recession recovery, outside of the major carriers it retains pockets of workers – employed at regional airlines as well as caterers and other vendors – who say they have been left behind. Workers doing the same job at American Airlines, Piedmont’s parent company, make twice as much and “keep getting raises,” Barden said. He was among about three dozen workers who demonstrated Monday at Charlotte Douglas International Airport, although the demonstration was limited by city officials to just 10 people at a time. Of American’s 11,500 Charlotte employees, about 1,600 work for Piedmont. CWA is in contract talks with Piedmont, where it represents about 4,500 workers, with large work groups at American hubs in Philadelphia and Phoenix as well as Charlotte. (CWA also represents about 14,000 agents at American.) “We’ve been bargaining for a little over and a year, and we’re making progress,” said Marge Krueger, director of passenger service for the CWA airline division. “But wages seem to be a problem. It’s not a living wage. It’s half the wage of mainline employees, who work on bigger planes but do the same sort of work.” Krueger said Piedmont airport workers have no pay scale, but are given raises based on performance. “We’re trying to get a regular pay scale,” she said. The two sides have agreed to improvements in the grievance procedure, leave of absence provisions and the ability to transfer between airports, she said. Piedmont spokeswoman Jackie Jennings said, “Piedmont and union representatives have worked collaboratively to make good progress on a significant number of proposals, and a majority of those proposals have been mutually resolved. “We look forward to our next working session in January, and hope to reach a tentative agreement that provides a secure and sustainable future for our team,” Jennings said. Unlike many workers on picket lines, Piedmont workers involved in the airport demonstration did not paint a portrait of a troubled workplace. Some praised the health care coverage. Under the Affordable Care Act, 30 hours of work a week means eligibility for health care benefits, although many Charlotte Piedmont workers don't reach that level. Piedmont workers also get flight benefits on American and can apply for jobs at American, but they would start at the bottom of the seniority scale, meaning even more evening and holiday work. Vonda Hardy, a CWA Staff representative and a former US Airways agent who was at the airport, said, “We’re standing up for workers’ rights. We have a good relationship with the company, but we want them to recognize our plight.” The reception at the airport, where the workers demonstrated on the departing passengers level, was generally positive, Barden said. “A lot of people honk at us and passengers coming in, a lot of them, say, ‘Keeping doing it — keep fighting,” he said. Complete the form below to receive the latest headlines and analysts' recommendationsfor American Airlines Group with our free daily email newsletter: American Airlines Group Inc is a holding company. The Company's primary business activity is the operation of a network air carrier, providing scheduled air transportation for passengers and cargo. The Company operates through American segment, which provides air transportation for passengers and cargo. The Charles Schwab Corporation, through its subsidiaries, provides wealth management, securities brokerage, banking, asset management, custody, and financial advisory services. The company has market cap of $69.36 billion. The firm operates through two divisions, Investor Services and Advisor Services. It has a 32.96 P/E ratio. The Investor Services segment provides retail brokerage and banking services, retirement plan services, and other corporate On Monday, the Nasdaq briefly topped the 7,000-point mark for the first time on rising hopes for the tax bill to be passed. Although market capitalization is key to consider, don’t invest (or not invest) based solely on it. It’s just one measure of value. As a serious shareholder, you need to look at plentiful factors that can assist you determine whether any given stock is a good investment. Despite the fact that a low P/E ratio may make a stock look like a good buy, factoring in the company's growth rate to get the stock's PEG ratio can tell a different story. The lower the PEG ratio, the more the stock may be undervalued given its earnings performance. The degree to which a PEG ratio value indicates an over or underpriced stock varies by industry and by company type; though a broad rule of thumb is that a PEG ratio below one is desirable. Also, the accuracy of the PEG ratio depends on the inputs used. Using historical growth rates, for example, may provide an inaccurate PEG ratio if future growth rates are predictable to deviate from historical growth rates. To distinguish between calculation methods using future growth and historical growth, the terms "forward PEG" and "trailing PEG" are sometimes used. Our mission is to provide unmatched news and insight on newsworthy and momentum stocks to potential traders looking to execute the best possible public and private capital allocation decisions. Value investing is easily one of the most popular ways to find great stocks in any market environment. After all, who wouldn't want to find stocks that are either flying under the radar and are compelling buys, or offer up tantalizing discounts when compared to fair value? Meanwhile, the company's recent earnings estimates have been encouraging. The current quarter has seen eight estimates go higher in the past sixty days, and one lower, while the full year estimate has seen ten upward and no downward revisions in the same time period. This has had a noticeable impact on the consensus estimate, as the current quarter consensus estimate has inched up 0.7% in the past two months, while the full year estimate has nudged up 0.9%. You can see the consensus estimate trend and recent price action for the stock in the chart below: Despite positive estimate revision activity, investors should wait for industry trends and broader factors to turn around first. When they do, this stock could be a compelling value pick. Full disclosure, Kevin Matras now has more of his own money in one particular stock than in any other. He believes in its short-term profit potential and also in its prospects to more than double by 2019. Today he reveals and explains his surprising move in a new Special Report. Select a credit card product by: --- Card Type | Credit Score | Card Issuer Select an offer: 0% APR Credit CardsAirline Credit CardsBalance Transfer Credit CardsBusiness Credit CardsCash Back Credit CardsCharge CardsCharge Cards for BusinessEMV Smart ChipsGas Cards & Auto RewardsHome Improvement Rewards Credit CardsHotel Credit CardsInstant Approval Credit CardsLow Interest Credit CardsNo Annual Fee Credit CardsNo Foreign Transaction Fee Credit CardsPoints Rewards Credit CardsPrepaid & Debit CardsReward Credit CardsStudent Credit CardsTop 10 Best Credit Card Deals and Offers Bad CreditCredit Quality AverageCredit Quality ExcellentCredit Quality FairCredit Quality GoodLimited or No Credit HistoryPersonal Loans Enter up to 25 symbols separated by commas or spaces in the text box below. These symbols will be available during your session for use on applicable pages. Flash Quote Summary Quote Interactive Charts Default Setting There has always been a question about needing to sign your credit card transaction at the point of sale. Can you remember the last time a clerk validated your signature? Even then, consider that the integrity of payment systems fall on the shoulders of minimum wage clerks who are expected to authenticate you at the point of sale. N Complete the form below to receive the latest headlines and analysts' recommendationsfor American International Group with our free daily email newsletter: American International Group, Inc is a global insurance company. The Company provides a range of property casualty insurance, life insurance, retirement products and other financial services to commercial and individual customers. Its segments include Commercial Insurance, Consumer Insurance, Other Operations and Legacy Portfolio. Complete the form below to receive the latest headlines and analysts' recommendationsfor BlackBerry with our free daily email newsletter: Enter your email address below to get the latest news and analysts' ratings for your stocks with our FREE daily email newsletter: Get the Next Big Winner in your inbox Before the Bell In North America there are something like 26 million small businesses which have two things in common: they are small and most of them are admittedly inept at handling the accounting side of their businesses, says Wave CEO Kirk Simpson. “The reality is that when you just take a quick look at the market, 40 to 60 percent of SMBs are sitting on the sidelines when it comes to managing the books,” Simpson observes. The best case is that they are handing it off to an accountant or bookkeeper. But a lot of the time they’re using nothing at all except for an Excel spreadsheet, a shoebox filled with receipts and a collection of word documents.” The opportunity, therefore, to help is there – and seems an enormous one at that. But, Simpson notes, it’s unfortunately one that’s not finger-snappingly simple to dial into. Most of these businesses are very small — fewer than 9 employees and less than $2 million a year in revenue. They are also, he notes, a staggeringly diverse group of merchants that span any number of business set-ups and so need slightly different accounting solutions. But, he notes, they all share a singular problem – what exists in the market today to help them, doesn’t. “It’s very hard to be successful if a business is flying blind with respect to its financials. And a lot of them are,” Simpson observed. “Traditional accounting software is not well-tailored to their needs. So they either don’t use it, or they use it very sporadically for two weeks at the end of the year when they are trying to reconcile the books.” Wave thinks it can fill that void, and since late 2010 has been slowly but surely spreading its wings with an SMB accounting and invoicing system that SMBs can actually use that gives them better control of their financial lives. As of this week, that control now extends to using the platform for access to credit underwriting as Wave has announced a new strategic partnership with OnDeck. So how does it all work — and why does the team at Wave think they have the secret SMB finserve sauce? The problem with the accounting software on offer for most small businesses isn’t that it is bad, notes Simpson — it’s just that it is much more involved, expensive and complex than what smaller firms need. “The traditional providers have tried to build a tool that will satisfy the needs of a micro-business owner as well as a medium sized business, so it is bloated and is filled with stuff that a typical SMB owner will find too complex or won’t use at all.” “We decided to get after those micro-businesses and get them the off the sidelines with free software that is tailor-made for them and is easy to use — in a language created for them to understand.” And no, you didn’t read that wrong — Wave’s basic software offering is free. No paywalls, and no limits on the main service areas it offers: invoicing, credit card processing, core accounting (merging all accounts into a single reported data stream) and payroll services. Wave is not a charitable organization — it does seek to make money, but it looks instead to the other financial services its software platform allows to d Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Select a credit card product by: --- Card Type | Credit Score | Card Issuer Select an offer: 0% APR Credit CardsAirline Credit CardsBalance Transfer Credit CardsBusiness Credit CardsCash Back Credit CardsCharge CardsCharge Cards for BusinessEMV Smart ChipsGas Cards & Auto RewardsHome Improvement Rewards Credit CardsHotel Credit CardsInstant Approval Credit CardsLow Interest Credit CardsNo Annual Fee Credit CardsNo Foreign Transaction Fee Credit CardsPoints Rewards Credit CardsPrepaid & Debit CardsReward Credit CardsStudent Credit CardsTop 10 Best Credit Card Deals and Offers Bad CreditCredit Quality AverageCredit Quality ExcellentCredit Quality FairCredit Quality GoodLimited or No Credit HistoryPersonal Loans Enter up to 25 symbols separated by commas or spaces in the text box below. These symbols will be available during your session for use on applicable pages. Flash Quote Summary Quote Interactive Charts Default Setting AmerisourceBergen Corporation sources and distributes pharmaceutical products in the United States and internationally. Its Pharmaceutical Distribution segment distributes brand-name and generic pharmaceuticals, over-the-counter healthcare products, home healthcare supplies and equipment, outsourced compounded sterile preparations, and related services to various healthcare providers, including acute care hospitals and health systems, independent and chain retail pharmacies, mail order pharmacies, medical clinics, long-term care and other alternate site pharmacies, and other customers. It also provides pharmacy management, staffing, and other consulting services; supply management software to retail and institutional healthcare providers; and packaging solutions to various institutional and retail healthcare providers. In addition, this segment provides pharmaceutical distribution and other services primarily to physicians who specialize in various disease states, primarily oncology, as well as to other healthcare providers, including hospitals and dialysis clinics; distributes plasma and other blood products, injectable pharmaceuticals, vaccines, and other specialty products; and offers third party logistics and outcomes research, and other services for biotechnology and other pharmaceutical manufacturers. The company's Other segment provides commercialization support services, including reimbursement support programs, outcomes research, contract field staffing, patient assistance and co-pay assistance programs, adherence programs, risk mitigation services, and other market access programs to pharmaceutical and biotechnology manufacturers; specialty transportation and logistics services for the biopharmaceutical industry; and animal health care products. It markets its products and services through independent sales forces and marketing organizations. AmerisourceBergen Corporation was founded in 1985 and is headquartered in Chesterbrook, Pennsylvania. The Healthcare Services Sector is witnessing a major shakeup, new age business models in the industry are transforming both customers and businesses. Faced with this uncertainity, companies are investing resources to transform their business. An in-depth business analysis is a valuable resource to identify and articulate the need for a business model change. At R&P Research we believe, the starting point for a business analysis is Benchmarking. Business benchmarking can be done at various levels: 1) Industry Benchmarking 2) Peer Benchmarking 3) Disruptors Benchmarking. In this report, we share the snapshot of how AmerisourceBergen compares against the industry on the major performance indicators. This analysis, along with peer group/disruptors benchmarking and revenue model understanding can help identify growth and cost optimization opportunities to maximize the value delivered Our apologies, the content you requested cannot be located. An amended version of the lawsuit was filed in 2007 in the U.S. District Court for the District of Massachusetts in Boston, but had been under seal in accordance with a federal whistleblower law that protects the identify of the plaintiff. In the drug industry, such suits are often filed by former employees including sales representatives. A plaintiff's lawyer listed in the suit couldn't immediately be reached. "Amgen believes the allegations made in the complaint are without merit and will vigorously defend against the litigation," said David Polk, spokesman for the Thousand Oaks, Calif, company. Aranesp is an anti-anemia treatment that raked in $3.1 billion in sales in 2008. Aranesp and other anemia drugs are among the biggest drug expenses for Medicare, the federal health program for seniors. Medicare has tightened its reimbursement policies over the past couple years because clinical studies have shown the drugs can increase risk for heart problems and other conditions when used in certain ways. This has hurt sales. According to the lawsuit, Amgen improperly marketed the attractive economics of Aranesp to customers - essentially that they could profit more from prescribing Aranesp than competing drugs. The lawsuit also alleges Amgen offered improper price discounts for Aranesp to customers and hid these prices from government health programs. New York-based WebMD spokeswoman Kate Hahn said "after a preliminary review of the WebMD programs that may be relevant, WebMD believes we complied with the rules and regulations applicable to our services." Last year, Amgen agreed to pay $200 million to J&J to settle J&J's allegations that Amgen violated antitrust laws by offering discounts to cancer clinics on Aranesp and certain other Amgen drugs. Amgen admitted to no wrongdoing under the settlement. Amgen has previously disclosed federal prosecutors have filed requests for documents related to its products. The Dividend Investing and Value Network Sorry, the page you were looking for in this blog does not exist. Sorry, the page you were looking for in this blog does not exist. # Healthcare Value Stocks for a Healthier Portfolio? The Health Care sector is comprised of many diverse companies, as can be seen from the list of subsectors provided below. Historically the Health Care sector has been comprised of a significant number of companies with above- average growth rates of earnings. Consequently, a majority of the companies comprising the Health Care sector could be thought of as growth stocks over dividend growth stocks. One of the primary reasons for this was that the sector was benefiting from the tailwinds of the powerful demographic forces of an aging population. Additionally, there were many scientific advances that also provided above- average growth to many companies in this sector. As a result, health care stocks were once considered defensive because they were mostly unaffected by economic weakness. However, since the recession of 2001, the characteristics and the attributes of big pharma changed dramatically. Instead of generating quintessential earnings growth patterns, their operating results became flatter (slower) and even cyclical. Consequently, it’s imperative that investor attitudes towards big pharma adjust to the changing operating environment of today. This will be elaborated on later. The economic environment for the Health Care sector today has clearly changed and evolved. For starters, it has become more and more difficult for large multi-billion-dollar market cap multi-national drug companies to produce enough new blockbuster drugs to support their growth. Additionally, companies in the biotech segment have been developing more promising therapies that threaten blockbuster drugs from gaining traction. However, these are not the only headwinds now facing big pharma, and the entire Health Care sector for the matter. We now have the passage of the Asia real estate and outbound investment news Anbang's Wu Xiaohui gave a rare interview last week as the company launched a PR blitz Anbang Insurance this weekend lashed out at media accounts of legal and financial crises at the high profile Chinese investor, threatening lawsuits while denying accounts of cashflow struggles and chairman Wu Xiaohui’s detention by authorities. Anbang, which followed its Waldorf Astoria deal with a series of high profile acquisitions, has seen several of its proposed deals fizzle over the last year, including a failed attempt to reportedly invest $400 million in a project owned by the family of Donald Trump’s son-in-law and senior advisor, Jared Kushner. In Anbang’s Saturday announcement, it accused Caixin of personal attacks on Wu, including making false reports of the Anbang chairman’s divorce from his wife, Zhuo Ran, who is a grand-daughter of former paramount leader Deng Xiaoping. An earlier New York Times account had tied much of the funding for privately-held Anbang to the Deng family and other members of China’s political elite. Anbang said that it was preparing a legal case against Caixin and Hu, for damages to the company’s business and to Wu’s personal reputation. In its announcement Anbang stated that the accounts by Caixin had come after Anbang declined to buy advertising and sponsorship from the media firm. The legal moves follow an Anbang PR offensive late last week after reports of Wu Xiaohui’s detention by mainland authorities spread from the Hong Kong and Taiwan media onto China’s WeChat social network. Widely shared accounts from Hong Kong’s Apple Daily and other outlets popped up across group chat and personal messages even more quickly than WeChat’s army of censors could pull down posted stories. Wu, who rarely talks to the press and has seldom been photographed, gave an in-person interview published last Thursday in a newspaper controlled by the propaganda department of Beijing, which was syndicated widely in the mainland press. The media blitz followed rumours that Wu, who built Anbang into one of China’s biggest corporations in just over a decade, was being held for questioning by government agents investigating Xiang Junbo, China’s chief insurance regulator, who was detained in mid-April for “severe disciplinary violations” – the party’s euphemism for corruption. Chinese regulators have recently turned their attention to the country’s rapidly growing insurance industry, as President Xi Jinping attempts to stamp out corruption and prevent asset bubbles that could threaten stability. While much of Anbang is at least nominally-owned by rural villagers said to have ties to Wu Xiaohui and his family, the insurer quintupled its capitalisation in 2014, largely through injections of billions of dollars of cash from its network of shareholders, the New York Times reported. Anbang pulled out of a deal to finance Kushner's 666 Fifth Avenue While Anbang threatens retaliation, the company’s accounts are already showing the damage caused by its declining reputation and increasing regulatory scrutiny. As China encouraged the growth of its insurance industry in recent years and pushed companies to make overseas acquisitions, Anbang grew into the country’s third largest insurer reportedly by selling equity to wealthy individuals and through sales of high yield wealth management products packaged as insurance. The outflows are said to be due to policy cancellations and withdrawals by clients, at the same time that Anbang’s sources of new capital dried up. That performance represented a rapid reversal from 2016 when Anbang averaged net cash inflows of nearly RMB 10 billion per quarter. If Wu used his Waldorf Astoria acquisition to promote Anbang as a global player, the company’s recent string of failed deals have exposed the limits of Wu’s influence and Anbang’s deal making prowess. That failure was widely blamed on Chinese regulators reining i Individual Investor Business Executive Wirehouse Financial Advisor RIA Institutional Investor See Street Research during your Free Trial To view all stories in expanded form, please subscribe. See Street Research during your Free Trial See Street Research during your Free Trial See Street Research during your Free Trial See Street Research during your Free Trial See Street Research during your Free Trial See Street Research during your Free Trial See Street Research during your Free Trial Andeavor upgraded to Outperform from In Line at Evercore ISI. Evercore ISI analyst Doug Terreson upgraded Andeavor to Outperform with a $128 price target. Terreson expects profits in Refining, Chemicals and Midstream will strengthen during 2018-2019 and does not believe consensus estimates reflect his positive outlook. See Street Research during your Free Trial See Street Research during your Free Trial Andeavor downgraded to Hold from Buy at Jefferies. Jefferies analyst Corey Goldman downgraded Andeavor to Hold and lowered his price target for the shares to $109 from $110. The analyst believes the shares have reached fair value and he remains cautious on the company's ability to meet 2018 EBITDA guidance without additional dropdowns. See Street Research during your Free Trial Breaking market intelligence sent straight to you Our team of experts analyze every news story and filter out the noise to deliver real-time market moving news. News focused on the companies in your portfolio Create up to 12 portfolios with 150 stocks each, and see how active they are in market news. Finq.com is operated by Dilna Investments Ltd which is the primary service provider and website operator. Dilna Investments Ltd is acting on behalf of its mother company, Leadcapital Corp Ltd, a company which is authorised and regulated as a securities dealer by the Financial Services Authority (FSA) of the Seychelles with License No: SD007. Funds offer an easy and convenient way to invest; popular with novice and experienced investors alike. Our free resources can give you the confidence you need to make the most of your money. # Sorry, the page you are looking for cannot be found The page you are trying to access cannot be found. Please take one of the following steps to try to resolve the issue: See Street Research during your Free Trial To view all stories in expanded form, please subscribe. See Street Research during your Free Trial Western Refining Logistics trading resumes See Street Research during your Free Trial Western Refining Logistics trading halted, news dissemination See Street Research during your Free Trial Alerian announced that Western Refining Logistics (WNRL) will be removed from the Alerian MLP Index, Alerian MLP Equal Weight Index, and the Alerian Mid Cap MLP Index in a special rebalancing after market close on Friday, September 29. Special rebalancings are triggered by corporate actions such as mergers, bankruptcies, and liquidations. Andeavor Logistics (ANDX) announced after market close today that they have received written consent from a majority of outstanding WNRL unitholders to approve a merger between ANDX and WNRL. See Street Research during your Free Trial See Street Research during your Free Trial Andeavor Logistics (ANDX) and Western Refining Logistics (WNRL) announced that the board of WNRL's general partner has set September 28 as the record date for determining holders of WNRL common units entitled to execute and deliver written consents with respect to the proposed acquisition. The consent process will conclude on October 27. The approval and adoption of the acquisition requires the affirmative vote or consent of holders of at least a majority of the outstanding WNRL common units. Certain Andeavor (ANDV) affiliates, which beneficially own a majority of the outstanding WNRL common units, have delivered a written consent adopting and approving in all respects the agreement and plan of merger, dated as of August 13 and the transactions Get the most complete coverage of analyst research online. Never miss a rating or target for any stock! Get notified about new analyst actions for any of your stocks. Individual Investor Business Executive Wirehouse Financial Advisor RIA Institutional Investor Chinese English French German Japanese Korean Portuguese Spanish The requested URL was not found on this server. If you entered the URL manually please check your spelling and try again. The page you are trying to reach cannot be found. In the meantime feel free to search or check out the articles below. Over the last twelve years, Consumerist has been a steadfast proponent and voice on behalf of consumers, from exposing shady practices by secretive cable companies to pushing for action against dodgy payday lenders. Now, we’re joining forces with Consumer Reports, our parent organization, to cultivate the next generation of consumer advocacy. Even if the Modelo deal falls through, A-B will likely continue on trying to buy up every independent company that becomes mildly successful. In recent years, it's purchased Chicago fave Goose Island and owns around one-third of the Craft Brewers Alliance, which includes brands like Red Hook and Widmer Bros. Founded in 2005, Consumerist® is an independent source of consumer news and information published by Consumer Media LLC, a not-for-profit subsidiary of Consumer Reports. Over the last twelve years, Consumerist has been a steadfast proponent and voice on behalf of consumers, from exposing shady practices by secretive cable companies to pushing for action against dodgy payday lenders. Now, we’re joining forces with Consumer Reports, our parent organization, to cultivate the next generation of consumer advocacy. Anheuser-Busch Distributor Incentive Program Raises More Concerns Of A Stifled Craft Beer Market AB InBev has reportedly already told its network of 500 distributors, and others, that they would qualify for the incentive program as long as craft brewers they carry produce less than 15,000 barrels or sell beer only in one state. When AB InBev announced the three-year plan at a meeting last month, the company estimated that participating distributors would receive an average of $200,000 in benefits annually. “We are focused on improving our offerings for consumers, and our new voluntary incentive program better equips wholesalers to compete in the future,” Ricardo Melo, Anheuser-Busch vice president of sales strategy and wholesaler development, tells the WSJ in a statement. While Melo emphasized that the program is voluntary, and that distributors could sell less than 95% of its products and still be eligible for benefits, some in the beer industry claim the plan would stifle craft brewers' ability to bring products to market under the current distribution system. According to the National Beer Wholesalers Association, most of the country's beer distribution flows through companies with agreements to either sell AB InBev or MillerCoors brands. Lagunitas Brewing Co. founder Tony Magee, who recently sold half of his stake in the company to not-entirely-small Heineken, tells the WSJ that the incentive program could persuade distributors to hold back on craft-beer sales, for fear that pushing the products would put them over the edge for reward eligibility. Other small brewers expressed the same concerns, noting that the plan could prevent new beers from entering the market entirely. The incentive program comes at a time when AB InBev is already taking heat for its disruption to the distribution market. In October, the Justice Department, along with California regulators, announced they were investigating allegations by craft brewers that AB InBev pushes its recently acquired distributors in California, New York and Colorado to sever ties with the smaller beer companies. Sources close to the matter say the investigation, which is in early stages, was initiated after smaller brewers raised concerns that AB InBev’s purch Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell At the heart of the philosophy of Post Analyst – news coverage on the principles of the highest quality standards. During its more than 20-year history, the company has established itself as a reliable and responsible supplier of business news and market analysis. Key employees of our company are professionals in the field of business, finance and stock markets. On our site you can always find daily updated business news from around the world. Enter up to 25 symbols separated by commas or spaces in the text box below. These symbols will be available during your session for use on applicable pages. Intraday 5 Day 1 Month 3 Months 6 Months 1 Year 18 Months 2 Years 3 Years 4 Years 5 Years 6 Years 7 Years 8 Years 9 Years 10 Years Enter up to 25 symbols separated by commas or spaces in the text box below. These symbols will be available during your session for use on applicable pages. Flash Quote Summary Quote Interactive Charts Default Setting Enter your email address below to get the latest news and analysts' ratings for your stocks with our FREE daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Anthem announced that its board has initiated a share buyback plan on Thursday, December 7th that permits the company to buyback $5.00 billion in shares. This buyback authorization permits the company to purchase shares of its stock through open market purchases. Stock buyback plans are usually a sign that the company's board of directors believes its shares are undervalued. Anthem Inc says that it will be creating IngenioRx to act as its new pharmacy benefits manager. This will take place in 2020, which is when the company's current pharmacy benefits manager contract expires. The deal between Anthem Inc and CVS Health Corp will last for five years. In preparation for the change, ANTM is working to make sure that it can easily switch members to the new pharmacy benefits manager in 2020. Choose A Page About Us Press Center Resources Advisory Services Free Newsletters Free Reports Contact Us Advertise With Us Employment Privacy Terms and Conditions Disclosures and Disclaimers Media Sites Sitemap Financial Market Data powered by FinancialContent Services, Inc. All rights reserved. Nasdaq quotes delayed at least 15 minutes, all others at least 20 minutes. Enter your email address below to get the latest news and analysts' ratings for your stocks with our FREE daily email newsletter: USA Commerce Daily knows how managing information determines success in the modern world. People who are really looking for information about business, companies and latest stock news – USA Commerce Daily is the right place. USA Commerce Daily does not gather only pleasant news. It covers everything that is really important. This paper still provides own investigations on the high level. Local and International events are given with careful and complete analysis. USA Commerce Daily is here to grab all the latest – hottest news and popular interview and bring them to you in a concise way. Enter your email address below to get the latest news and analysts' ratings for your stocks with our FREE daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Due to regulatory restrictions regarding the distribution of financial research, this report is restricted to a specific region or investor type. Get access to exclusive reports by answering the questions below. \-- Please Select United Kingdom France Afghanistan Albania Algeria American Samoa Andorra Angola Anguilla Antigua and Barbuda Argentina Armenia Aruba Australia Austria Azerbaijan Bahamas Bahrain Bangladesh Barbados Belarus Belgium Belize Benin Bermuda Bhutan Bolivia Bosnia and Herzegovina Botswana Brazil British Virgin Islands Brunei Darussalam Bulgaria Burkina Faso Burundi Ca Although market capitalization is key to consider, don’t invest (or not invest) based solely on it. It’s just one measure of value. As a serious shareholder, you need to look at plentiful factors that can assist you determine whether any given stock is a good investment. Despite the fact that a low P/E ratio may make a stock look like a good buy, factoring in the company's growth rate to get the stock's PEG ratio can tell a different story. The lower the PEG ratio, the more the stock may be undervalued given its earnings performance. The degree to which a PEG ratio value indicates an over or underpriced stock varies by industry and by company type; though a broad rule of thumb is that a PEG ratio below one is desirable. Also, the accuracy of the PEG ratio depends on the inputs used. Using historical growth rates, for example, may provide an inaccurate PEG ratio if future growth rates are predictable to deviate from historical growth rates. To distinguish between calculation methods using future growth and historical growth, the terms "forward PEG" and "trailing PEG" are sometimes used. Our mission is to provide unmatched news and insight on newsworthy and momentum stocks to potential traders looking to execute the best possible public and private capital allocation decisions. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell The one exception is the iPhone SE, which is locally manufactured. The price increase could diminish Apple’s under 3% market share in the country. Competitors Samsung and Xiaomi manufacture most of their phones locally. Apple has discussed increasing local manufacturing, but wants the government to offer tax breaks and other incentives. Complete the form below to receive the latest headlines and analysts' recommendationsfor Nordic American Tanker with our free daily email newsletter: Nordic American Tankers Limited is an international tanker company. The Company owns approximately 26 vessels, including approximately two new buildings under construction, of approximately 156,000 deadweight tonnage (dwt) each. The Company's Suezmaxes tankers can carry over one million barrels of oil. Long Ideas, Dividend Stocks, Share Buybacks, Earnings Quality Shazam is a crucial addition for Apple to compete with Spotify. The deal will turn out to be a valuable addition for Apple. Spotify was able to grow paying subscribers to 65 million in September, adding more than 2 million a month compared to 45 million in December of last year. Add another 80 million users of Spotify's ad-supported streaming service and Apple Music's user growth of 1 million a month turns out to be not as good as it appeared in the first place. And then there was Apple's $3 billion acquisition of Beats in 2014. What became of that? The headphones are still in stores, but looking at the $3 billion price tag, you would hope for a bigger impact. In my article covering Spotify, I identified having and using user data as key for music streaming services. Not only can user data be monetized directly, for example by selling useful data to record labels, artist management companies and bookings agencies, it can also be used in order to optimize the streaming service and customer experience. Nowadays, up-to-date music offerings and playlists are important factors to increase consumers' experience of the product (and try to convince them to pay for a subscription plan instead of free ad-supported streaming). Investors not familiar with the music industry may question the importance of data and the accuracy of playlists. Have a look at what one of the industry leaders Kobalt Music has to say about the importance of playlists. Note that this is from an artist perspective, but relevant nonetheless: > For artists, getting added to a popular playlist with a substantial following is everything. It can truly skyrocket both the sh ArcelorMittal offre 433 M$ pour Baffinland Iron Mines Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: [TRADE IDEAS REVIEW – IS THIS THE BEST STOCK SCANNER? Trade Ideas is arguably one of the top scanning tools available on the market right Trade Ideas Pro helps traders find the best setups in the market right NOW Scottrade and E*TRADE license Trade Ideas proprietary technology for their premium trading platforms. We have fully automated trading available through Lightspeed and Interactive Brokers. Get the Next Big Winner in your inbox Before the Bell Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Complete the form below to receive the latest headlines and analysts' recommendationsfor Realty Income with our free daily email newsletter: Realty Income Corporation is a real estate investment trust (REIT). The Company is engaged in in-house acquisition, portfolio management, asset management, credit research, real estate research, legal, finance and accounting, information technology and capital markets capabilities. As of December 31, 2016, the Company owned a diversified portfolio of 4,944 properties located in 49 states and Puerto Rico, with over 83.0 million square feet of leasable space leased to 248 different commercial tenants doing business in 47 separate industries. To request an unblock, please fill out the form below and we will review it as soon as possible. Our systems have detected unusual traffic from your computer network. Please try your request again later. Why did this happen? When taking a look at recommendations from analysts, investors can use the average brokerage recommendation score to determine the consensus take on a stock. The ABR is the calculated average of the actual recommendations (strong buy, hold, sell etc) made by the brokerage firms for a given stock. The ABR rank is displayed in the range of 1 to 5 where 1 represents a Strong Buy and 5 a Strong Sell. The ABR is solely based on brokerage recommendations. It’s important to note that analysts employed by brokerage firms have been and continue to be overly optimistic with their recommendations. Shares of GNC Holdings Inc (NYSE:GNC) currently have an ABR of 3.43, number of Recs in ABR is 7 while industry rank of the company by ABR is 221 of 265. Gambardella upgraded the rating on the company from Neutral to Overweight, with a price target of $7. Your weekly roundup of hot topics in the exciting world of fintech. for registering for Benzinga’s newsletters and alerts. • The Daily Analysts Ratings email will be received daily between 7am and 10am. • The Market in 5 Minutes email will be received daily between 7am and 8am. • The Fintech Focus email will be received every Friday between 2pm and 5pm. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell MenuHeadlines Business Technology Economy Personal Finance A total of 6 analysts have issued a research note on the company. 2 firms rating the stock a strong buy, 1 firm rating the stock a buy, 3 firms rating the stock a hold, 0 equity analysts rating the company a underperform, and finally zero equity analysts rating the company a sell with a one year target of $5.98. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Moreover, there could be a surge in infrastructure development, which would be key focus areas of the US President Donald T Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: [TRADE IDEAS REVIEW – IS THIS THE BEST STOCK SCANNER? Trade Ideas is arguably one of the top scanning tools available on the market right Trade Ideas Pro helps traders find the best setups in the market right NOW Scottrade and E*TRADE license Trade Ideas proprietary technology for their premium trading platforms. We have fully automated trading available through Lightspeed and Interactive Brokers. Get the Next Big Winner in your inbox Before the Bell Although market capitalization is key to consider, don’t invest (or not invest) based solely on it. It’s just one measure of value. As a serious shareholder, you need to look at plentiful factors that can assist you determine whether any given stock is a good investment. Despite the fact that a low P/E ratio may make a stock look like a good buy, factoring in the company's growth rate to get the stock's PEG ratio can tell a different story. The lower the PEG ratio, the more the stock may be undervalued given its earnings performance. The degree to which a PEG ratio value indicates an over or underpriced stock varies by industry and by company type; though a broad rule of thumb is that a PEG ratio below one is desirable. Also, the accuracy of the PEG ratio depends on the inputs used. Using historical growth rates, for example, may provide an inaccurate PEG ratio if future growth rates are predictable to deviate from historical growth rates. To distinguish between calculation methods using future growth and historical growth, the terms "forward PEG" and "trailing PEG" are sometimes used. Our mission is to provide unmatched news and insight on newsworthy and momentum stocks to potential traders looking to execute the best possible public and private capital allocation decisions. Cellphone footage shows Edward Collins, a former shipyard supervisor at Archer Daniels Midland in Waggaman, swinging a hangman's noose at a group of black laborers who had been discussing the removal of Confederate monuments in New Orleans. Collins was fired from the company, and Archer Daniels Midland, and three federal lawsuits have been filed against Collins. Cellphone footage shows Edward Collins, a former shipyard supervisor at Archer Daniels Midland in Waggaman, swinging a hangman's noose at a group of black laborers who had been discussing the removal of Confederate monuments in New Orleans. Collins was fired from the company, and Archer Daniels Midland, and three federal lawsuits have been filed against Collins. Three federal lawsuits have been filed over the actions of a Waggaman shipyard supervisor who swung a hangman's noose at a group of black laborers who had been discussing the removal of Confederate monuments in New Orleans. The incident, which was captured on cellphone video, prompted the firing of the supervisor, Edward Collins, who according to the lawsuits had a history of bullying African-American workers assigned to shipbuilding jobs at Archer Daniels Midland. Colin McBean, an Archer Daniels spokesman, said the company terminated Collins earlier this year and ordered its employees to undergo ethics and sensitivity training. The group Take 'Em Down NOLA on Thursday renewed its call to eliminate more monuments celebrating slave owners and Confederate officials in Ne… But the lawsuits, filed in U.S. District Court in New Orleans, accuse the agricultural processing company of allowing Collins to remain on the job for weeks following the controversy — including after more than a dozen black employees signed a petition demanding an investigation. One of the lawsuits says Archer Daniels Midland not only failed to discipline Collins but "asked him to return to finish a particular shipbuilding contract" after the noose incident. The incident occurred June 12 at the shipyard in Waggaman, as several crew members on a break were discussing the controversial remov SectorAerospace & DefenseApparelBusiness ServicesChemicalsEnergyEngineering & ConstructionFinancialsFood & Drug StoresFood, Beverages & TobaccoHealth CareHotels, Resturants & LeisureHousehold ProductsIndustrialsMaterialsMediaMotor Vehicles & PartsRetailingTechnologyTelecommunicationsTransportationWholesalers IndustryAerospace and DefenseAirlinesApparelBanks: Commercial and SavingsBeveragesBuilding Materials, GlassChemicalsComputer SoftwareComputers, Office EquipmentConstruction and Farm MachineryDiversified FinancialsElectronics, Electrical Equip.EnergyEngineering, ConstructionEntertainmentFood Consumer ProductsFood ProductionFood ServicesFood and Drug StoresGeneral MerchandisersHealth Care: Insurance and Managed CareHealth Care: Medical FacilitiesHousehold and Personal ProductsIndustrial MachineryInformation Technology ServicesInsurance: Life, Health (Mutual)Insurance: Life, Health (stock)Insurance: Property and Casualty (Mutual)Insurance: Property and Casualty (Stock)Internet Services and RetailingMail, Package, and Freight DeliveryMetalsMining, Crude-Oil ProductionMiscellaneousMotor Vehicles and PartsNetwork and Other Communications EquipmentOil and Gas Equipment, ServicesPetroleum RefiningPharmaceuticalsPipelinesRailroadsReal estateSemiconductors and Other Electronic ComponentsShippingSpecialty RetailersTelecommunicationsTemporary HelpTradingUtilitiesWholesalers: DiversifiedWholesalers: Electronics and Office EquipmentWholesalers: Food and GroceryWholesalers: Health Care StateIndianaOhioKentuckyOregonMarylandPennsylvaniaMassachusettsRhode IslandMichiganTennesseeMinnesotaTexasMissouriVirginiaNebraskaWashingtonNew JerseyArizonaArkansasCaliforniaColoradoConnecticutDelawareDistrict of ColumbiaFloridaGeorgiaWashington DCNew YorkWisconsinIllinoisNorth Carolina CityAmsterdamArmonkArteixoAtlantaAurora, OntarioBaarBad HomburgBangaloreBangkokBarcelonaBaselBeavertonBeijingBella VistaBentonvilleBerlinBethesdaBilbaoBloomfieldBloomingtonBolognaBonnBostonBoulogne- BillancourtBradfordBrasíliaBrentfordBrusselsBurbankCalgary, AlbertaCamp HillCentennialChangchunChangzhiCharlotteChertseyChesterbrookChibaChicagoCincinnatiClearwaterClermont- FerrandClichyCologneColumbusCopenhagenCourbevoieCroixCupertinoDaeguDallasDatongDearbornDeerfieldDetroitDiemenDocklandsDubaiDublinDüsseldorfEdinburghEssenFairfieldFalls ChurchFarmingtonFindlayFort WorthFoshanFoster CityFraminghamFrankfurtFranklinFriedrichshafenFuzhouGlattbruggGuangzhouGuixiGöteborgHaikou CityHamamatsuHamburgHangzhouHanoverHartfordHiroshimaHoffman EstatesHong KongHopkintonHounslowHoustonHsinchuIndianapolisInver Grove HeightsIrvineIrvingIssaquahIssy-les-MoulineauxIstanbulJakartaJeollanam- doJinanJinchengJonaKariyaKarlsruheKenilworthKuala LumpurLakelandLaval, QuebecLeidenLeuvenLeverkusenLondonLouisvilleLudwigshafenLuxembourgMadridMannheimMcLeanMelbourneMemphisMexico CityMiamiMidlandMilanMilwaukeeMinneapolisMinnetonkaMolineMontreal, QuebecMooresvilleMorris PlainsMoscowMountain ViewMumbaiMunichNagoyaNanjingNashvilleNew BrunswickNew DelhiNew Taipei CityNew YorkNewarkNewburyNorth ChicagoNorthbrookOak BrookOmahaOsakaOsascoPalo AltoParisPeoriaPerthPhiladelphiaPhoenixPlockPurchaseRedmondRedwood CityRichfieldRio de JaneiroRiyadhRomeRosemontRotterdamRueil-MalmaisonSan AntonioSan DiegoSan FranciscoSan JoseSan RamonSanta ClaraSeattleSeoulShandongShanghaiShenzhenShijiazhuangSingaporeSpringdaleSpringfieldSt. DenisSt. LouisSt. PaulStavangerStockholmStuttgartSuwonSydneySão PauloTaipeiTaiyuanTaoyuanThe HagueThousand OaksTianjinTokyoToronto, OntarioToyotaTriesteTurinUlsanUtrechtVeveyViennaWalldorfWalthamWashingtonWelwyn Garden CityWhite PlainsWilmingtonWindsorWolfsburgWoonsocketWuhanXi'anXingtaiYangquanYokohamaZaandamZeistZhangjiagangZugZurich SELECT A YEAR2017201620152014201320122011201020092008200720062005200420032002200120001999199819971996 The Morning Consult Brand Index is an indicator of brand strength among consumers. Each Fortune 500 company receives a score based on a ratio of favorable to unfavora Drones have been regularly linked to deployment as weapons, but more and more positive deployments are being devised for the new masters of the skies. In Africa, drones are undertaking life-saving tasks… SMi Group is proud to present its 2nd annual conference on Drug Discovery, taking place on 21st-22nd of March 2018 in Central London. This conference will bring together key opinion leaders and senior industry experts to discuss the latest developments in drug discovery strategies. As the industry is experiencing radical changes in approaches to the discovery of new compounds, it is vital to look beyond to the next generation of enabling tools and technologies. This will assist rational, fast and successful drug discovery. Drug Discovery 2018 provides an unprecedented opportunity to gain insight into the use of Artificial Intelligence in in silico drug discovery, as well as discussing 3D structure based-discovery, medicinal and discovery chemistry, translational medicine and the use of CRISPR cas-9 gene editing techniques and PROTAC's. \- Learn about the latest methods of predicting drug kinetics and toxicity early on in the pre-clinical process to speed up the drug discovery process and increase the potential success of newly discovered drugs. Darren Green is Director of Molecular Design, GlaxoSmithKline. Based at Stevenage, his group specialises in the application of molecular design, data analysis, predictive modelling and chemoinformatics methods to drug discovery. Darren also leads the Compound Collection Enhancement strategy for GSK. Darren has a PhD in Theoretical Chemistry from the University of Manchester and is a Fellow of the Royal Society of Chemistry. Dr Stevan Djuric is head of the global AbbVie Medicinal Chemistry Leadership Team at Abbott and is also responsible for the Discovery Chemistry and Technology organization within their Discovery organization and chemistry outsourcing activities. The group's current efforts are focused on new initiatives in the areas of high throughput synthesis and purification, hit to lead chemistry, chemical biology including target identification proteomics and new enabling technology identification and development. He was named an AbbVie Distinguished Research Fellow in 2015 During his tenure at Abbott Laboratories, Dr Djuric has been a Project Leader for groups in the Immunoscience, Metabolic Disease, and Antiinfective areas. Several of these programs have advanced compounds into clinical development and to the market including Abbott's proprietary rapamycin analog, Zotarolimus, currently licensed to Medtronics for use on their vascular stents, marketed in the United States and Europe. Dr Djuric has over 180 scientific publications, presentations and patents/applications pending. He has also given over 30 invited lectures at universities and national meetings. He is a member of several Editorial Advisory Boards including the Journal of Medicinal Chemistry and ACS Medicinal Chemistry Letters and, in addition, holds an Adjunct Professorship in the Department of Medicinal Chemistry at the University of Kansas. • Reducing cycle times and costs whilst improving the probability of technical success in the Drug Discovery process • Advances in the development and introduction of several new enabling chemistry technologies, including flow photochemistry • Integrating synthesis, purification and bioassay platforms • Developing heterocycle synthesis by using a high temperature chemistry flow reactor He received his PhD at the University of Geneva and a post-doc at Tokyo before joining F. Hoffmann-La Roche Ltd in 2001. His research has mainly been devoted to the areas of neuroscience (for example neurokinin receptors, or V1a receptor antagonist now in human clinical trials, phase II, for autism). In 2005, he participated in a secondment within the Roche group at Chugai Pharmaceutical Co. Ltd, Gotemba Japan, in the field of renal disease. He was the chemistry discovery project l Highlights aus dem Online Only Sortiment The documents contained in this web site are presented for information purposes only. The material is in no way intended to replace professional medical care or attention by a qualified practitioner. The materials in this web site cannot and should not be used as a basis for diagnosis or choice of treatment. Diakonie Österreich supports people in difficult life situations – in sickness and in social emergencies, as refugees and in the wake of natural disasters. Diakonie promotes the inclusion of disabled people, accompanies those needing care and also in their old age, invests in educational opportunities for children and teenagers alike. Diakonie ranks amongst the five largest social organizations in Austria. It comments on social policy and takes a stand for the rights and the safety of people in emergency situations. Diakonie is committed to the Protestant tradition, in which the freedom that is gifted to a person results in responsibility for others. Diaconal action not only means helping people in need, it is also always a protest, calling for changes in the conditions that provoke the distress _._ You do not have permission to access this document. Highlights aus dem Online Only Sortiment 2 --used to indicate the person or thing toward which an action, motion, or feeling is directed or aimed allowing a liquid or gas to pass through You may have mistyped the address or the page may have moved. If you are the application owner check the logs for more information. Sorry, unless you really were hoping to find our 404 message, the page you were looking for has been moved or deleted Gain greater insights and innovate faster Innovate with the cloud built for cognitive business Outthink the future by unleashing cognitive technologies Create customer relationships that last Transform your industry by learning from the connected world Build the foundation for cognitive business Develop and deploy trusted mobile experiences Prevent, detect and respond to enterprise threats Improve value with connection and collaboration tools Engage the power of cognitive computing CSC Computer Sciences Consulting Austria GmbH a money of account of Laos, the 100th part of a kip. British Dictionary definitions for at Expand used to indicate location or position: are they at the table?, staying at a small hotel used to indicate the object of an emotion: angry at the driver, shocked at his behaviour Old English æt; related to Old Norse at to, Latin ad to a Laotian monetary unit worth one hundredth of a kip Online Etymology Dictionary, © 2010 Douglas Harper Cite This Source The American Heritage® Stedman's Medical Dictionary Copyright © 2002, 2001, 1995 by Houghton Mifflin Company. Published by Houghton Mifflin Company. Cite This Source All English speakers likely know this word GroupGroupCombined ShapePage 1Page 1Combined ShapePage 1Triangle Page 1Page 1Page 1Page 1Page 1Page 1Page 1Page 1Page 1Page 1Page 1 Rectangle 9 Combined ShapeCombined ShapePage 1Page 1Page 1Page 1Page 1AAAAPage 1 Page 1Page 1Page 1Page 1Page 1Page 1Page 1Page 1Page 1Page 1Page 1Page 1Page 1 The requested document was not found on this server. 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Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. * Yonghui Superstores has more than 580 outlets in China You are banned from this site. Please contact via a different client configuration if you believe that this is a mistake. Copryright © 2008 Editions du Boisbaudry Retail At Auchan Holding SA Supermarket As Ukraine's Economy Recovers At Sluggish Pace Retail At Auchan Holding SA Supermarket As Ukraine's Economy Recovers At Sluggish Pace Retail At Auchan Holding SA Supermarket As Ukraine's Economy Recovers At Sluggish Pace Retail At Auchan Holding SA Supermarket As Ukraine's Economy Recovers At Sluggish Pace Retail At Auchan Holding SA Supermarket As Ukraine's Economy Recovers At Sluggish Pace Retail At Auchan Holding SA Supermarket As Ukraine's Economy Recovers At Sluggish Pace Retail At Auchan Holding SA Supermarket As Ukraine's Economy Recovers At Sluggish Pace Retail At Auchan Holding SA Supermarket As Ukraine's Economy Recovers At Sluggish Pace Retail At Auchan Holding SA Supermarket As Ukraine's Economy Recovers At Sluggish Pace Retail At Auchan Holding SA Supermarket As Ukraine's Economy Recovers At Sluggish Pace Retail At Auchan Holding SA Supermarket As Ukraine's Economy Recovers At Sluggish Pace E-commerce powerhouse aims to ramp up international expansion with strategic partners Auchan Retail of France and Taiwan’s Ruentex Group It is a familiar scene each morning in China – lines of shoppers, many of them retirees, queuing up outside their neighbourhood supermarket. Once the doors open, they dash for the fully stocked bins to select the choicest cuts of meat and the freshest vegetables and fruits. On Monday, Alibaba Group Holding unveiled its strategic alliance with French company Auchan Retail and Taiwanese conglomerate Ruentex Group that is expected to help expand worldwide the Chinese e-commerce giant’s “New Retail” initiative, which combines the strengths of online shopping with those of physical retail stores. Auchan Retail, which formed Sun Art Retail as a joint venture with Ruentex in 1998, said it has raised its stake in the Wan Chai-based hypermarket chain to 36.18 per cent for an undisclosed amount. Ruentex retained a 4.67 per cent interest in the venture. “We will be going to the global market with this alliance,” Alibaba chief executive Daniel Zhang Yong said in a press conference in Hong Kong on Monday. That would entail tapping the offline expertise of Auchan Retail, which operates in 17 countries and is widely regarded as one of the world’s five largest food retailers. It has 3,715 so-called points of sales, including hypermarkets, supermarkets and convenience stores. He pointed out that Alibaba currently has a strong online retail presence in Southeast Asia, via subsidiary Lazada Group, as well as fast-developing businesses in Russia, Spain, France and the United States through international retail marketplace AliExpress. With the investment in Sun Art Retail, Alibaba gains access to the chain’s 446 hypermarkets that operate under the RT-Mart and Auchan brands across 29 provinces in China. The company also runs superstores and unmanned outlets under the Auchan Minute brand. “Sun Art is the largest and one of the most respected grocery players in China, while Alibaba already has a large grocery business – making this an alliance between two leading players in retail,” Chan and Penhirin said. Alibaba operates Hema, a supermarket chain where shoppers can place orders and pay for groceries and other products through a mobile app, with deliveries made from the store or from nearby logistics centres. If Hema is any guide, the RT-Mart and Auchan Topographic map of Australia. Dark green represents the lowest elevation and dark brown the highest A clickable map of Australia's states, mainland territories and their capitals Have you received a username and password to the Archery Australia Membership Database? Do you receive emails and newsletters from Archery Australia? Copyright 2017 by DotNetNuke Corporation Yes, you do. When you buy iPhone from the Apple website, it is sold unlocked. You can contact a carrier directly to learn about the plans available for iPhone. Buying a SIM-free iPhone from the Apple website allows you to choose your own carrier and change carriers at any time. iPhone may also be available at a lower price with a contract directly from your carrier. Carriers typically sell iPhone with a contract that subsidises the initial purchase price. By purchasing your iPhone without a contract, you can use any SIM card from a compatible carrier, including your current one. Yes. iPhone is enabled to work on networks using GSM around the world. Because an iPhone sold on the Apple website is unlocked, you can purchase a SIM card and service from a local carrier at your destination. Or check with your home carrier regarding international roaming charges. No. Orders placed through the Apple website can be shipped only within the country of purchase. You can also shop for friends and family members in countries where iPhone is sold. Just visit the Apple website of the country where you want your products delivered. Or for fast, easy ordering and expert advice, just call an Apple Store Specialist on 133-622. I currently use a case on my iPhone 8 Plus and have no issues charging the phone on a wireless Qi ch I currently use a case on my iPhone 8 Plus and have no issues charging the phone on a wireless Qi charger. The case I am using is someone thin, but also tested it with a little thicker one, both are plastic. I also use a magnetic car mount. I did have to position the metal plate and stick it to the case at the bottom of the phone. Keeping clear the wireless charging area which is about a 2 inch circle in the middle of the back of the phone. More(Read full answer) Yes you can! I discovered this by accident in my car. I play music through my car speakers and have Yes you can! I discovered this by accident in my car. I play music through my car speakers and have an AirPod in my ear, when I receive a phone call it rings differently and it’s through the AirPod, when I answer, it automatically puts the call in my ear, when I hang up it sometimes will leave the music in my ear, when it does this I just hit the play/pause button on the stereo and it moves the music back to the car. The same is true when I use a portable Bluetooth speaker in place of the car in the above example. Extra info....also when I look in my Bluetooth settings there is always 1 to 3 of my tile devices connected as well. Hope this helps, cheers! More(Read full answer) All Titles TV Episodes Names Companies Keywords Quotes Bios Plots # The leading information resource for the entertainment industry Set in northern Australia before World War II, an English aristocrat who inherits a sprawling ranch reluctantly pacts with a stock-man in order to protect her new property from a takeover plot. As the pair drive 2,000 head of cattle over unforgiving landscape, they experience the bombing of Darwin, Australia, by Japanese forces firsthand. a list of 31 titles created 27 Jan 2011 a list of 38 titles created 28 Aug 2011 a list of 25 titles created 09 Sep 2012 a list of 27 titles created 24 Jun 2014 a list of 43 titles created 13 Jul 2015 You must be a registered user to use the IMDb rating plugin. 209 of 389 people found this review helpful. Was this review helpful to you? Yes No Find showtimes, watch trailers, browse photos, track your Watchlist and rate your favorite movies and TV shows on your phone or tablet! for our customers, staff and the communities in which we operate. for our customers and we in Complete the form below to receive the latest headlines and analysts' recommendationsfor AutoNation with our free daily email newsletter: AutoNation declared that its Board of Directors has approved a stock buyback plan on Tuesday, August 29th that authorizes the company to repurchase $250.00 million in shares. This repurchase authorization authorizes the company to repurchase up to 6% of its shares through open market purchases. Shares repurchase plans are often a sign that the company's leadership believes its stock is undervalued. AutoNation, Inc (AutoNation) is an automotive retailer in the United States. The Company offers a range of automotive products and services, including new vehicles, used vehicles, parts and service, which includes automotive repair and maintenance services, as well as wholesale parts and collision businesses, and automotive finance and insurance products, including vehicle service and other protection products, as well as the arranging of financing for vehicle purchases through third-party finance sources. Our servers have seen too many requests from you recently. If you feel this block is in error, please contact us using the form below. Complete the form below to receive the latest headlines and analysts' recommendationsfor AutoNation with our free daily email newsletter: AutoNation announced that its Board of Directors has authorized a stock buyback plan on Tuesday, August 29th that permits the company to buyback $250.00 million in shares. This buyback authorization permits the company to buy up to 6% of its shares through open market purchases. Shares buyback plans are generally a sign that the company's leadership believes its stock is undervalued. AutoNation, Inc (AutoNation) is an automotive retailer in the United States. The Company offers a range of automotive products and services, including new vehicles, used vehicles, parts and service, which includes automotive repair and maintenance services, as well as wholesale parts and collision businesses, and automotive finance and insurance products, including vehicle service and other protection products, as well as the arranging of financing for vehicle purchases through third-party finance sources. Additionally, a 404 Not Found error was encountered while trying to use an ErrorDocument to handle the request. Click a content type to see the kinds of filters available within it. Most filters have many criteria you can choose from, which change depending on your search term. You can search Yahoo sites like Sports, Finance, Shopping, Autos, and more, for Yahoo originals and content and results we've curated from around the Web. Choose between listings and articles on Yahoo Autos. Search the latest celebrity news available on Yahoo Celebrity. AutoNation announced that its Board of Directors has approved a stock buyback plan on Tuesday, August 29th that permits the company to buyback $250.00 million in outstanding shares. This buyback authorization permits the company to purchase up to 6% of its shares through open market purchases. Shares buyback plans are generally a sign that the company's board believes its stock is undervalued. AutoNation, Inc (AutoNation) is an automotive retailer in the United States. The Company offers a range of automotive products and services, including new vehicles, used vehicles, parts and service, which includes automotive repair and maintenance services, as well as wholesale parts and collision businesses, and automotive finance and insurance products, including vehicle service and other protection products, as well as the arranging of financing for vehicle purchases through third-party finance sources. Enter your email address below to get the latest news and analysts' ratings for AutoNation with our FREE daily email newsletter: AutoNation declared that its board has initiated a stock buyback program on Tuesday, August 29th that allows the company to buyback $250.00 million in shares. This buyback authorization al WikiNow lets you discover the news you care about, follow the topics that matter to you and share your favourite stories with your friends. The Czech machinery firm PBS has landed a contract to develop a micro turbine for a new Chinese jetliner. The deal with the Hongdu Aviation Industry Group was sealed during the visit of Czech President Miloš Zeman to China. Miloš Zeman in the Czech ... AVIC Hongdu Aviation Industry Corp Nanchang, Jiangxi Province – Hongdu manufactures aft fuselage and key components of front fuselage. Hongdu is traditionally a training jet manufacturer and has achieved OEM orders from Goodrich, Vought, Bombardier ... Other improvements, such as the adoption of an aeroastrodynamics layout from a third-generation fighter plane, enable the new plane to bring precision and immediate responsiveness to the control of the engine's operation for a change of the plane nose ... 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Do your own due diligence before making any investment decisions. You are banned from this site. Please contact via a different client configuration if you believe that this is a mistake. The page you were looking for may have been removed. You may have typed the wrong URL in the address bar. Although unlikely, there could have been a technical error on our site. Stock chart is not supported by your current browser We own nearly 30 listed companies, of which 8 are listed overseas. Companies Listed on Shanghai Stock Exchange The Aviation Industry Corporation of China (AVIC) was founded on November 6th, 2008 through the restructuring and consolidation of the China Aviation Industry Corporation Ⅰ (AVIC Ⅰ) and the China Aviation Industry Corporation Ⅱ (AVIC Ⅱ). We are centered on aviation and provide complete services to customers in many sectors - from research and development to operation, manufacturing and financing. Our business units cover defense, transport aircrafts, helicopters, avionics and systems, general aviation, research and development, flight testing, trade and logistics, assets management, finance services, engineering and construction, automobiles and more. We have over 100 subsidiaries, nearly 27 listed companies and more than 450,000 employees. News Corp is a network of leading companies in the worlds of diversified media, news, education, and information services. Overview Profile Financials Income Statement Balance S # 5 of the FTSE 100’s best growth opportunities? Centrica PLC, Next plc, Aviva plc, Royal Dutch Shell Plc and British American Tobacco plc In my view, Centrica faces an uncertain future. The company is in the process of changing its business model at a time when the outlook for the domestic energy supply industry is challenging. Price caps and political risk remain in play, and this could hurt investor sentiment towards the sector. However, with a 7% dividend yield and cost savings expected to be delivered, Centrica seems to have investment appeal in the long run. Next also faces a difficult outlook. Consumer disposable incomes are down due to higher CPI inflation, and this situation may last over the medium term. Next therefore may need to invest in pricing or accept lower sales in future months. However, with a P/E of 11 and a relatively impressive dividend outlook, the company continues to be one of my top picks in the retail sector. Aviva has really impressed me in recent years. The company has been able to successfully restructure and this has allowed it to deliver improved financial performance. In spite of this, investor sentiment in the company remains low. Aviva has a P/E of around 9 using 2018’s forecast EPS and this means it could have investment appeal for the long run. Shell is another FTSE 100 company that I’m bullish about. It has been able to develop a strategy which is set to see it improve free cash flow significantly over the next few years. This could make its dividend more sustainable and even allow it to increase. With Shell’s balance sheet appearing to be relatively robust, it could offer a solid risk to reward ratio for the long run. British American Tobacco is still one of my favourite shares in the FTSE 100. Part of the reason for this is its exposure to the next generation products space, where its new products seem to be gaining traction. British American Tobacco has a significant amount of pricing power in my view and this may provide it with defensive qualities to add to its long term growth potential. By continuing to use the site, you agree to the use of cookies. more information Accept Individual Investor Business Executive Wirehouse Financial Advisor RIA Institutional Investor Complete the form below to receive the latest headlines and analysts' recommendationsfor Aviva plc with our free daily email newsletter: * Name * Country United States All Canada Australia France Germany Hong Kong Italy Japan Netherlands New Zealand Norway South Africa Spain Sweden Switzerland United Kingdom * Security Type All Stock Fund Index Currency * Complete the form below to receive the latest headlines and analysts' recommendationsfor Aviva with our free daily email newsletter: There are too many sessions currently in use on this account Ratings on over 170,000 corporate, government and structured finance securities. Information about training seminars, briefings, and teleconferences. Listings of issuers under review for rating changes. 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Please refer to the Research tab on th Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell MarketBeat empowers retail investors to make better trading decisions by providing real-time financial data and objective market analysis. Whether you’re looking for analyst ratings, corporate buybacks, dividends, earnings, economic reports, insider trades, IPOs, SEC filings or stock splits, MarketBeat has the objective information you need to analyze any stock. Get analysts' upgrades, downgrades and new coverage delivered to your email inbox with our free daily newsletter: Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: [TRADE IDEAS REVIEW – IS THIS THE BEST STOCK SCANNER? Trade Ideas is arguably one of the top scanning tools available on the market right Trade Ideas Pro helps traders find the best setups in the market right NOW Scottrade and E*TRADE license Trade Ideas proprietary technology for their premium trading platforms. We have fully automated trading available through Lightspeed and Interactive Brokers. Get the Next Big Winner in your inbox Before the Bell Complete the form below to receive the latest headlines and analysts' recommendationsfor SL Green Realty with our free daily email newsletter: SL Green Realty declared that its board has authorized a stock repurchase program on Friday, December 1st that permits the company to buyback $500.00 million in outstanding shares. This buyback authorization permits the real estate investment trust to purchase shares of its stock through open market purchases. Stock buyback programs are often a sign that the company's board of directors believes its shares are undervalued. Complete the form below to receive the latest headlines and analysts' recommendationsfor Avnet with our free daily email newsletter: Avnet declared that its board has initiated a stock repurchase plan on Friday, November 10th that permits the company to repurchase $200.00 million in outstanding shares. This repurchase authorization permits the technology company to purchase shares of its stock through open market purchases. Shares repurchase plans are often an indication that the company's board of directors believes its shares are undervalued. Complete the form below to receive the latest headlines and analysts' recommendationsfor Hexcel with our free daily email newsletter: Hexcel Corporation is a composites company. The Company develops, manufactures, and markets lightweight, structural materials, including carbon fibers, specialty reinforcements, prepregs and other fiber-reinforced matrix materials, honeycomb, adhesives, engineered honeycomb and structures, for use in Commercial Aerospace, Space and Defense and Industrial markets. Complete the form below to receive the latest headlines and analysts' recommendationsfor Avnet with our free daily email newsletter: Avnet announced that its Board of Directors has initiated a share buyback program on Friday, November 10th that allows the company to repurchase $200.00 million in outstanding shares. This repurchase authorization allows the technology company to buy shares of its stock through open market purchases. Stock repurchase programs are typically a sign that the company's board believes its stock is undervalued. When watching the day to day movements of the market, investors often have to be careful not to let external factors cloud their judgment. From time to time, there may be certain stocks taking off that look highly tempting to purchase. Getting into a position based on short-term price movements may be a specific strategy for some, but it may be highly costly for others. Even if a stock has been on a big run that the investor might have missed out on, there is no guarantee that the run will continue higher. Although there may be potential in highly publicized stocks, it may be wi Complete the form below to receive the latest headlines and analysts' recommendationsfor The Valspar with our free daily email newsletter: This is a breakdown of current ratings and price targets for The Valspar and Axalta Coating Systems, as reported by MarketBeat.com. This table compares The Valspar and Axalta Coating Systems' net margins, return on equity and return on assets. Axalta Coating Systems beats The Valspar on 7 of the 13 factors compared between the two stocks. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Complete the form below to receive the latest headlines and analysts' recommendationsfor AveXis with our free daily email newsletter: AveXis, Inc is a clinical-stage gene therapy company. The Company operates through the developing and commercializing gene therapy treatments for patients suffering from neurological genetic diseases segment. The Company's product candidate, AVXS-101, is its gene therapy product candidate that is in a Phase I clinical trial for the treatment of spinal muscular atrophy (SMA) Type 1, which is a genetic disorder characterized by motor neuron loss and associated muscle deterioration. Complete the form below to receive the latest headlines and analysts' recommendationsfor Axalta Coating Systems with our free daily email newsletter: Axalta Coating Systems Ltd. is a holding company. The Company is a manufacturer, marketer and distributor of coatings systems primarily serving the transportation industry. The Company's segments include Performance Coatings and Transportation Coatings. Through its Performance Coatings segment, the Company provides liquid and powder coatings solutions to a fragmented and local customer base. In 1953 Axalta predecessor DuPont published the first annual Color Popularity Report, the first in the industry to have extensive global data in one report. The firm developed L,a,b color equations, an important component of modern color science. It introduced the first waterborne electrical steel coating in the industry in the 1960s.[3] Although advertisements on the web pages may degrade your experience, our business certainly depends on them and we can only keep providing you high- quality research based articles as long as we can display ads on our pages. We follow over 700 hedge funds and other institutional investors and by analyzing their quarterly 13F filings, we identify stocks that they are collectively bullish on and develop investment strategies based on this data. One strategy that outperformed the market over the last year, involves selecting the 100 best-performing funds and identifying the 30 mid-cap stocks that they are collectively most bullish on. Over the past year, this strategy generated returns of 18%, topping the 8% gain registered by S&P 500 ETFs. To request an unblock, please fill out the form below and we will review it as soon as possible. Get started making money with IBD and make smarter investing decisions. Take a tour to find out how! Download the redesigned IBD App today for premium features on your phone! Theresa Thorn has more than seven years of success in Sales and Business Development Executive roles and a history of leading revenue growth, profit margins, client acquisition, and customer satisfaction to new heights for small firms. Her background includes Sales and Business Development Executive roles boosting revenue and launching pioneering sales and marketing strategies in complex, dynamic environments that increase revenue and profits. She is predominantly strong in identifying and optimizing new business opportunities while expanding revenue from existing accounts. She is equally brilliant in gaining trusted advisor status with client executives and other decision makers. Email: theresathorn@nasdaqtimes.com Founded in 2016, The NASDAQ Times is a dynamic and innovative financial media outlet. UltraStrip Systems, Inc. announced the signing of a five year exclusive agreement with BAE Systems ship yard subsidiaries in San Francisco and San Diego to provide its patented robotic automated waterjetting technology equipment and services. UltraStrip's robotic technology will perform high speed coating removal services to the shipyard's customers, including U.S. Navy vessels, oil tankers, cruise ships, bulk carriers, and container ships. BAE Systems San Francisco and BAE Systems San Diego are subsidiaries of BAE Systems Ship Repair, Inc., a group of companies owned by U.K. based BAE Systems. Australian defense contractor BAE Systems Australia has recently made an investment in a broad range of SSI software and services. BAE has purchased new ShipConstructor software seats and Subscriptions while also investing in software license rentals under SSI’s flexible pay as you go model. Included as part of BAE’s investment were upgrades to its SSI ShipConstructor Workshare software to allow the company to distribute CAD/CAM work across multiple locations. BAE will also be implementing SSI’s innovative information sharing application called EnterprisePlatform PublisherLT which will allow BAE to streamline its engineering processes. BAE realized that to maximize the value of its software, proper staff training was essential. Mast modules for the 27,000 tonne Landing Helicopter Dock (LHD), fabricated and constructed at BAE Systems Henderson, facility are now completed and ready to be transported to Melbourne. The three mast modules weighing between 19 and 36 tonnes will form part of the superstructure of the LHDs and will house equipment including communication and combat systems, navigation and air traffic control radars and infrared search and track sensors. The mast modules will be loaded onto the heavy lift ship Henan Scan berthed at BAE Systems wharf at their Henderson load-out facility. According to reports, BAE Systems and VT, revealed that they were considering a joint bid for Babcock, the support services and shipbuilding group, in a move that could trigger the consolidation of Britain's warship construction capability. VT could join with Babcock as a support services group, which could then sell VT's shipbuilding business to BAE and still have critical mass. This would create a single shipbuilding entity in BAE, which would find it easier to cut capacity and become more efficient. Source: The Guardian and The Financial Times Sener Ingenieria y Sistemas S.A closed a contract with UK-based BAE Systems PLC for the license to use the FORAN CAD/CAM System in its shipbuilding activities. According to the contract, FORAN can be implemented in any BAE Systems Group company, any member of the Aircraft Carrier Alliance as well as in any subcontractor of the above companies. FORAN is currently implemented at the following BAE Systems Group companies: \- BAE Systems Submarine Solutions, Barrow-in-Furness \- BAE Systems Surface Fleet Solutions Limited, Scotstoun, Glasgow As a first result of the contract, about 200 licences have been installed at both sites. These licenses are currently being used for developing the different stages of the CVF project as well as for internal training. VT Group is under pressure from the Ministry of Defense to agree to the framework of a deal to merge its shipbuilding assets with BAE Systems by Christmas. VT and BAE are in discussions to consolidate what remains of the British shipbuilding industry. An initial attempt to merge the assets at the start of this year failed when Babcock, the engineering company, demanded too high a price for its ship-repair facilities. Under pressure from the MoD, VT and BAE have begun talks again. Babcock is not involved this time, but Paul Lester, chief executive of VT, said yesterday that the merged shipbuilder, dubbed Shipco, eventually could buy Babcock’s facility at Rosyth, Fife. 750 W. BAE Systems, Inc. is the U.S. subsidiary of BAE Systems plc, a global defens Additionally, a 404 Not Found error was encountered while trying to use an ErrorDocument to handle the request. Sorry the page you were looking for could not be found. The requested document was not found on this server. The following were nominated for World's Leading Online Travel Agency Website 2015 Subscribe to the World Travel Awards newsletter to keep up to date with our latest news. Be the first to receive the latest London events and deals information: All The Best Accident and Emergency Banks Bureaux de Change Dentists Embassies Emergency Helplines Hair and Grooming Hospitals Late Night Chemists Libraries London Boroughs Lost / Stolen Credit Cards New Hotels Opticians Places of Worship Post Offices Travellers Cheques Dean Street Townhouse, 69-71 Dean Street Soho W1D 40 Winks, 109 Mile End Road Tower Hamlets E1 St. Pancras Renaissance Hotel, Euston Road Bloomsbury NW1 Spex in the City, 1 Shorts Gardens Covent Garden WC2H City of London, PO Box 270, Guildhall Clerkenwell EC2P Pond Square Dental Practice, 21 Pond Square, Highgate N6 Pancras Square Library, 5 Pancras Square Bloomsbury N1C Great Ormond Street Hospital for Children, Great Ormond Street Bloomsbury WC1N St Thomas' Hospital, Lambeth Palace Road South Bank SE1 The Women's Library, 25 Old Castle Street Spitalfields E1 The Lanesborough, Hyde Park Corner Belgravia SW1X St Bride Library, Bride Lane, Fleet Street City EC4Y Chiltern Firehouse, Chiltern Street Marylebone W1U Four Seasons Hotel London at Ten Trinity Square, 10 Trinity Square Clerkenwell EC3P Art'otel London Hoxton, Great Eastern Street Shoreditch EC2A Four Seasons Heron Tower, 110 Bishopsgate City EC2N Jumeirah One Blackfriars Road, 1-10 Blackfriars South Bank SE1 The Beaumont, 8 Balderton Street Mayfair W1K Search for acronyms, abbreviations, definitions and topics Additionally, a 404 Not Found error was encountered while trying to use an ErrorDocument to handle the request. Banco Bilbao Vizcaya Argentaria, SA (BBVA) is a diversified financial company engaged in retail banking, wholesale banking, asset management and private banking. Its segments include Banking Activity in Spain, Real Estate Activity in Spain, the United States Turkey, Mexico, South America and Rest of Eurasia. Wordpress Hashcash needs javascript to work, but your browser has javascript disabled. Your comment will be placed in moderation! To prevent automated spam submissions leave this field empty. If you found this document using a search engine or a Internet Shortcut, is possible that the specific URL is no longer valid. Here are some options you may try to find the content you were looking for. 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Isstories is a provider of independent, focused, in-depth research and financial news. We provide comprehensive coverage of the most important news including business, earnings reports, dividend, Acquisition & Merger and global news. And, despite this being a secondary concern right now, it's also worth noting that Adams is a free agent this offseason. That play ended the first possession of the second half for Green Bay. Exelixis, Inc., a biopharmaceutical company, engages in the discovery, development, and commercialization of new medicines with the potential to enhance care and outcomes for people with cancer. The company has market cap of $7.77 billion. The companyÂ’s products include CABOMETYX for the treatment of patients with advanced renal cell carcinoma, who have received prior anti- angiogenic therapy; and COMETRIQ for the treatment of patients with progressive, metastatic medullary thyroid carcinoma. It has a 53.61 P/E ratio. The Company's CABOMETYX and COMETRIQ are derived from cabozantinib, an inhibitor of multiple tyrosine kinases, including MET, AXL, and VEGF receptors, which has shown clinical anti-tumor activity in approximately 20 forms of cancer and is the subject of a broad clinical development program. Enter your email address below to get the latest news and analysts' ratings for your stocks with our FREE daily email newsletter: The Redskins running back was carted from the field with his right leg in an aircast following an ugly injury in the third quarter of Sunday's game against the Saints. Coming into the season, Thompson received a limited number of touches over his first four seasons. Ibrahimović, who netted 28 times in his debut season in England, made sure to say widespread thanks via his Instagram page - followed by almost 30 million. The formerly 13th-ranked Cowboys were eliminated from the Big 12 title hunt by Kansas State. Iowa State was in the Top 25 poll for three weeks from October 22 to November 5. Liverpool and Tottenham Hotspur are reportedly interested in signing highly- rated Sheffield United and Wales midfielder David Brooks . This week, Robert McClain returns from a one-game absence but Vernon Hargreaves goes to the inactive list with a hamstring injury. Moore was 2-1 for the Dolphins as a starter after Ryan Tannehill was injured last season, helping guide Miami into the playoffs. Bill Nelson are pushing, and the other is a proposal by Washington Democratic Sen. "I want to see changes in that bill", she said. Bob Corker of Tennessee, John McCain and Jeff Flake of Arizona, and Rand Paul of Kentucky also have concerns about the bill. Look for Stephe Let us help you stay on top of your investments. We will alert you to important technical developments on your portfolio. Data is provided "as is" for informational purposes only and is not intended for trading purposes. 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This definition appears very frequently and is found in the following Acronym Finder categories: The World's most comprehensive professionally edited abbreviations and acronyms database All trademarks/service marks referenced on this site are properties of their respective owners. News Corp is a network of leading companies in the worlds of diversified media, news, education, and information services # Banco do Brasil to Close Branches, Concentrate on Digital Channels ## Latin America’s largest bank by assets looks to boost its profitability to levels reached by nonstate peers SÃO PAULO—Brazil’s state-run Banco do Brasil SA will close 402 branches, as Latin America’s largest bank by assets plans to concentrate its efforts on its digital channels to increase profitability and reduce costs. News Corp is a network of leading companies in the worlds of diversified media, news, education, and information services # Brazil Savings Accounts Case Could Take Toll on Economy BRASILIA—Brazil's inflationary past could come back to haunt the country's financial system as the Federal Supreme Court prepares to examine demands from savings depositors that could cost banks and the government tens of billions of dollars and further hamper economic growth. The court will decide whether banks illegally underpaid returns on hundreds of thousands of savings accounts in the 1980s and 1990s when inflation was more than 5,000% per year. A succession of economic plans were introduced to tame inflation, but... The overall rating is a weighted average of the three other rated categories listed below. It is a general indication of the health of a dividend. This indicator measures a stock's current dividend yield, and compares it to similar stocks and historical yields. The rating for dividend history is determined by looking back at the frequency and amount of historical dividend payments. Enter up to 25 symbols separated by commas or spaces in the text box below. These symbols will be available during your session for use on applicable pages. Enter up to 25 symbols separated by commas or spaces in the text box below. These symbols will be available during your session for use on applicable pages. Flash Quote Summary Quote Interactive Charts Default Setting # Brazil government ups foreign ownership limit for Banco do Brasil The decision was made through a presidential decree, the filing added. The decision follows the implementation of new capital rules in Brazil under international Basel III regulations, which will require banks to strengthen their capital base and significantly cushion against unexpected market turmoil. The move also comes at a time when a majority of analysts covering Banco do Brasil are suggesting that investors increase their holdings of the bank's shares citing cheap valuation, Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Backlinks from other websites and blogs are the lifeblood of our site and are our primary source of new traffic. If you use our historical data on your site or blog, we ask that you provide attribution via a "dofollow" link back to this page. We have provided a few examples below that you can copy and paste to your site: Backlinks from other websites and blogs are the lifeblood of our site and are our primary source of new traffic. If you use our chart images on your site or blog, we ask that you provide attribution via a "dofollow" link back to this page. 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Visit our list of: This Week’s Best Performing Large Cap Dividend Stocks – October 30th Edition This Week’s Best Performing Large Cap Dividend Stocks – October 24th Edition This Week’s Best Performing Large Cap Dividend Stocks – October 16th Edition This Week’s Best Performing Large Cap Dividend Stocks – October 9th Edition This Week’s Best Performing Large Cap Dividend Stocks – October 2nd Edition Low Volatility ETFs invest in securities with low volatility characteristics. These funds tend to have relatively stable share prices, and higher than average yields. Choose A Page About Us Press Center Resources Advisory Services Free Newsletters Free Reports Contact Us Advertise With Us Employment Privacy Terms and Conditions Disclosures and Disclaimers Media Sites Sitemap Financial Market Data powered by FinancialContent Services, Inc. All rights reserved. Nasdaq quotes delayed at least 15 minutes, all others at least 20 minutes. Sorry, Page Not Found Credit Suisse also raised its net profit estimates for 2016 and 2017 by 8.4 percent and 14.2 percent, respectively, mainly due to stronger fee revenues and lower effective tax rate. "In our view, solid management execution should likely lead the bank to sustain the inspiring performance of its fee generating businesses and to keep core opex under control," analyst Marcelo Telles wrote in a note. In addition, the analyst pointed out that the company's resilient asset quality suggests that Santander is still bearing fruits from its de-risking efforts. Bill Gunderson is a wealth manager, syndicated financial talk show host, and author of the Best Stocks Now -- one of the top 10 best selling financial aps in the world. He is a frequent guest on local and national media, including CNBC, Fox Business, Fox News, Bloomberg, Barron's, Forbes, and others. His wealth management business caters to high net worth individuals clients all over the world. He would be happy to look at your portfolio. Enter up to 25 symbols separated by commas or spaces in the text box below. These symbols will be available during your session for use on applicable pages. Enter up to 25 symbols separated by commas or spaces in the text box below. These symbols will be available during your session for use on applicable pages. Flash Quote Summary Quote Interactive Charts Default Dow on track for highest number of record closes in a year U.S. stocks rose on Monday, with major indexes hitting records on growing confidence congressional Republicans will succeed in getting a major tax bill passed this week. Bitcoin futures open above $20,000 in CME debut U.S. stocks rose on Monday, with major indexes hitting records on growing confidence congressional Republicans will succeed in getting a major tax bill passed this week. Download the redesigned IBD App today for premium features on your phone! BofA Merrill Lynch cited the underperformance of Barclays' shares and depressed earnings expectations as the reason for its improved assessment. Only major financial institutions and big regional banks were taken into account for comparison purposes. The companies are ranked from those having the most positive opinions to the least: Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: [TRADE IDEAS REVIEW – IS THIS THE BEST STOCK SCANNER? Trade Ideas is arguably one of the top scanning tools available on the market right Trade Ideas Pro helps traders find the best setups in the market right NOW Scottrade and E*TRADE license Trade Ideas proprietary technology for their premium trading platforms. We have fully automated trading available through Lightspeed and Interactive Brokers. Get the Next Big Winner in your inbox Before the Bell Select a credit card product by: --- Card Type | Credit Score | Card Issuer Select an offer: 0% APR Credit CardsAirline Credit CardsBalance Transfer Credit CardsBusiness Credit CardsCash Back Credit CardsCharge CardsCharge Cards for BusinessEMV Smart ChipsGas Cards & Auto RewardsHome Improvement Rewards Credit CardsHotel Credit CardsInstant Approval Credit CardsLow Interest Credit CardsNo Annual Fee Credit CardsNo Foreign Transaction Fee Credit CardsPoints Rewards Credit CardsPrepaid & Debit CardsReward Credit CardsStudent Credit CardsTop 10 Best Credit Card Deals and Offers Bad CreditCredit Quality AverageCredit Quality ExcellentCredit Quality FairCredit Quality GoodLimited or No Credit HistoryPersonal Loans Enter up to 25 symbols separated by commas or spaces in the text box below. These symbols will be available during your session for use on applicable pages. Flash Quote Summary Quote Interactive Charts Default Setting According to the Recommendation Trends of the stock polled by Zacks Investment Research for this month, the company has a consensus recommendation of 2.62 out of the scale from 1 to 5 where 1 stands for Strong Buy and 5 means Strong Sell. When we look at the Analyst Recommendations of the stock, the company has 1.95 rating given by Analysts where 1 stands for Strong Buy and 5 stands for Strong Sell. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell All these opinions have come together to present the composite price target for the stock. Traders should keep an eye on these opinions. All these opinions have come together to present the composite price target for the stock. Traders should keep an eye on these opinions. NY Stock News is a community of entrepreneurs dedicated to investment and study of the economic changes in the world both in the stock market as different currencies. We are dedicated to providing high-quality content for our thousands of users. always committed to creating articles that help our users properly informed and able to make decisions quickly in everything that has to do with money and business. Stock News Journal was founded in 1997 as an idea in January 1998 as a company. Our first objective is to provide latest financial information in simple words, to make it understandable to everyone. The second is to provide knowledge and training items, to ensure that our visitors over time have the largest number of cognitive tools to conscious The following are five Chinese bank stocks trade in the US unsponsored ADRs. The stock price noted is as of market close September 1, 2010. 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Do your own due diligence before making any investment decisions. Stock chart is not supported by your current browser BEIJING/HONG KONG, Nov 8 (Reuters) - China does not require foreign payment card companies to establish joint ventures with local partners to operate in the onshore market, the country's central bank said Wednesday. Reuters reported on Tuesday that China was pressing foreign payment card companies to form local joint ventures for onshore operations, a move that would counter a pledge on market access that Beijing made to U.S. President Donald Trump. China's foreign exchange reserves rose in October for a ninth straight month, but at a slower pace than market expectations, as tighter regulations and a stronger yuan continued to discourage capital outflows. Capital flight had been seen as a major risk for China at the start of the year, but a combination of tighter controls on money moving of China and a faltering dollar helped the yuan stage a strong turnaround, bolstering confidence in the economy. China's yuan extended its blistering rally against the faltering U.S. dollar on Thursday after the central bank raised its official guidance rate for the ninth straight session. The Chinese currency has strengthened more than 2,000 pips since the beginning of the August, taking its gain to 6.5 percent so far this year, but its upward momentum has appeared to slow slightly this week, traders said. Prior to the market opening on Thursday, the People's Bank of China lifted its official yuan midpoint for the ninth trading day in a row to 6.5269 per dollar, the strongest since May 18, 2016. President Donald Trump’s rhetoric about imposing widespread sanctions on China for propping up North Korea’s economy may put pressure on some of its banks and oil companies. News Corp is a network of leading companies in the worlds of diversified media, news, education, and information services. Overview Profile Financials Income Statement Balance Sheet Cash Flow Research & Ratings Historical Prices Options Advanced Charting A company's net income for the trailing twelve month period expressed as a dollar amount per fully diluted shares outstanding. Market Capitalization Reflects the total market Welcome back to Stockhouse Member Sign In We will not release or resell your information to third parties without your permission. By providing my email, I consent to receiving investment related electronic messages from Stockhouse. By providing my email, I consent to receiving messages from Stockhouse. By providing my email, I consent to receiving messages from Stockhouse. 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Data may be intentionally delayed pursuant to supplier requirements. All of the mutual fund and ETF information contained in this display was supplied by Lipper, A Thomson Reuters Company, subject to the following: Copyright © Thomson Reuters. All rights reserved. Any copying, republication or redistribution of Lipper content, including by caching, framing or similar means, is expressly prohibited without the prior written consent of Lipper. Lipper shall not be liable for any errors or delays in the content, or for any actions taken in reliance thereon. Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. Bank of Communications Co., Ltd. provides a full range of commercial banking services, including RMB and foreign currency deposit, loan, international and domestic settlement, discount, currency trading, letter of credit, bank guarantee, and other related services.Address No 188 YinchengZhong Road Pudong New District Shanghai, 200120 China **Provides banking and related financial services** Bank of Communications Co., Ltd. engages in the provision of banking and financial services. It operates through the following segments: Northern China, North Eastern China, Eastern China, Central and Southern China, Western China, Head Office, and Overseas. The Northern China segment includes the following provinces: Beijing, Tianjin, Hebei, Shanxi, and Inner Mo Complete the form below to receive the latest headlines and analysts' recommendationsfor Bank of Nova Scotia with our free daily email newsletter: The Bank of Nova Scotia is an international bank and a financial services provider in North America, Latin America, the Caribbean and Central America, and Asia-Pacific. The Bank offers a range of advice, products and services, including personal and commercial banking, wealth management and private banking, corporate and investment banking, and capital markets. Complete the form below to receive the latest headlines and analysts' recommendationsfor Bank of Nova Scotia with our free daily email newsletter: The Bank of Nova Scotia is an international bank and a financial services provider in North America, Latin America, the Caribbean and Central America, and Asia-Pacific. The Bank offers a range of advice, products and services, including personal and commercial banking, wealth management and private banking, corporate and investment banking, and capital markets. Holders of Preferred Shares are entitled to receive quarterly fixed cumulative distributions equal to $0.1971 per Preferred Share. The Company's Capital Share dividend policy is to pay a quarterly dividend on the Capital Shares equal to the dividends received by the Company on the BNS Shares minus the dividends payable on the Preferred Shares and all administrative and operating expenses provided the net asset value per Unit at the time of declaration, after giving effect to the dividend, would be greater than the original issue price of the Preferred Shares. The Company reports with deep sadness the passing of Michael K. Warman. Mike was a director of the Company since its inception and he will be deeply missed. Are you getting the best rate from your broker? Compare your broker's rates now to find out if you can save money We are redirecting you to the Broker Center now Join other Individual Investors receiving FREE personalized market updates and research. Join other Institutional Investors receiving FREE personalized market updates and research. Join other Financial Advisors receiving FREE personalized market updates and research. Check your email and confirm your subscription to complete your personalized experience. Thank you for your submission, we hope you enjoy your experience Looking for dividend stocks with great yields? Visit our list of: Bank of Nova Scotia (BNS) (commonly known as Scotiabank) is a financial services company that focuses on retail, commercial, corporate and investment banking. The bank has three business lines, Canadian Banking, International Banking, and Scotia Capital and Global Wealth Management. The company was founded in 1832, and is based in Toronto, Canada. Bank of Nova Scotia is largely affected by the general Canadian economy. As well, Bank of Nova Scotia is affected by capital markets in Canada. Bank of Nova Scotia has been paying dividends since 1833, and has increased dividends in 42 of the last 45 years. The most recent cut to its dividend was in 2013. Bank of Nova Scotia pays its dividends quarterly. Low Volatility ETFs invest in securities with low volatility characteristics. These funds tend to have relatively stable share prices, and higher than average yields. Global rating agency Moody's today said it has a stable outlook for non- financial corporate in the country, except for telcos, on which it has a negative outlook for 2018. The agency also has stable outlooks for car-makers, and companies in the construction, cement, and textiles sectors, but a negative outlook on the real estate sector. "Our stable outlook is underpinned by the expectation that GDP growth of around 7.6 per cent will result in higher sales volumes, which along with new production capacity and stabilising commodity prices, will support pre-tax profit growth of 5-6 per cent over the next 12-18 months," Laura Acres, a managing director at Moody's corporate finance group, said in a report. She said further si The difference, according to Spiegel, is that while Weibo is based on text messaging, Snap is based on picture messaging. At the same time, Facebook and Google claim to be mere networks, like phone networks. They are media, but they're not media and thus there is no media. We're back to the village squares of the nation's first decade, when politicians paid printers to tell their stories and truth was entirely subjective. Can Snap's redesign fix that problem? What Barclay's, and Cramer, are saying is that whether Snap has the answer, young people are asking the question. But the bearish call should extend to all social media. Their creative destruction is now being pointed at their own algorithms. Choose A Page About Us Press Center Resources Advisory Services Free Newsletters Free Reports Contact Us Advertise With Us Employment Privacy Terms and Conditions Disclosures and Disclaimers Media Sites Sitemap Financial Market Data powered by FinancialContent Services, Inc. All rights reserved. Nasdaq quotes delayed at least 15 minutes, all others at least 20 minutes. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Credit Suisse shares climb after hedge fund buys stake European stocks ended a bouncy day in negative territory on Tuesday, as traders digested a mixed bag of earnings reports, with health-care stocks and Merlin Entertainments PLC the hardest hit after results. Shares of Credit Suisse Group AG shares gained on reports an activist investor is seeking a breakup of the Swiss bank after acquiring a stake. “We downgrade Spain [stocks] from Bullish to modestly Bearish.There are simply no positive catalysts,” said Sean Darby, chief global equity strategist at Jefferies, in a research note published Tuesday. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Consumer price inflation now a full percentage point above target U.K. stocks finished lower on Tuesday after investors received inflation data that could harden the case for the Bank of England to raise British borrowing costs. “While the market now expects the first hike in November, having recently brought forward its expectations from as late as 2019, current pricing suggests the market is anticipating only one further hike in 2018,” said Kallum Pickering, senior U.K. economist at Berenberg, in a note. “We therefore expect the BoE to strengthen its guidance after the first hike, leading to a somewhat steeper gilt curve and possibly a stronger sterling on a trade-weighted basis by the turn of the year,” he said. A fifth round of talks ended last week with the EU’s Barnier, saying progress is still insufficient for negotiations to move to the next phase. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Have Watchlists? Log in to see them here or sign up to get started. Create a list of the investments you want to track. Visit a quote page and your recently viewed tickers will be displayed here. Banks are ramping up a business that was popular before the financial crisis-- offering investors ways to lever up sometimes illiquid and complex investments to amplify their returns. MetLife said it had failed to pay monthly pension benefits to possibly tens of thousands of workers in accounts that it has on its books as part of its large retirement business. JPMorgan Chase is bringing in a new executive to run one of its hottest products, the Sapphire Reserve credit card, at a time when doub # BASF to continue to invest in Asia despite slowdown He added that BASF had to be selective about picking market segments to invest in and would consider seeking partners in areas where BASF has a weaker market position. Growth in the region has slowed recently, the company cautioned. In a sign of how burgeoning Chinese rivals can become a drag on BASF's home markets, the company last week said it would trim European production capacity for a key precursor material for engineering plastics by 20 percent. Writing by Ludwig Burger; Editing by Tina Bellon and Adrian Croft Thank you, we sent your recommendation to the desired recipient. Did you try searching? Enter a keyword in the search engine on top, or try one of the links below. The potential bidders declined to comment or were not immediately available to comment. The industrial specialty chemicals sector has seen a number of mergers and acquisitions recently as buyers pay rich premiums for high margin business to offset sluggish growth in their established markets. People familiar with the company have said they expect Atotech to generate EBITDA of 250 million euros this year and that Total has told potential bidders it would accept no offers below 12 times that in a sale. Atotech is Total's sole remaining speciality chemicals unit after the sale of Bostik to Arkema in 2014. You are banned from this site. Please contact via a different client configuration if you believe that this is a mistake. BASF, the world's third-largest maker of crop chemicals, has so far avoided seed assets and instead pursued research into plant characteristics such as drought tolerance, which it sells or licenses out to seed developers. Bayer said it would use the proceeds to partly refinance the Monsanto acquisition. It plans to raise $19 billion toward the deal by issuing convertible bonds and new shares, and has lined up as much as $57 billion of bridge financing from banks. Baader Helvea analyst Markus Mayer said a higher-than-expected valuation of the assets up for sale could mean Bayer now needs to raise less than $10 billion from the sale of new shares, which would be a positive surprise. Bayer has to sell the LibertyLink-branded seeds and Liberty herbicide businesses, which generated 2016 sales of 1.3 billion euros, because they compete with Monsanto's Roundup weed killer and Roundup Ready seeds. LibertyLink seeds, used by soy, cotton and canola growers, are one alternative to Roundup Ready seeds for farmers suffering from weeds that have developed resistance to the Roundup herbicide, also known as glyphosate. The spread of Roundup-resistant weeds in North America has been a major driver behind Liberty sales. BASF Chief Executive Kurt Bock told a conference call he would look at further acquisition opportunities in the seeds sector as well but said it would take "two to tango". The group is also expected to look at other assets – such as vegetable seeds – that Bayer may be forced to divest, a person close to the matter said. BASF will finance the acquisition through a combination of cash on hand, commercial paper and bonds. It is expected to reap sales synergies in the hundreds of millions of euros. On the cost side, however, savings will be slim at first as there is little overlap with BASF's existing business and the group has promised to keep all permanent staff at the businesses it is buying for at least three years. The acquisition will add to its earnings by 2020, it said. Bayer said it continued to work with the authorities to close the Monsanto purchase by early 2018. As part of the asset sale to BASF, more than 1,800 staff, primarily in the United States, Germany, Brazil, Canada and Belgium, will transfer to BASF. It is also acquiring manufacturing sites for glufosinate-ammonium production and formulation, seed breeding facilities and research facilities. Deutsche Bank advised BASF on the deal, while BofA Merrill Lynch and Credit Suisse advised Bayer. Reporting by Maria Sheaha Syngenta, a distant third in the global seeds market behind Monsanto and Dupont DD.N, is determined not to lose ground on its rivals as the seeds and crop-protection sector continues an unprecedented wave of mergers and acquisitions. The Swiss group, the world's leading crop chemicals maker, itself fought off unwanted suitor Monsanto before agreeing to be taken over by ChemChina to secure better access to Asian markets and is now targeting its own acquisitions and licensing deals. "We are very interested in seed assets from remedies and beyond that," Chief Executive Erik Fyrwald told a news conference at the group's Basel headquarters, responding to a question about assets to be sold by Bayer. Bayer last month said it will sell its LibertyLink-branded seeds businesses, a key part of asset sales required to satisfy competition authorities looking at the $66 billion Monsanto deal. Seeds will be the main plank of the growth strategy to meet ChemChina's target for Syngenta to double its revenue over the next five to 10 years, the Chinese group said on Tuesday. ChemChina, which has acquired close to 98 percent of Syngenta's shares, also plans to float a minority stake in its newly acquired subsidiary on the stock market in the next five years or so to bolster its balance sheet. "The timing of the minority IPO of Syngenta will depend on the market situation, but the time frame would be about five years," ChemChina Chairman Ren Jianxin, now also Syngenta chairman, said at the news conference. Reporting by Ludwig Burger; Editing by Michael Shields and David Goodman Covestro vows to cash out to shareholders if no takeover on cards Central banks, trade and bubbles threaten the status quo Chocolate makers innovate to entice health-conscious consumers # Covestro vows to cash out to shareholders if no takeover on cards "We have no reason to hoard liquidity if no significant external investment opportunity arises. We intend to return excess cash to our shareholders after 24 months without significant M&A; activity," Chief Executive Patrick Thomas said in a statement on Thursday, citing share buybacks or special dividends as options. Rivals in the market for chemicals used in insulation and upholstery foams have suffered a number of technical setbacks, leading to muted supply growth and a surge in prices over previous quarters. The company's cash flow after expenditures on plants and equipment, or free cash flow, tripled to close to a billion euros last year and Covestro on Thursday raised the prospect of sustaining that rate over the next five years, even though it will invest to overcome some production bottlenecks. Market leading positions in its established businesses -- transparent polycarbonate plastics used for headlights and sunroofs in cars as well as polyurethane foams for vehicle seats and insulation -- keep Covestro from large acquisition in those markets due to antitrust concerns. "We look at bolt-on acquisitions to boost our specialty businesses," said Thomas, who temporarily took on the role of finance chief after the departure of CFO Frank Lutz, who lost out to a fellow board member in the contest to take the CEO position next year. Covestro, which parent Bayer plans to sell, is holding a capital markets day for analysts and investors on Thursday. Stock chart is not supported by your current browser Monsanto Co will give cash back to U.S. farmers who buy a weed killer that has been linked to widespread crop damage, offering an incentive to apply its product even as regulators in several U.S. states weigh restrictions on its use. The incentive to use XtendiMax with VaporGrip, a herbicide based on a chemical known as dicamba, could refund farmers over half the sticker price of the product in 2018 if they spray it on soybeans Monsanto engineered to resist the weed killer, according to company data. EU antitrust regulators are set to warn Bayer its planned purchase of U.S. seed maker Monsanto may hurt competition, a person famili According to CRI, characterized by high energy costs and mass pollution, the rubber industry faces upgrading of industrial structure in coming years. On August 7, 2016, Ministry of Industry and Information Technology of the People's Republic of China and Ministry of Finance jointly issued the Action Plan on Reduction of Volatile Organic Compounds (VOC) in Key Industries. The tire industry and the shoemaking industry were the focused industries to reduce VOCs. It was regulated that in 2018, green products with low VOCs or non-VOCs would take up over 40% of total tire production. In order to cope with industrial upgrading and international trade barriers, China has initiated the shift of the tire industry to Southeast Asia. In general, given the advantages of cost and industry chains and strong domestic demand, the tire industry in China will continue to grow in the next few years. The report is composed of two parts: the first part is enterprise profiles and the second part is the operation status of these enterprises in the recent decade (presently 2006 to 2016, we will update it to the latest as time goes by). Atlanta Journal Constitution • Wednesday 06 December 2017 Dayton Daily News • Wednesday 06 December 2017 Springfield News Sun • Wednesday 06 December 2017 InfoTel News Ltd • Tuesday 05 December 2017 Yahoo Finance • Saturday 02 December 2017 Hindustan Times • Tuesday 26 September 2017 The Straits Times • Wednesday 23 August 2017 Automotive News Europe • Thursday 04 May 2017 Metro International • Wednesday 23 November 2016 Battle Creek Enquirer • Monday 07 March 2016 Yahoo News Singapore • Monday 10 August 2015 New York Times • Wednesday 06 August 2014 It’s the penultimate episode of this patchy mini-season, and the Doctor takes Clara and her young charges, Angie and Artie, to Hedgewick’s World – billed as the biggest amusement park in the universe, it’s now in ruins. They befriend impresario Mr ... MENTAL health workers have voted to begin a series of rolling eight-hour strikes from next month in their bid for improved pay and conditions. Mental health nurses and clinicians will walk out of a major hospital each day on a rotating basis from July 5 ... New York Daily News • Thursday 09 October 2008 Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. Beijing WKW Automotive Parts Company Limited provides passenger cars with internal and external accessories systems, develops supporting products and provides related services. The Company main products include internal and external accessories systems for passenger cars, aluminum and spray powder.Address Financial ratios are generally ratios of selected values on an enterprise's financial statements. There are many standard financial ratios used in order to evaluate a business or a company. Financial ratios can also be used by managers within a firm, by current and potential shareholders (owners) of a firm, and by a firm's creditors. Security analysts use financial ratios to compare the strengths and weaknesses of various companies. In Infront Analytics, financial ratios are categorized according to the financial aspect of the business that the ratio measures: \- Growth ratios measure the company's rate of growth and assess the potential for future growth. E.g. Net Sales Growth, EBITDA Growth, EBIT Growth. \- Profitability ratios measure the returns generated on sales and investment, hence the ability of the company to generate profits. Profitability ratios include margin ratios (such as profit margin or operating margin) and return ratios (such as return on equity or return on assets). \- Capital structure and The stock of Agilent Technologies, Inc. and Berkshire Hathaway Inc. were two of the most active stocks on Wedday. Investors seem to be very interested in what happens to the stocks of these two companies but do investors favor one over the other? We will analyze the growth, profitability, risk, valuation, and insider trends of both companies and see which one investors prefer. When a company is able to grow consistently in terms of earnings at a high compound rate have the highest likelihood of creating value for its shareholders over time. Analysts have predicted that A will grow it’s earning at a 12.48% annual rate in the next 5 years. This is in contrast to BRK-B which will have a positive growth at a 8.80% annual rate. This means that the higher growth rate of A implies a greater potential for capital appreciation over the years. Growth alone cannot be used to see if the company will be valuable. Shareholders will be the losers if a company invest in ventures that aren’t profitable enough to support upbeat growth. In order for us to accurately measure profitability and return, we will be using the EBITDA margin which balances the difference in capital structure. A has an EBITDA margin of 23.26%, this implies that the underlying business of A is more profitable. Short interest or otherwise called the percentage of a stock’s tradable shares currently being shorted is another data that investors use to get a handle on sentiment. The short ratio for A is 1.25 while that of BRK-B is just 3.42. This means that analysts are more bullish on the forecast for A stock. The stock of Berkshire Hathaway Inc. defeats that of Agilent Technologies, Inc. when the two are compared, with BRK-B taking 6 out of the total factors that were been considered. BRK-B happens to be more profitable, generates a higher ROI, has higher cash flow per share, higher liquidity and has a lower financial risk. When looking at the stock valuation, BRK-B is the cheaper one on an earnings, book value and sales basis. Finally, the sentiment signal for BRK-B is better on when it is viewed on short interest. NASDAQ Times Staff includes Diana Connor, Jeffrey Lancaster, Paul Becker and Theresa Thorn. NASDAQ Times Staff believes that there are emerging and growing companies across various industry sectors with sizeable hidden value. Market disruptive discovery and innovation often occurs in small to mid-size companies that are either misunderstood or underrepresented. So they focus on identifying these companies and uncovering their stories before the rest of the market to ensure that you receive the full story – every single day. Founded in 2016, The NASDAQ Times is a dynamic and innovative financial media outlet. Our mission is to produce high-quality investment news and analysis to a broad audience through various distribution networks and channels. # Warren Buffett and Bill Gates once revealed the best business decisions they ever made Buffett said his best business decision was simply starting a career in investing because he enjoys what he does. Luckily, said Buffett, this has worked out well for him. For Gates, the best business decision was choosing the right people to work with. Bill Gates and Warren Buffett at the Annual Berkshire Hathaway Shareholder's Meeting in Omaha, NE on May 6, 2017. Buffett added that Charlie Munger, the vice chairman of his investment firm Berkshire Hathaway, had also been that type of dependable partner to him over the years. If you are going to be trading the stock, you want to ensure volume is healthy so you are not stuck in a position. Volumes indicate how many shares are bought and sold over a given period of time. The more active the share, higher would be its volume. Technical analysts believe that volume can serve as a warning signal as to whether a stock is on the verge of breaking into upside territory (high volume) or into a downside trend (low volume). Low volume of a security, even if it's rising in price, can ind A number of key analysts, polled by FactSet, shared their views about the current stock momentum. The forecast of 1 surveyed investment analysts covering the stock advises investors to Buy stake in the company. At present, 0 analysts call it Sell, while 7 think it is Hold. Recently, analysts have updated the overall rating to 2.67. 1 analysts recommended Overweight these shares while 0 recommended Underweight, according to FactSet data. Latest analyst recommendations could offer little help to investors. The stock is a Buy among 3 brokerage firms polled by Factset Research. At present, 17 analysts recommended Holding these shares while 1 recommended sell, according to FactSet data. 1 analysts call it Underweight, while 3 think it is Overweight. Recently, investment analysts covering the stock have updated the mean rating to 2.76. At the heart of the philosophy of Post Analyst – news coverage on the principles of the highest quality standards. During its more than 20-year history, the company has established itself as a reliable and responsible supplier of business news and market analysis. Key employees of our company are professionals in the field of business, finance and stock markets. On our site you can always find daily updated business news from around the world. The PE ration is a market prospect ratio that calculates the market value of a stock relative to its earnings by comparing the market price per share by the earnings per share. In other words, the price earnings ratio shows what the market is willing to pay for a stock based on its current earnings. Investors often use this ratio to evaluate what a stock's fair market value should be by predicting future earnings per share. A company with a lower ratio is usually an indication of poor current and future performance. This could prove to be a poor investment. It also means that companies with losses have poor PE ratios. Moving averages are a very simple tool to use, like most technical indicators, different traders will focus on different ways to use them. A longer-term moving average may be used to identify the primary price trend, a shorter moving average period to identify the secondary, price trend, and an even shorter moving average period to identify the minor price trend. Finally observing long term time frame, 200-day simple moving average is more helpful at telling general investing trends lasting 200 days. Longer moving average timeframes are less sensitive to price fluctuations than shorter term timeframes and will generate far few signals. This will reduce the number of “whipsaws”, which is good, but will also generate signals later than when using shorter term averages. BBY stock price revealed optimistic move of 7.82% comparing average price of last 200 days. This comparison showed up direction of price above its 200-SMA. Currently, the 14-day Relative Strength Index (RSI) reading is at 62.36. RSI is a quick tool you can use to gauge overbought and oversold levels, the Relative Strength Index. The premise is simple, however. When RSI moves above 70, it is overbought and could lead to a downward move. When RSI moves below 30, it is oversold and could lead to an upward move. But, we must be patient before we enter our trades, because sometimes the RSI can stay overbought or oversold for quite awhile. The worst thing we can do is try to pick a top or a bottom of a strong move that continues to move into further overbought or oversold territory. So we must wait until the RSI crosses back under 70 or crosses back above 30. Katy Gagnon has over 14 years experience in the stock industry giving her a vast understanding of how news affects the financial markets. She is the driving force behind Analysts-Buzz with a vision to broaden the company’s readership throughout 2016. Katy is an editor and reporter of news about Financial Sector Companies. Katy has a Masters Degree in Economics from Westminster University with previous roles counting Investment B ALERT : Javacript is either disabled OR not not supported by this browser. Please enable Javascript for full functionality Forgot password? Mail me my new password ALERT : Javacript is either disabled OR not not supported by this browser. Please enable Javascript for full functionality Forgot password? Mail me my new password Additionally, a 404 Not Found error was encountered while trying to use an ErrorDocument to handle the request. Alert me to websites indicated as potentially harmful. Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. This action might not be possible to undo. Are you sure you want to continue? Site Stock Currency MF Scheme FNO Analyst Research Commodity The content may have been removed, or is temporarily unavailable. We could not find the page that you have requested. Hunt for the brightest engineers in India Celebrating 30 years of Tetra Pak in India A one stop platform that caters to the pulse of the pulsating energy. BPCL is offering to support further development of an Underwater Drone created by EyeROV Technologies and a Cattle Milking machine developed by Resnova Technologies. Domestic equity benchmarks Sensex and Nifty50 closed in the positive territory on Friday. Nifty Pharma, metal, IT and FMCG indices settled in the red on Friday. Overall, 21 stocks ended the day in green, while 29 stocks settled the day in the red in the Nifty pack. In the Nifty50 index, Tech Mahindra, with losses of over 3 per cent, settled as the top loser. Indian refineries are starting to increase purchases from the US as the country seeks to secure more crude supply from outside the Middle East. Sell Bharat Petroleum Corporation Ltd. at a price target of Rs 600 and a stop loss at Rs 632 from entry point Phrase not found in the Dictionary and Encyclopedia. All content on this website, including dictionary, thesaurus, literature, geography, and other reference data is for informational purposes only. This information should not be considered complete, up to date, and is not intended to be used in place of a visit, consultation, or advice of a legal, medical, or any other professional. You are banned from this site. Please contact via a different client configuration if you believe that this is a mistake. Site Stock Currency MF Scheme FNO Analyst Research Commodity Recovery from Intraday Low Fall from Intrday High Recovery from Intraday Low Fall from Intrday High 9 Pycroft Garden Road Off Haddows Road Nungambakkam You are banned from this site. Please contact via a different client configuration if you believe that this is a mistake. You are banned from this site. Please contact via a different client configuration if you believe that this is a mistake. Search for acronyms, abbreviations, definitions and topics Bharat Petroleum Corporationration Limited We would like to show you a description here but the site won’t allow us. This site won’t let us show the description for this page. This site won’t let us show the description for this page. Alert me to websites indicated as potentially harmful. You are banned from this site. Please contact via a different client configuration if you believe that this is a mistake. www bharatpetroleum com online application,bpcl apply online,bpcl kerala,bpcl kochi refinery careers,bpcl mumbai recruitment,bpcl ltd,bpcl kochi refinery recruitment 2018,bpcl bharat petroleum corporation ltd,bpcl kochi refinery official website ... Alert me to websites indicated as potentially harmful. You are banned from this site. Please contact via a different client configuration if you believe that this is a mistake. Have you invested in these stocks? You can track the You are banned from this site. Please contact via a different client configuration if you believe that this is a mistake. Please check the address as it may have been typed incorrectly. Alternatively, you can search our site using the search box at the top of the page. Have questions about Premium Membership or would like to change/cancel your subscription? 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Login or to reset your password, select Forgotten password You have entered an incorrect email or password Please untick this box when using a public or shared device Our site is about the Mining INC,Mining Crusher,Mining Machinery,Jaw Crusher,Cone BMW partners with Solid Power to develop solid-state cells for electric cars While lithium-ion cells have powered all but a handful of plug-in electric cars since 2008, carmakers have looked further down the road toward solid- state battery cells with an eye toward launching them sometime during the 2020s. Solid Power was established in 2012 as a spinout from solid-state battery research conducted at the University of Colorado at Boulder. It hopes to use that technology to develop battery packs and systems for devices from portable electronics to aircraft, satellites, and of course electric cars. The partnership with the internal battery R&D group within BMW should enable cell and pack development to proceed with significant feedback from an experienced automaker. 2019 BMW i8 Roadster, 2017 Los Angeles Auto Show No financial details of any investment were given in Monday's release, which was light on the specifics of the actual cooperation. BMW is the furthest advanced of the three German automakers in electric vehicles, with its technically advanced i3 battery-electric model in production since 2013. That technology, the companies said, has "great potential" for longer driving range in a battery with extended shelf life that can safely withstand high temperatures due to its higher energy density and lack of volatile or flammable components. 2016 BMW X5 xDrive 40e, Hudson Valley, NY, Dec 2015 Solid Power says it expects to double its employment over the next three years, centered on a new research and development facility in Louisville, Colorado. BMW is radically changing the way it designs and engineers cars — and it has Elon Musk in its sights. Australia’s most advanced self-driving car has been built using the shell of a Tesla with Bosch parts and engineers in Melbourne BMW has a plan. It wants to be ready for anything, so from 2021 will begin introducing new models that can be built in battery, plug-in hybrid and pure internal combustion versions. BMW aims to give each market the kind of car it prefers. The pure electric cars will use front and rear sections similar to the versions with internal combustion and plug-in hybrid power. The difference will be in the centre section, where the floor will be made of batteries. In briefings on the project, engineers have described two modular battery pack designs. The slimmer version, about 80mm thick, will be used in cars and the deeper variant, about 140mm thick, is intended for SUVs. BMW plans to use different grades of cells in its battery packs so buyers can choose lower cost or longer driving range. BMW's 120 kWh battery pack will store 20 per cent more energy than a Tesla Model S, and engineers say this will deliver a driving range up to 700km. For smaller cars, it is planning a 90 kWh pack with a range of about 550km and a 60 kWh pack for about 450km. It's certain that future battery-powered BMWs will be the fastest cars the company makes. Engineers reckon it will be possible to fit three electric motors in top models built on the bigger platform, two driving the rear wheels and one driving the front axle. These will put 500kW-plus to the road, guaranteeing incredible acceleration. Unlike most other brands, BMW makes its own electric motors and is developing a new generation of less bulky and less costly examples for future models. These new motors will appear first in what BMW engineers describe as "transitional models", including the Mini Electric due in 2019 and the battery-powered version of the BMW X3 scheduled to launch in 2020. BMW engineers also say the performance of future plug-in hybrids will be enhanced with more powerful electric motors and longer electric-only driving ranges. Your employer or member organization has partnered with BMW of North America, LLC and MINI USA to offer a “Special Incentive” for any new BMW / MINI model and Certified Pre-Owned BMW i3. You may utilize either the BMW / MINI Lease or Loan Program to purchase your new vehicle or yo A spokesperson for First Hawaiian did not immediately respond to a request for comment. Bank IPOs have been few and far between since the industry saw a spate of them in 2014, as the IPO market for banks reopened following the financial crisis. There were fourteen bank IPOs in 2014 in the United States and only four in 2013 and seven in 2015, according to Thomson Reuters data. All the shares being sold in the First Hawaiian IPO are coming from BNP Paribas, which will be left with a roughly 85 percent stake in the company. As a result, the proceeds from the IPO will go to BNP Paribas. In December, BNP Paribas said it was looking at "strategic options" for First Hawaiian as part of its plans to improve its finances and to respond to new and costly regulatory requirements. First Hawaiian, which was founded in 1858 as Bishop & Company, has more than $19 billion of assets and operates 62 branches throughout Hawaii, Guam and Saipan. Hawaii, its primary customer base, accounts for 83 percent of its deposits and 70 percent of its loans. BNP acquired a 45 percent stake in First Hawaiian when the French bank's subsidiary, BancWest Corporation, merged with First Hawaiian in a $1 billion deal in 1998. It later bought the remaining 55 percent of shares. Goldman Sachs & Co, Bank of America Merrill Lynch and BNP Paribas are among the underwriters for the offering. __ What are you searching? Search results are displayed below, activate this link to erase and restart the search Think you have what it takes? Apply to work with us! Jean-Laurent Bonnafé, Director and Chief Executive Officer of BNP Paribas BNP Paribas uses cookies to offer you a better browsing experience. By using our site, you accept our cookie policy [ ![](data:image/jpeg;base64,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 Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. Enter your email address below to get the latest news and analysts' ratings for your stocks with our FREE daily email newsletter: Get the Next Big Winner in your inbox Before the Bell # Ahead of Canada fighter jet announcement, Boeing looks to future That suggests Boeing thinks it might still be in the running when Canada starts an open competition for a permanent fleet to replace the country's aging CF-18 jets. The Liberal government is expected to announce the requirements in early 2019. Boeing reiterated on Friday that Canada would miss out on the industrial partnerships and jobs that purchasing the company's Super Hornets would bring but that it would look to work with the country in the future. The company says its commercial and defense operations in Canada support more than 17,000 jobs there. Reporting by Leah Schnurr and David Ljunggren; Editing by Lisa Von Ahn Dividend growth investing, value, long-term horizon Boeing is soaring this year due to increased orders in aviation and munitions, tax reform and other bullish indicators. Is it too late to board this flight? I explore what analysts are estimating for the next few years as well as how the market is currently pricing the stock. The infographic below further shows that BA’s PEG ratio is 2.7x, which is considered poor value based on next year’s expected growth, and that its price to book ratio, which is 157.3x is overvalued based on its assets when compared with the aerospace and defense industry average and the market. In contrast, the P/FCF is 15.25, which suggests that the stock is trading at fair value based on a typical 15x multiple that investors are commonly willing to pay for every $1 of free cash flow. It would appear, based on a serious of valuation ratios, that BA finds itself in the fair to overvalued range compared to its peers. In this group it appears that UTX is undervalued while EADSF is mostly overvalued. Now, moving on to what others have to say. At present, there are 14 analysts with buy or outperform ratings, 14 with a hold rating and none with a sell or underperform rating. The current consensus among the 28 analysts is to hold BA but this could be contested given that they are equal. I should note that several analysts have moved from buy or outperform to hold in the past few months. Based on the above findings, BA appears to be overvalued. The infographic below shows what analysts are predicting as BA’s earnings per share over the next few years. What is my fair value estimate for BA? To answer this question, I calculated the fair value of BA using three models: Discounted Cash Flow, Graham’s Formula, and EBIT multiples. The table below provides a summary and calculations of the estimated fair value of BA. Finally, here is a quick table to show various margins of safety based on the estimated fair value. BA is flying very high, having returned over 83% to shareholders this year alone. I think that BA has come a long way a little too quickly and that investors are either speculating or rushing in to catch a bit of BA’s future income stream. At the current price, though, investors have already locked in nearly two years worth of earnings, not to mention that there is no margin of safety to speak of. Although I love this company’s dividend growth and considerable growth, I will wait for a pullback before boarding this flight. Want to share your opinion on this article? Add a comment. To report a factual error in this article, click here Follow Accelerating Dividends and get email alerts The chat platform is currently undergoing maintenance. Please up French builders see 2018 slowdown for country's construction sector Five possible triggers of the next market shock Plastic found in mussels from Arctic to China From wine to watches, sharing sites offer slice of luxury "Despite a decline in housing starts of some 10,000 units due to the finance law, housing will continue to grow but at a more measured pace," Jacques Chanut, head of the FFB body, told a news conference. France's economy is forecast to expand by 0.5 percent in the fourth quarter, maintaining a steady pace of growth from the previous three months, the country's central bank confirmed in a second estimate last week. The business sentiment indicator for the construction sector also rose to 104 points in November from 103 in October, reaching its highest point since December 2007. However, the Bank of France added last week that household investments, made up primarily of new home purchases, would ease back in 2018 after surging 5.1 percent this year amid exceptionally low interest rates. Daily construction news Weekly plant news Interserve's regional building business has 10 main offices across the UK and turnover of around £500m, typically undertaking refurbishment and new build projects generally up to £50m and usually for public sector clients. Craig Tatton joins the main board of the construction division. He was previously chief operating officer at Bouygues UK, which he joined in 2014 from Willmott Dixon. He was only with Willmott Dixon for a few months. Before that he was ISG's UK construction managing director. Interserve managing director Gordon Kew said: "We are delighted to welcome Craig to Interserve. As an experienced senior executive, he has an enviable track record of delivering organic growth and is well placed to lead our regional building operations to realise future strategic ambitions, focusing on delivering industry leading customer experience." See the latest price data and market sentiment for Bouygues SA CFD share CFDs, trading activity, and latest news and analysis. Click on the button below to create your account via our app securely Contracts for Difference ("CFDs") are leveraged products and carry a significant risk of loss to your capital, as prices may move rapidly against you and you may be required to make further payments to keep any trades open. These products are not suitable for all clients, therefore please ensure you fully understand the risks and seek independent advice. Cookies are files stored in your browser and are used by most websites to help personalise your web experience. Opening an account is quick and easy. Simply choose between a real and demo account and you could be trading within minutes. Daily construction news Weekly plant news Dijon metropole awarded the contract for connected management of public spaces to Bouygues Energies & Services, EDF Group subsidiary Citelum, Suez and Capgemini. The 12-year contract includes provision of a control centre for public facilities across 24 municipalities of the metropolitan area. The project, which will be operational from 2018, is intended to make technical equipment (traffic lights, street lightning, CCTV, street and road maintenance, etc) more efficient, optimised and pooled. For the first time in France, a centralised and connected tool for the management of public facilities will be set up. The contract is expected to lead to the renovation of more than 34,000 lights, all of which will be LED. More than 140 km of fibre optic cable laid, 205 vehicles will be geotagged, 113 intersections and 180 buses will be equipped with bus-priority technology and 180 buildings will be operated, of which 13 will be renovated. All buildings will be connected to the connected control centre, which is due to be up and running within a year. Dijon metropolitan area wants to develop a smart city initiative using digital data generated by connected public facilities, with the aim of offering its residents new public services and open ur Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell The UK is one of the richest nations globally. It has long been among the driving forces behind the success of the European economy. It has been always been leveraging opportunities and maximizing its capabilities to execute its prospects. Truthfully, Europe would not be the global leader that it is today if it's not for the economic growth initiatives of countries such as the UK. Similarly, investors can benefit from this revolutionary growth through time. By simply learning about the ins and outs of equity market in the UK, they, too, can succeed financially in their own ways. With nearly 2,300 stocks listed on it and a total market valuation of more than '6 trillion, the LSE is the largest stock exchange in Europe. Worldwide, it is the third largest stock exchange. The FTSE 100 had been established on January 3, 1984 using a base value of 1,000 points. Currently, the FTSE Group, an LSEG subsidiary, oversees the operation of the FTSE 100. As of the third quarter, it has a total market valuation of '1.70 trillion. Rebalancing of the FTSE 100 happens four times a year on a Wednesday immediately succeeding the first Friday of the months of March, June, September, and December. This helps maintain the actual representation of the FTSE 100. BP plc has relatively good liquidity. The FTSE 100 is a powerful indicator of the LSE but not of the UK economy because it is mostly composed of international stocks. The FTSE 250 is a more powerful indicator of the national economy for two reasons: 1) it tracks the 250 largest stocks on the LSE, making it a broader indicator; and 2) it is mostly composed of domestic stocks. The UK economy has gotten better and more progressive through time. It is indeed one of the fastest growing economies in the world' not just in Europe. There is no better way to bet on this valuable economic growth than to enter the equity market in the UK. Investors can expect rewarding investment returns by trading on the LSE. Professional analysts might be interested how this will affect BP plc. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Complete the form below to receive the latest headlines and analysts' recommendationsfor Cubic with our free daily email newsletter: This is a short preview of the document. Your library or institution may give you access to the complete full text for this document in ProQuest. Once connected, you can view documents in full as well as cite, email or print them. You can also find other documents related to your research within ProQuest. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: [TRADE IDEAS REVIEW – IS THIS THE BEST STOCK SCANNER? Trade Ideas is arguably one of the top scanning tools available on the market right Trade Ideas Pro helps traders find the best setups in the market right NOW Scottrade and E*TRADE license Trade Ideas proprietary technology for their premium trading platforms. We have fully automated trading available through Lightspeed and Interactive Brokers. Get the Next Big Winner in your inbox Before the Bell # Multiple integration site of hepatitis B virus DNA in hepatocellular carcinoma and chronic active hepatitis tissues from children. Johnson & Johnson is a holding company, which is engaged in the re Additionally, a 404 Not Found error was encountered while trying to use an ErrorDocument to handle the request. If a similar idea already exists, you can support and comment on it. We have made changes to increase our security and have reset your password. Stay organized throughout the day with Yahoo Mail. Connect all of your accounts, easily share photos and animated GIFs, and get 1000 GBs of free storage. Connect all of your accounts, easily share photos and animated GIFs, and get 1000 GBs of free storage. All the tools you need to make your mail experience a breeze. Screen too bright? Customize with an array of color options including darker, modern shades to bright, bold themes. Welcome to your email. Personalize your inbox with vibrant themes and organize your mail the way that makes sense to you. Quickly access the tools you use everyday like your Calendar, Notepad, Contacts, Instant Messages, and Search. 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As you type a name on the To, Cc, or Bcc line, Yahoo Mail will recommend a list of the mo You are being directed to ZacksTrade, a division of LBMZ Securities and licensed broker-dealer. ZacksTrade and Zacks.com are separate companies. The web link between the two companies is not a solicitation or offer to invest in a particular security or type of security. ZacksTrade does not endorse or adopt any particular investment strategy, any analyst opinion/rating/report or any approach to evaluating indiv idual securities. Copyright 2017 Zacks Investment Research At the center of everything we do is a strong commitment to independent research and sharing its profitable discoveries with investors. This dedication to giving investors a trading advantage led to the creation of our proven Zacks Rank stock-rating system. Since 1988 it has more than doubled the S&P; 500 with an average gain of +25% per year. 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The resource or page you are looking for could have been removed, had its name changed, or is temporarily unavailable December 7, 2017 | Harvard Club and New York Public Library ADVERTISE WITH CHIEF INVESTMENT OFFICER Global Market Intelligence for Institutional Real Assets Investment Search # Australian funds put AUD200m Sydney office tower on market Future Fund and its co-investors – Funds SA and Victorian Funds Management Corporation – are unitholders in a vehicle known as Value Active Fund, which owns the tower. CorVal’s managing director Ian O’Toole told IPE Real Estate that marketing would start in “three to four weeks”. CBRE and JLL have been appointed to handle the sale. The agents have tipped the building, at 9 Hunter Street, to fetch up to AUD200m because of huge interest in Sydney office buildings from both onshore and offshore buyers. “I have been in this business for 40 years and I have never seen such a weight of capital looking for investment,” said O’Toole. The property is part of a freehold stratum that sits above Sydney’s Hunter Connection retail complex, and is fully leased. IPE Real Estate understands that a key attraction of the asset is that the new owners can potentially raise rents, which currently run from around AUD900 per square metre. Sydney office rents have been rising sharply on the back of a shortage of office space, and the rent of some nearby buildings has reached more than AUD1,200 per square metre. The Hunter Street building is connected by underground pedestrian walkway to Wynyard train station, the focal point of Brookfield Asset Management’s AUD2bn redevelopment of the city block, and also provides direct pedestrian access to Lendlease’s huge new Barangaroo commercial and retail development. It is in close proximity to the Sydney light rail system, currently under construction. Future Fund is a sovereign wealth fund run by the Australian government. Funds SA manages the pension assets of the South Australian state government, while Victorian Funds Management Corporation does the same for the state of Victoria. IPE Quest is a manager search facility that connects institutional investors and asset managers. Brookfield Investment Management Inc. (the "Adviser") i You may have typed the web address incorrectly, please check the address and spelling. Also we've recently updated our web site and some web pages may have moved. To find a hotspot, enter ZIP or postcode, town, area or venue. The Exchange accepts no responsibility for the content of the website you are now accessing or for any reliance placed by you or any person on the information contained on it. By allowing this link the Exchange does not intend in any country, directly or indirectly, to solicit business or offer any securities to any person. You are accessing the London Stock Exchange Annual Report Service powered by PrecisionIR. The Exchange accepts no responsibility for the content of the reports you are now accessing or for any reliance placed by you or any person on the information contained therein. By allowing this link the Exchange does not intend in any country, directly or indirectly, to solicit business or offer any securities to any person. If Bt has bought back 2million 5 thousand shares to day. How come it shows on trades as a sell? We seem to be approaching decision time with respect to the survival or otherwise of BT. With the end-game apparently in sight with respect to mm02 are the BT board going to continue sitting on their collective behinds while another buyer snaps up mm02 on the cheap. Most of the encumbent national... Select KPMG member firm site and language Select KPMG member firm site and language Explore the practical steps you need to take to be Brexit ready. An unpackaged guide to fintech and what it means for the wider economy. Pharma companies might need as much as 18 months to establish a presence inside the EU in order to continue selling into the Single Market after Brexit, KPMG experts warn. Combining Accounting, Deal, Tax and IT expertise to design and implement innovative technology solutions. Make your business stand out with digital transformation. KPMG is a global network of professional firms providing Audit, Tax and Advisory services. Select KPMG member firm site and language Select KPMG member firm site and language KPMG is a global network of professional firms providing Audit, Tax and Advisory services. An unpackaged guide to fintech and what it means for the wider economy. Pharma companies might need as much as 18 months to establish a presence inside the EU in order to continue selling into the Single Market after Brexit, KPMG experts warn. Combining Accounting, Deal, Tax and IT expertise to design and implement innovative technology solutions. 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BT Group PLC stock price, stock quotes and financial overviews from MarketWatch. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Time and again, the American firm indicated, that it has rejected the assertions or the charges made by the Britain firm. However, he said that he was sick to continue to hear the Britain’s narrat is a daily compilation of industry news from around the world. Articles do not necessarily reflect the opinion of the officers of the ILWU Coast Longshore Division. The articles excerpted on this site report on the state of the industry as seen by mainstream media, and do not necessarily reflect the opinion of the officers of the ILWU Coast Longshore Division. You are being directed to ZacksTrade, a division of LBMZ Securities and licensed broker-dealer. ZacksTrade and Zacks.com are separate companies. 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Complete the form below to receive the latest headlines and analysts' recommendationsfor Bunge with our free daily email newsletter: Bunge Limited is an agribusiness and food company with integrated operations that stretch from the farm field to consumer foods. The Company operates through five segments: Agribusiness, Edible Oil Products, Milling Products, Sugar and Bioenergy, and Fertilizer. Its Agribusiness segment is an integrated, global business involved in the purchase, storage, transport, processing and sale of agricultural commodities and commodity products. Are you getting the best rate from your broker? Compare your broker's rates now to find out if you can save money We are redirecting you to the Broker Center now Join other Individual Investors receiving FREE personalized market updates and research. Join other Institutional Investors receiving FREE personalized market updates and research. Join other Financial Advisors receiving FREE personalized market updates and research. Check your email and confirm your subscription to complete your personalized experience. Thank you for your submission, we hope you enjoy your experience Looking for dividend stocks with great yields? Visit our list of: This Week’s Best Performing Large Cap Dividend Stocks – October 30th Edition This Week’s Best Performing Large Cap Dividend Stocks – October 24th Edition This Week’s Best Performing Large Cap Dividend Stocks – October 16th Edition Bunge-(BG)-is a leading global agribusiness and food company founded in 1818 and headquartered in White Plains, New York. Bunge's over 22,000 employees in over 30 countries enhance lives by improving the global agribusiness and food production chain. 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The McKesson Distribution Solutions segment distributes branded and generic pharmaceutical drugs, and other healthcare-related products; and provides practice management, technology, clinical support, and business solutions to community oncology and other specialty practices. Enter your email address below to get the latest news and analysts' ratings for your stocks with our FREE daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Mary Mack, the Wells Fargo executive responsible for reshaping the company’s embattled retail banking unit, now has even more on her plate. The San Francisco company on Monday named Mack to head its consumer lending business, which includes residential mortgages, auto loans and student loans. That is on top of her existing duties as head of Wells Fargo’s community banking division, which includes the bank’s network of more than 5,000 branches. “I am incredibly excited about this opportunity to bring together these talented teams with a common purpose to provide the best in financial service and advice to our customers,” Mack said in a press release. Mary Mack is absorbing duties previously held by Franklin Codel, a longtime Wells Fargo executive who was fired in November. Mack, the former president of Wells Fargo Advisors, has been head of the firm’s community banking unit since July 2016. She succeeded Carrie Tolstedt, who left the company before the revelation that thousands of Wells Fargo employees had opened as many as 3.5 million customer accounts with authorization. Mack subsequently led the effort to overhaul the community banking unit’s incentive compensation plan. The previous compensation plan was widely seen as a key factor in the branch-level misconduct. Wells Fargo CEO Tim Sloan said that by combining the community banking and consumer lending units, the $1.9 trillion-asset bank is “creating a more holistic approach to delivering retail banking services.” Mack absorbs duties previously held by Franklin Codel, a longtime Wells Fargo executive who was fired in November. Wells Fargo said that three consumer lending executives will start reporting to Mack. They are: Michael DeVito, the interim head of Wells Fargo Home Lending; Laura Schupbach, who heads the bank’s indirect auto lending business; and John Rasmussen, who leads the bank’s personal lending unit. __ Newsletter/Frequency Daily Briefing Intraday News Update BankThink Technology Daily Regulation Capital Markets Community Banking Marketplace Lending Retail and Commercial Women in Banking Weekly Top 10 American Banker Magazine Bulletin Independent and authoritative analysis and perspective for the banking industry At the heart of the philosophy of Post Analyst – news coverage on the principles of the highest quality standards. During its more than 20-year history, the company has established itself as a reliable and responsible supplier of business news and market analysis. Key employees of our company are professionals in the field of business, finance and stock markets. On our site you can always find daily updated business news from around the world. Technical Analysis is the forecasting of future financial price movements based on an examination of past price movements. Technical indicators, collectively called "technicals", are distinguished by the fact that they do not analyze any part of the fundamental business, like earnings, revenue and profit margins. Technical indicators are used immensely by active traders in the m PDL BioPharma, Inc. acquires and manages companies, products, royalty agreements, and debt facilities in the biotech, pharmaceutical, and medical device industries in the United States, Europe, and internationally. The company has market cap of $467.65 million. The firm operates through two divisions, Income Generating Assets and Product Sales. It has a 6.16 P/E ratio. The Income Generating Assets segment consists of royalties from issued patents covering the humanization of antibodies, including Avastin, Herceptin, Xolair, Lucentis, Perjeta, Kadcyla, and Tysabri; and notes and other long-term receivables, royalty rights, hybrid notes/royalties receivable, and equity investments in healthcare companies. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Parker Lewis has a bachelor's degree in economics from San Diego State University (2007), eight years of publishing experience and over a decade of cumulative investment experience. He focuses on writing about individual stocks, frequently in the services industry. He works as a mid-level executive in the insurance industry on the portfolio management side. He is an experienced stock investor, and he is eager to share my industry expertise and what he has learned about investing with others. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Investors generally keep an extensive variety of technical indicators at their disposal for completing technical stock analysis. The average true range is a moving average, generally 14 days, of the true ranges. The average true range (ATR) was fashioned to allow traders to more precisely evaluate the daily volatility of an asset by using straightforward calculations. However the indicator does not specify the price direction, rather it is used first and foremost to measure volatility caused by gaps and limit up or down moves. The ATR is fairly simple to calculate and only needs historical price data. Stock News Journal was founded in 1997 as an idea in January 1998 as a company. Our first objective is to provide latest financial information in simple words, to make it understandable to everyone. The second is to provide knowledge and training items, to ensure that our visitors over time have the largest number of cognitive tools to consciously decide how to invest their savings. Complete the form below to receive the latest headlines and analysts' recommendationsfor Cardinal Health with our free daily email newsletter: Cardinal Health, Inc is a healthcare services and products company. The Company operates through two segments: Pharmaceutical and Medical. The Pharmaceutical segment distributes branded and generic pharmaceutical, specialty pharmaceutical, over-the-counter healthcare and consumer products. This segment also operates nuclear pharmacies and cyclotron facilities; provides pharmacy management services to hospitals, as well as medication therapy management and patient outcomes services to hospitals, other healthcare providers and payers, and provides services to healthcare companies. Cardinal Health Inc, CAH, risk, volatility The implied stock swing risk from the option market has created a range which is tighter in the next 30 calendar days for Cardinal Health Inc (NYSE:CAH) than it has been on average for the last year on average. Please read the legal disclaimers below. **Legal** The information contained on this site is provided for general informational purposes, as a convenience to the readers. The materials are not a substitute for obtaining professional advice from a qualified person, firm or corporation. Consult the appropriate professional advisor for more complete and current information. Capital Market Laboratories ("The Company") does not engage in render You are banned from this site. Please contact via a different client configuration if you believe that this is a mistake. Petroleo Brasileiro SA, as Petrobras is formally known, priced shares in the subsidiary at 15 reais, at the bottom of the suggested price range, with concern about presidential elections next year and struggle to approve much- needed macroeconomic reforms weighing on investors orders, according to people close to the deal. According to one person with knowledge of the matter, Petrobras Distribuidora was valued at around seven times its expected earnings before interest, taxes, depreciation and amortization, a gauge of operational profitability known as EBITDA. Private sector rivals such as Ultrapar Participações SA trade at multiples above 10. The long-awaited transaction has been discussed between the oil company and the banks for at least two years. Asset sales and spinoffs are being used by Petrobras to trim the largest debt burden of any major oil company, at about $95 billion. Renewed demand for emerging market assets, and a nascent economic recovery have fostered demand for Brazilian assets following the deepest recession in a century. Brazil is going through one of the busiest weeks for capital markets this year, with four transactions. Companies are rushing to complete the deals and avoid expected market volatility ahead of a wide-open presidential campaign next year. Reporting by Tatiana Bautzer, Flavia Bohone, Bruno Federowski and Brad Haynes; Editing by Christian Plumb and Lisa Shumaker Reuters content is the intellectual property of Thomson Reuters or its third party content providers. Any copying, republication or redistribution of Reuters content, including by framing or similar means, is expressly prohibited without the prior written consent of Thomson Reuters. Thomson Reuters shall not be liable for any errors or delays in content, or for any actions taken in reliance thereon. "Reuters" and the Reuters Logo are trademarks of Thomson Reuters and its affiliated companies. Reuters content is the intellectual property of Thomson Reuters or its third party content providers. Any copying, republication or redistribution of Reuters content, including by framing or similar means, is expressly prohibited without the prior written consent of Thomson Reuters. Thomson Reuters shall not be liable for any errors or delays in content, or for any actions taken in reliance thereon. "Reuters" and the Reuters Logo are trademarks of Thomson Reuters and its affiliated companies. You are banned from this site. Please contact via a different client configuration if you believe that this is a mistake. Reuters content is the intellectual property of Thomson Reuters or its third party content providers. Any copying, republication or redistribution of Reuters content, including by framing or similar means, is expressly prohibited without the prior written consent of Thomson Reuters. Thomson Reuters shall not be liable for any errors or delays in content, or for any actions taken in reliance thereon. "Reuters" and the Reuters Logo are trademarks of Thomson Reuters and its affiliated companies. "The rapid growth era for such types of hypermarket operations is over and it's not as easy as before to generate profit by simply opening new stores," said Steve Chow, an analyst at Kingsway Group Research in Hong Kong. Metro, which in 2010 said it saw potential for 100 of its Media Markt consumer electronics stores in China, is now more cautious on expansion. Its chief executive, Olaf Koch, said earlier this year the group would decide later on whether to open "100 or 50" of the stores in what he termed a "very tough" market. When Wal-Mart opened its first China store, the main competition was Carrefour, which launched its first Chinese store in 1995. Sun Art, a joint venture between Taiwan conglomerate Ruentex Group and privately held French retailer Groupe Auchan SA AUCH.UL, followed three years later and quickly caught up. Hot Stocks Point Staff includes Robert Ebelling, Rene P. Todd, Robert McCormick, Patricia Myles and Frank Redding. Hot Stocks Point Staff believes that there are emerging and growing companies across various industry sectors with sizeable hidden value. Market disruptive discovery and innovation often occurs in small to mid-size companies that are either misunderstood or underrepresented. So they focus on identifying these companies and uncovering their stories before the rest of the market to ensure that you receive the full story – every single day. Our mission is to provide unmatched news and insight on newsworthy and momentum stocks to potential traders looking to execute the best possible public and private capital allocation decisions. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell The Charles Schwab Corporation, through its subsidiaries, provides wealth management, securities brokerage, banking, asset management, custody, and financial advisory services. The company has market cap of $69.36 billion. The firm operates through two divisions, Investor Services and Advisor Services. It has a 32.96 P/E ratio. The Investor Services segment provides retail brokerage and banking services, retirement plan services, and other corporate brokerage services; and stock plan services, compliance solutions, and mutual fund clearing services, as well as engages in the off-platform sales business. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell PeopleÂ’s United Financial, Inc. operates as the bank holding firm for PeopleÂ’s United Bank, National Association that provides commercial banking, retail banking, and wealth management services to individual, corporate, and municipal customers. The company has market cap of $6.43 billion. The firm operates in two divisions, Commercial Banking and Retail Banking. It has a 20.85 P/E ratio. The Commercial Banking segment offers commercial real estate lending, commercial and industrial lending, and commercial deposit gathering services. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Subscribe today for full access on your desktop, tablet, and mobile device. Already a print edition subscriber, but don't have a login? Let friends in your social network know what you are reading about Each week in this newsletter, Sarah Hauer will serve as your city guide and share stories about Milwaukee, its people and what's happening around town. Share your feedback to help improve our site experience! These sites are part of the USA TODAY NETWORK. Their content is produced independently from our newsrooms. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Investors may be trying to find stocks that are building momentum. Finding these stocks may help bolster the portfolio going into the second half of the year. Investors often look to pounce on any opportunity in the stock market. Without properly being prepared, these opportunities may disappear quickly. Staying on top of fundamentals, technicals, and earnings, may help investors stay prepared. Get the Next Big Winner in your inbox Before the Bell Is software eating the world? Heavy equipment maker Caterpillar is adding subscription services to connected products, but isn't changing its core business > Our goal is to still be the leading manufacturer of earth-moving equipment and engines into the industries we serve. But we know that the only way to continue evolving and build more value around those products is these type China Life’s 2016 profit falls 45 per cent on investment loss # China Life’s 2016 profit falls 45 per cent on investment loss China Life Insurance Co., the country’s largest life insurer, reported a decline in 2016 net profit, due to losses in its investments. Gross investment income fell 23 per cent to 108.2 billion yuan, due to fluctuations in the capital market. Net premiums rose 17.6 per cent to 426.2 billion yuan, giving China Life the largest share of the country’s life insurance market, at almost 20 per cent. The gross written premium of health insurance, which China Life has actively promoted, expanded 29 per cent to 54 billion yuan while accident insurance grew 6 per cent 14.6 billion yuan. “Despite all the problems accompanying advancement and development, the fundamental trend of a slower but stable performance with good momentum for economic growth in China remains unchanged, and golden opportunities for the development of the insurance industry still exist,” Yang said. China Life had been sitting out the explosive growth in the country’s wealth- management products, as dozens of small, aggressive insurers have sprouted since 2014 and cornered the market of high-yield financial products. These products in turn became the source of funds for their controlling shareholders to finance their corporate raids and takeovers. After several years of runaway growth, the Chinese regulator has finally stepped in, clamping down on the most aggressive insurers with penalties and reprimands. With additional “regulations and requirements set by the China Insurance Regulatory Commission, and the advancement of the industry’s transformation, more opportunities arise for a value-oriented and prudent company like China Life,” Yang said. Hey, we noticed you're a RelSci Pro subscriber! Would you like to view the page there? View on RelSci Pro ➤ Sync your contacts to see how you can connect with Rubbit Chang. Private Equity Team, Alternative Investments Relationship Science 1271 Ave. of the Americas 43rd Floor New York, NY 10020 Relationship Science 1271 Ave. of the Americas 43rd Floor New York, NY 10020 Cathay Life Insurance Company Ltd. is the number one private insurance company in Taiwan. Further to business interests, the company runs a national and international charity foundation, with funded activities including social welfare (encouraging blood donations, supporting Taekwondo talent), academic contributions (scholarships) and cultural investment (sponsporing dance and art competition). The Cathay Life Charity Foundation donated considerable funds to the 2004 Boxing Day Tsunami relief fund. You get delivery of AsianInvestor’s print edition Access to our e-magazine, a full replica of the magazine archived back to 2013, which can be accessed any time on your desktop, mobile device or iPad Full access to our website’s historical archive of over 8,000 articles No limits to the number of stories you can view online (otherwise you’re limited to 5 articles per month) Top news, insights and analysis every weekday The US asset manager has appointed a former Barclays executive as part of a shuffle of regional responsibilities. The Swiss asset manager's head of institutional client coverage for Northern Asia has resigned and will leave in February, but has not yet decided on her next career move. Japan Post Bank, a relative newcomer to alternatives investing, aims to up its current $7 billion allocation by almost 10 times its current level to help deliver higher returns. The British bank has laid off its head of global research and chief economist amid pressure on investors' research budgets. It has also replaced its global head of structuring. The pension schemes of 13 Chinese local governments are reportedly now in deficit, or close to deficit, and the number will only grow if nothing is done. An investment industry veteran left the British bank last month amid several other recent senior departures. He will no It looks like nothing was found at this location. Maybe try a search? Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. CEFC China Energy Company Limited provide energy services. The Company offers oil commercial storage, overseas oil and gas resources exploitation, and other services. CEFC China Energy also offers financial services. CEFC China Energy conducts its business globally. Chinese conglomerate CEFC will buy a 14.16% stake in Russian oil major Rosneft for $9.1 billion from a consortium of Glencore and the Qatar Investment Authority, strengthening the energy partnership between Moscow and Beijing. CEFC China Energy has grown in recent years from a niche oil trader into a sprawling energy conglomerate and the transaction will allow China, the world’s second largest energy consumer, to boost cooperation with the world’s top oil producer, Reuters reported. The deal comes as the United States imposes a new round of economic sanctions on Russia, making it difficult for large western firms such as Glencore to develop partnerships and increase ties with state-owned firms such as Rosneft. Glencore said in a statement that CEFC will buy shares at a premium of around 16% to the 30-day volume weighted average price of Rosneft shares without naming the price. A CEFC spokesman said the company would pay $9.1 billion. Rosneft’s market capitalization stands at $57 billion and the deal makes it one of the largest investments ever made by China into Russia. Glencore and QIA will retain stakes of 0.5% and 4.7% in Rosneft respectively. Russia tops the list of Chinese crude suppliers where it competes with rival Saudi Arabia, the world’s largest oil exporter. Glencore and QIA agreed to buy a 19.5% stake in Rosneft in December 2016 for over €10.2 billion to help the Kremlin plug budget holes. The transaction coincided with expectations of political detente between Moscow and Washington after Donald Trump became US president and pledged to improve ties with Moscow. Rosneft is run by Igor Sechin, a close ally to Russian President Vladimir Putin, who awarded special state decorations to the head of Glencore, Ivan Glasenberg, for executing the transaction. Putin also awarded state decorations to the Russian head of Italian bank Intesa SanPaolo, Antonio Fallico, for helping fund the deal with a €5.2 billion loan. © Financial Tribune Daily and contributors 2014-2017 The trend toward market consolidation has triggered fears among farmers that the pipeline for new herbicides and pesticides might slow. Regulators have required some divestments as a condition for approving the Syngenta deal. The other deals in the sector are a $130 billion proposed merger of Dow Chemical and DuPont, and Bayer's plan to merge with Monsanto. New restrictions on cash leaving the country have put a major wrench in cross- border deals with Paramount, Legendary and Dick Clark Productions. Chinese copper company Anhui Xinke New Material’s planned $350 million purchase of Voltage Pictures was called off in December. Wanda’s difficulties illustrate how Chinese companies are facing mounting regulatory scrutiny and hurdles obtaining offshore funding in their pursuit of assets abroad. In a similar example, Barrick Gold Corp.’s plan to sell its stake in an Australian mine to a Chinese bidder has stalled as the buyer ... © Copyright 2017 Middle Kingdom Media Ltd. All rights reserved It looks like nothing was found at this location. Maybe try one of the links below or a search? Keep abreast of significant corporate, financial and political developments around the world. Stay informed and spot emerging risks and opportunities w • Flag inappropriate postPost has been flagged for review Alert me to websites indicated as potentially harmful. Enter your email address below to get the latest news and analysts' ratings for Centene with our FREE daily email newsletter: Address: Centene Plaza, 7700 Forsyth Boulevard, Saint Louis, Missouri 63105, United State Ticke symbol traded as NYSE: CNC – Centene Corporation operates as a diversified and multi-national healthcare enterprise that provides programs and services to under-insured and uninsured individuals in the United States. It operates through two segments, Managed Care and Specialty Services. The Managed Care segment offers Medicaid and Medicaid-related health plan coverage to individuals through government subsidized programs, including Medicaid, the State children’s health insurance program, long-term care, foster care, and dual-eligible individual, as well as aged, blind, or disabled programs. Its health plans include primary and specialty physician care, inpatient and outpatient hospital care, emergency and urgent care, prenatal care, laboratory and x-ray services, home health and durable medical equipment, behavioral health and substance abuse, 24-hour nurse advice line, transportation assistance, vision care, dental care, immunizations, prescriptions and limited over-the-counter drugs, specialty pharmacy, therapies, social work services, and care coordination. The Specialty Services segment provides pharmacy benefits management services; health, triage, wellness, and disease management services; vision services; dental services; correctional healthcare services; in-home health services; and integrated long-term care services, as well as care management software that automate the clinical, administrative, and technical components of care management programs. This segment offers its services and products to state programs, healthcare organizations, employer groups, and other commercial organizations. The company provides its services through primary and specialty care physicians, hospitals, and ancillary providers. Centene Corporation was founded in 1984 and is headquartered in St. Louis, Missouri. Complete the form below to receive the latest headlines and analysts' recommendationsfor Centene with our free daily email newsletter: Select the product you need help with and find a solution Account Answers Aviate Celebrity Digital Magazines Extensions Finance Flickr Groups Homepage Mail Messenger Mobile Movies Music My Yahoo News Newsroom Postmaster Search Shopping Smart Contacts Sports Subscription Services TV Weather Yahoo View BrightRoll DSP Business Email Commerce Central Domains Merchant Solutions Small Business Stores Web Hosting Search app for Android Search app for iOS Search for Desktop Search for mobile Web Learn what SafeSearch is and how to adjust its settings. Learn how Web results, including personal info, can be removed from Yahoo Search results. Learn important info about providing a safe and kid-friendly web environment, and who to contact if a child is in possible danger. Yahoo doesn't offer financial services but you can link your brokerage account to make trades using the Yahoo Finance app. Find out more and learn how to protect yourself from fraud. Learn about removing malware that causes offensive ads. # Get help if someone posts intimate content of you without your permission Report photos or videos of yourself that someone else put online, and learn about some of the organizations that can help support you through a difficult time. Complete the form below to receive the latest headlines and analysts' recommendationsfor Centene Corporation with our free daily email newsletter: Stock’s free cash flow yield, which represents the amount of cash available to investors before dividends, expressed as a percentage of the stock price, is 2.84. Company trades at a P/E ratio of 10.61 , and is less expensive than the average stock in the Health Care Plans industry. The average investm The outlook for markets, politics, sectors, takeovers, commodities, house prices and more A comprehensive daily news service of over 300 market and company stories from our own StockMarketWire team and the RNS. Since 2001 the Shares Awards have recognised the high quality of service and products from companies in the world of retail investment as voted for by Shares' readers. The Online Personal Wealth Awards were launched in 2014 to recognise and reward those companies who offer great service and products in the area of personal wealth. The UK Forex Awards celebrate the best performing companies in the UK Forex markets. The awards are voted for by Forex traders and the private investment community. The UK Stock Market Awards reward all that is great about publicly-listed British firms, the equity market in which they operate and their enormous contribution to the UK’s economy. Business Design Centre, London N1, N1 0QH Steve Pusey, Non Executive Director, bought 1,361 shares in the company on the 25th October 2017 at a price of 172.00p. The Director now holds 343,801 shares. Director deals data provided by www.directorsholdings.com Complete the form below to receive the latest headlines and analysts' recommendationsfor Centrica with our free daily email newsletter: Complete the form below to receive the latest headlines and analysts' recommendationsfor J Sainsbury plc with our free daily email newsletter: Search within articles Company news Share price Get the latest stock market and investment news, market wraps, promotions and more! Beta is a statistical measure that compares the volatility of a stock against the volatility of the broader market, which is typically measured by a reference market index. Since the market is the benchmark, the market's beta is always 1. When a stock has a beta greater than 1, it means the stock is expected to increase by more than the market in up markets and decrease more than the market in down markets. Conversely, a stock with a beta lower than 1 is expected to rise less than the market when the market is moving up , but fall less than the market when the market is moving down. Despite being rare, a stock may have a negative beta, which means the stock moves opposite the general market trend. Centrica plc shows a Beta of 0.11. This is significantly lower than 1. The volatility of Centrica plc according to this measure is significantly lower than the market volatility. Complete the form below to receive the latest headlines and analysts' recommendationsfor Centrica with our free daily email newsletter: # 5 good value shares for the long run? Centrica PLC, Royal Mail PLC, Just Eat PLC, Berkeley Group Holdings PLC and Legal & General Group Plc Centrica’s 7% dividend yield suggests that it may offer good value for money. It is the highest dividend yield in the FTSE 100, although the company faces an uncertain outlook. Political risk remains high and could heighten over the medium term in my view. Its transformation strategy may also cause investor sentiment to come under pressure. However, at a relatively low share price I feel Centrica could have investment appeal. Also offering good value for money in my eyes is Royal Mail. The company has a P/E of around 10.5, which seems low to me. One reason for this is its international growth potential, with the company’s GLS business unit offering strong growth potential. Sure, there may be the risk of strikes and difficult performance in the UK, but with a low valuation and 6% yield I feel optimistic about Royal Mail’s outlook. Just Eat’s promotion into the FTSE 100 comes after a strong year for the online takeaway ordering service. The company has invested in its technology, and this seems to have boosted its customer loyalty. With the Hungryhouse acquisition having been cleared, this could act as a further catalyst on Just Eat’s share price in future. Therefore, I’m optimistic about its growth potential while it has a PEG of 0.9. Berkel You are being directed to ZacksTrade, a division of LBMZ Securities and licensed broker-dealer. ZacksTrade and Zacks.com are separate companies. The web link between the two companies is not a solicitation or offer to invest in a particular security or type of security. ZacksTrade does not endorse or adopt any particular investment strategy, any analyst opinion/rating/report or any approach to evaluating indiv idual securities. Copyright 2017 Zacks Investment Research At the center of everything we do is a strong commitment to independent research and sharing its profitable discoveries with investors. This dedication to giving investors a trading advantage led to the creation of our proven Zacks Rank stock-rating system. Since 1988 it has more than doubled the S&P; 500 with an average gain of +25% per year. These returns cover a period from 1988-2016 and were examined and attested by Baker Tilly Virchow Krause, LLP, an independent accounting firm. Zacks Rank stock-rating system returns are computed monthly based on the beginning of the month and end of the month Zacks Rank stock prices plus any dividends received during that particular month. A simple, equally-weighted average return of all Zacks Rank stocks is calculated to determine the monthly return. The monthly returns are then compounded to arrive at the annual return. Only Zacks Rank stocks included in Zacks hypothetical portfolios at the beginning of each month are included in the return calculations. Zack Ranks stocks can, and often do, change throughout the month. Certain Zacks Rank stocks for which no month-end price was available, pricing information was not collected, or for certain other reasons have been excluded from these return calculations. Viavi Solutions Inc (Viavi) is a provider of network test, monitoring and assurance solutions to communications service providers, enterprises and their ecosystems. The Company also offers thin film optical coatings, providing light management solutions to anti-counterfeiting, consumer and industrial, government and healthcare and other markets. The document or item was not found on this web site. It may have been moved or removed, or the location supplied may have been incorrect. If you typed the address, please verify that the spelling is correct. Please visit our Investor Relations page to try to find the information you need. Enter up to 25 symbols separated by commas or spaces in the text box below. These symbols will be available during your session for use on applicable pages. Intraday 5 Day 1 Month 3 Months 6 Months 1 Year 18 Months 2 Years 3 Years 4 Years 5 Years 6 Years 7 Years 8 Years 9 Years 10 Years Enter up to 25 symbols separated by commas or spaces in the text box below. These symbols will be available during your session for use on applicable pages. Flash Quote Summary Quote Interactive Charts Default Setting Complete the form below to receive the latest headlines and analysts' recommendationsfor Tile Shop with our free daily email newsletter: Tile Shop Holdings, Inc operates as a specialty retailer of manufactured and natural stone tiles, setting and maintenance materials, and related accessories in the United States. It offers approximately 4,000 products, including ceramic, porcelain, glass, cement, wood look, and metal tiles; and marble, granite, quartz, sandstone, travertine, slate, and onyx tiles primarily under the Rush River and Fired Earth brand names. Choose A Page About Us Press Center Resources Advisory Services Free Newsletters Free Reports Contact Us Advertise With Us Employment Privacy Terms and Conditions Disclosures and Disclaimers Media Sites Sitemap Financial Market Data powered by FinancialContent Services, Inc. All rights reserved. Nasdaq quotes delayed at least 15 minutes, all others at least 20 minutes. The company last reported its quarterly results on Jan 25 BMO. Complete the form below to receive the latest headlines and analysts' recommendationsfor Charter Communications Inc. w Ren Jianxin, Chairman of ChemChina, added: “The discussions between our two companies have been friendly, constructive, and cooperative, and we are delighted that this collaboration has led to the agreement announced today. We will continue to work alongside the management and employees of Syngenta to maintain the company’s leading competitive edge in the global agricultural technology field.” Join today and you can easily save your favourite articles, join in the conversation and comment, plus select which news your want direct to your inbox. Join today and you can easily save your favourite articles, join in the conversation and comment, plus select which news your want direct to your inbox. Subscribe today for unlimited access from only 50c a day Return to the homepage by clicking on the site logo. # Sorry – the page you have requested does not exist In particular, the EU has been closely scrutinizing how the reduced number of industry players could impact innovation and research and development for new products. Dow and Dupont held a private hearing on Monday with the EU whose primary concern over the deal is innovation-related. In October, Syngenta said regulatory approval of the deal was facing delays as regulators seek more information amid a consolidation wave in the sector. You can use the menu on the top of the page to find the content in its new location, or enter the name of the page in the search box below. You can use the menu on the top of the page to find the content in its new location, or enter the name of the page in the search box below. Keep abreast of significant corporate, financial and political developments around the world. Stay informed and spot emerging risks and opportunities with independent global reporting, expert commentary and analysis you can trust. Not sure which package to choose? Try full access for 4 weeks Be informed with the essential news and opinion All the essentials plus deeper insights and analysis FT Newspaper delivered daily plus unlimited digital access * The FT delivered to your home or office Monday to Saturday, including the FT Weekend paper and supplements Why nondisruptive creation is as important as disruption in seizing new growth. This site offers daily updated news and reports, special price reports and much more! Sign up for the free newsletters to receive all the latest industry news. The head of one of China’s biggest chemicals companies has played down expectations the country will become more open to genetically modified crops in the aftermath of ChemChina’s purchase of Swiss seeds and agrochemicals group Syngenta. When the $43bn ChemChina deal was announced in early 2016, many suspected it would result in the swift approval of GM plantings in China, since Syngenta specialises in developing and researching GM. That would be a turnround for a country where several GM grain strands can be imported, but only a few edible crops can be planted due to entrenched domestic fears that the technology poses a security threat. But the issue got little attention at this week’s national congress of China’s Communist Party, despite calls by President Xi Jinping for more modern agriculture to ensure China’s food security. Speaking on the sidelines of the gathering, Frank Ning, the head of ChemChina rival Sinochem, said the adoption of GM crops would only come “slowly, slowly”. Mr Ning said the future of Chinese agriculture is the gradual improvement of seed quality and more targeted application of fertiliser and pesticides, which are big sources of soil and water pollution in China. # Sorry – the page you have requested does not exist You may have typed the web address incorrectly, or the page that you were searching for may have been moved. As a consequence, ChemChina has filed a petition with the Basel Appellate Court to cancel the remaining Syngenta shares that are not held by ChemChina or any of its affiliates. Holders of these Syngenta shares will rec GuruFocus Financial Strength Rank measures how strong a company’s financial situation is. It is based on these factors A company ranks high with financial strength is likely to withstand any business slowdowns and recessions. ROIC GuruFocus Profitability Rank ranks how profitable a company is and how likely the company’s business will stay that way. It is based on these factors: The maximum rank is 10. A rank of 7 or higher means a higher profitability and may stay that way. A rank of 3 or lower indicates that the company has had trouble to make a profit. Profitability Rank is not directly related to the Financial Strength Rank. But if a company is consistently profitable, its financial strength will be stronger. More than 500,000 people have already joined GuruFocus to track the stocks they follow and exchange investment ideas. Buckingham Capital Management Inc. acquired a new stake in shares of Western Digital in the second quarter worth $1,754,000. Cypress Funds Llc who had been investing in Western Digital Corp for a number of months, seems to be bullish on the $24.14B market cap company. Janus Henderson Group PLC now owns 1,994,833 shares of the data storage provider's stock valued at $176,746,000 after acquiring an additional 1,164,954 shares in the last quarter. 6,815,974 shares of the stock were exchanged, compared to its average volume of 4,156,775. In other news, VP R. Hewitt Pate sold 25,500 shares of the stock in a transaction that occurred on Monday, October 16th. Since January 1, 0001, it had 0 insider purchases, and 4 selling transactions for $793,966 activity. Complete the form below to receive the latest headlines and analysts' recommendationsfor Ctrip.Com International Ltd with our free daily email newsletter: Ctrip.com International, Ltd. (Ctrip) is a travel service provider for accommodation reservation, transportation ticketing, packaged tours and corporate travel management in China. The Company aggregates hotel and transportation information to enable business and leisure travelers to make bookings. It helps leisure travelers book tour packages and guided tours, and helps corporate clients manage their travel requirements. Somewhat Positive News Coverage Somewhat Unlikely to Impact Endurance International Group (EIGI) Share Price Complete the form below to receive the latest headlines and analysts' recommendationsfor General Electric with our free daily email newsletter: Enter your email address below to get the latest news and analysts' ratings for your stocks with our FREE daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Enter your email address below to get the latest news and analysts' ratings for your stocks with our FREE daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Complete the form below to receive the latest headlines and analysts' recommendationsfor PNC Financial Services Group with our free daily email newsletter: The PNC Financial Services Group, Inc is a diversified financial services company. The Company has businesses engaged in retail banking, including residential mortgage, corporate and institutional banking and asset management. The Company operates through four segments: Retail Banking, Corporate & Institutional Banking, Asset Management Group, and BlackRock. Complete the form below to receive the latest headlines and analysts' recommendationsfor Chevron Corporation with our free daily email newsletter: Chevron Corporation (Chevron) manages its investments in subsidiaries and affiliates, and provides administrative, financial, management and technology support to the United States and international subsidiaries that engage in integrated energy and chemicals operations. The Company operates through two business segments: Upstream and Downstream. Complete the form below to receive the latest headlines and analysts' recommendationsfor Chevron with our free daily email newsletter: Chevron Corporation (Chevron) manages its inve Panjury is a review platform where anyone can post opinions on any objects, from people, movies, companies to music and video games. Users can also create their own review site called "subjury", setting your own theme and rating scale for the topics you choose. Panjury makes sure your opinions are accounted for rather than sink to the bottom of the internet. 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The link you requested might be broken, or no longer exist. International statesmen Des Browne, Wolfgang Ischinger, Igor Ivanov, and Sam Nunn call on Western and Russian leaders to take immediate steps to reduce the risk of a dangerous military confrontation. A new joint report by NTI and the Russian-based Center for Energy and Security Studies highlights key projects the United States and Russia can take on to innovate and build trust in the nuclear sphere. NTI has resources available to the public and the news media to better understand the capacity, background, and history of the DPRK nuclear program. Datamonitor's Company Mergers & Acquisitions, Alliances & Collaborations and Investments reports offer a exhaustive breakdown of the organic and inorganic growth activity undertaken by an institution to sustain its opposing advantage. This analysis comprises China Aerospace Science & Technology Corporation's contact details and business overview, figures&tables;, a catalog of partners with their descriptions, contact details, investors and targets, a detailed financial analysis and legal advisors, transactions types, main deals by amount, exhaustive transactions analysis, where disclosed. This analysis also covers comprehensive financial details for all mergers and acquisitions, private equity, public offering, venture financing, alliances and partnership and other transactions initiated by China Aerospace Science & Technology Corporation. Theses analysis include data about target company financials, payment methods, sources of business financing, deal values, and advisors, where disclosed. 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If you continue without changing your settings, we will assume you are happy to receive all cookies on CRUgroup.com The largest city in China is also its most cosmopolitan, offering visitors a chance to experience the past, present, and future all at once. The Huangpu River splits Shanghai into two districts: Pudong and Puxi. The Pudong skyline looks like it was ripped from the Jetsons, with the bulbous Oriental Pearl TV and Radio Tower looking a bit like a two headed lollipop. On the Puxi side, you can walk the Bund riverside district to get a taste of old Shanghai. We check up to 200 sites for the latest and lowest prices. Low airfares recently found by TripAdvisor travelers Only show hotels with confirmed availability Get updates with the latest deals and traveler reviews every week. TripAdvisor LLC is not responsible for content on external web sites. Taxes, fees not included for deals content. TripAdvisor uses this information to find you the lowest prices for your stay. Prices are the average nightly price provided by our partners and may not include all taxes and fees. Taxes and fees that are shown are estimates only. Please see our partners for more details. Getting you more information on this room Sorry, this partner no longer has rooms available on TripAdvisor. Please visit one of our 0 partner sites to see rooms from . Getting you more information on this room I've stayed here before and apart from my usual gripe about the smell of cigarette smoke in most Chinese hotels its actually not too bad at all for the money. I will probably stay here again due to business requirements but really its comfortable enough...More JinJiang Metropolo Classiq Hotel, Shanghai Bund Circle * Reservation Options * TripAdvisor is proud to partner with Booking.com and Ctrip TA so you can book your Bao Steel Group Baoshan Hotel reservations with confidence. 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SectorAerospace & DefenseApparelBusiness ServicesChemicalsEnergyEngineering & ConstructionFinancialsFood & Drug StoresFood, Beverages & TobaccoHealth CareHotels, Resturants & LeisureHousehold ProductsIndustrialsMaterialsMediaMotor Vehicles & PartsRetailingTechnologyTelecommunicationsTransportationWholesalers IndustryAerospace and DefenseAirlinesApparelBanks: Commercial and SavingsBeveragesBuilding Materials, GlassChemicalsComputer SoftwareComputers, Office EquipmentConstruction and Farm MachineryDiversified FinancialsElectronics, Electrical Equip.EnergyEngineering, ConstructionEntertainmentFood Consumer ProductsFood ProductionFood ServicesFood and Drug StoresGeneral MerchandisersHealth Care: Insurance and Managed CareHealth Care: Medical FacilitiesHousehold and Personal ProductsIndustrial MachineryInformation Technology ServicesInsurance: Life, Health (Mutual)Insurance: Life, Health (stock)Insurance: Property and Casualty (Mutual)Insurance: Property and Casualty (Stock)Internet Services and RetailingMail, Package, and Freight DeliveryMetalsMining, Crude-Oil ProductionMiscellaneousMotor Vehicles and PartsNetwork and Other Communications EquipmentOil and Gas Equipment, ServicesPetroleum RefiningPharmaceuti Federal Communications Commission 445 12th Street SW, Washington, DC 20554 Sorry, the page you were looking for in this blog does not exist. Sorry, the page you were looking for in this blog does not exist. As Group Chairman, Dr. Shahzad Nasim is involved with the Group and works closely with the Management team to oversee the performance of all Meinhardt offices across the globe, client management and providing input to all the major projects undertaken by Meinhardt Group. Dr. Nasim's career as a Professional Structural Engineer spans more than four decades. He is responsible for the overall coordination of multi-disciplinary professional teams, leading the conceptual designs and overseeing the detail design and constructions of major and complex projects undertaken by Meinhardt. He has built a regional reputation for providing highly innovative, buildable and cost-effective solutions for tall buildings and complex infrastructure projects. Dr. Nasim is regularly invited to speak at local and regional conferences and has numerous papers to his credit. He is also actively involved in educational, professional and statutory boards related to the construction industry. As Group CEO, Omar manages over 4,450 employees across 45 offices as well as to oversee the performance of all Meinhardt offices across the globe, client management, expansion and the diversification of the Group’s international business. Omar previously held the role of Deputy CEO and his responsibilities included overseeing the Group's financial performance, investor relations, risk management, setting up the Water and Environmental division and heading the Group’s Middle East and Africa business. Prior to joining Meinhardt, Omar has had extensive experience in the financial services industry having worked as an investment banker and research analyst for two international banks in Singapore. W.H. has over 42 years of experience in the design, documentation and contract administration of engineering systems of various types of projects in Hong Kong, China, Australia and Overseas. He joined Meinhardt for more than 31 years and built the company from a 20-staff M&E consulting practice to the current 1000 staff multi-disciplinary practice. He spearheads the Meinhardt operations in China and had set up offices in Beijing, Shanghai and Shenzhen. He actively participates in engineering and institutional activities in Hong Kong and had been a HKIE Council Member; Chairman of HKIE Electrical Division; Chairman of HKIE Electrical Discipline Advisory Panel; Chairman of HKSAR Electrical Safety Advisory Committee and a member of HKSAR Energy Advisory Committee. Managing Director Meinhardt Infrastructure Singapore Kok Siong is a Registered Professional Engineer (Civil) and an Accredited Checker practising in Singapore. He has more than 35 years of experience in the field of civil, structural and building engineering and has been involved in several high profile infrastructure projects in Singapore such as the new Downtown Line stage 1 to 3, Circle Line stage 4 and 5, the Central Expressway Tunnel and the Changi Airport MRT station. He was also responsible as the Principal-in-Charge of the Tuas Immersed Tube Tunnel, Bukit Panjang LRT, and MRT North-East Line Contracts 703, 706, 707 and 710. His involvement in the major building projects includes the Singapore Convention and Exhibition Centre, 50-storey PosBank HQ, 52-storey Treasury Building and Jurong Point Shopping Centre. Reuben has over 36 years of experience in managing and engineering large-scale building and infrastructure developments and has been involved in many substantial projects in Hong Kong, Macau, Mainland China and United Kingdom. He is in charge of all structural, infrastructural and environmental business for our China offices and has set up the Group’s Advanced Technology R&D arm. He is also an adjunct professor for the Hong Kong Polytechnic University in Civil Engineering. Reuben had been the Presiden 現在,恆生指數由內地國有銀行主導。圖為香港證券交易所。 圖片來源:Kin Cheung/Associated Press # What It’s Like Inside an Office Space Designed by AI The additional greenery wasn't provided as a perk for some CEO, however. When AutoDesk was preparing to move its office to the other side of downtown, they wanted to create a space that would satisfy as many of its employees as best it could. So the designers used form of AI to understand the needs of everyone who would be working in the new 16,000-sq-ft headquarters. "Generative design" is the principle of using software to create an endless slew of architectural designs that meet the specific criteria associated with a given project. The process can factor in things like cost, how the space is constructed, or performance dynamics. The approach might not include every single input from staff into each design, but offers design options incorporating a mix of data. One design might score high on optimal lighting based on staff input; others may rank high for bringing certain teams closer together. This computational model moves at a pace that would be impossible for human beings to match. Using this data, The Living then spat out 10,000 designs, offering different mixes of high- and low-traffic areas, open spaces and private zones, which team would be close to each other. Some designs featured more open spaces, some designs poured light into entire floors, and others were more conducive to pedestrian traffic. The computers didn't say "This is the best design!" since each design scored high in various metrics. The AutoDesk execs in charge of the design, dubbed the MaRS Mission Team, combed through the more applicable designs in an attempt to meet the preferences of most of the staffers. The design firm Dialog has brought generative design to more than two dozen projects and they see the value in how AI can help architects swing for the fences. "If the designer knows how to use it, can understand the math behind it too, then the possibilities are endless," says Mark Cichy, Dialog's director of computational design and research. The hallmark concept of the new office space is splitting the two main floors into "neighbourhoods" (the ground floor is used as a presentation space), each of which boast unique characteristics those specifically requested by the teams in the surveys. Programmers may take up a neighbourhood, the research group in another. When I pass by a slew of desks, I notice every surface shows off a grainy wood texture, and I motion to it to imply, "That too?" The Credit Equals Gold product is not the first troubled WMP, as these investments are known, to risk nonpayment, but Chinese officials have always managed to make investors whole. CITIC Trust did that in 2013 on a steel-loan product in Hubei province, and a mysterious third-party guarantee rescued a Hua Xia Bank WMP. An investment marketed by ICBC’s Suzhou branch was similarly repaid. A WMP default, whether relating to Liansheng or Zhenfu, could devastate the Chinese banking system and the larger economy as well. In short, China’s growth since the end of 2008 has been dependent on ultra-loose credit first channeled through state banks, like ICBC and Construction Bank, and then through the WMPs, which permitted the state banks to avoid credit risk. Any disruption in the flow of cash from investors to dodgy borrowers through WMPs would rock China with sky-high interest rates or a precipitous plunge in credit, probably both. The result? The best outcome would be decades of misery, what we saw in Japan after its bubble burst in the early 1990s. Most analysts don’t worry about a WMP default. Their argument is that the People’s Bank of China, the central bank, is encouraging a failure of the Zhenfu product to teach investors to appreciate risk and such lesson will improve the allocation of credit nationwide. Furthermore, they reason the central authorities would never allow a def The document you requested either no longer exists or is not currently available. # MOL, China COSCO Shipping tie up for Yamal LNG carriers The two companies will own 50 percent equity stake each in the MOL unit owning the vessels, MOL said in a statement on Thursday. Four carriers with a 174,000 cubic meter capacity will be delivered in 2019 and 2020 and deployed to transport LNG transshipped by the Yamal LNG project from Europe. This is the fourth joint LNG project involving MOL and China COSCO Shipping, following one for ExxonMobil, with four vessels delivered in 2015 and 2016. MOL and China COSCO Shipping cooperated on six vessels for Sinopec with delivery from 2016 to 2018 and the ice-class LNG carriers for the Yamal LNG project with delivery scheduled from 2018 to 2019. The total number of vessels co-owned by MOL and China COSCO Shipping will be increased to 17 in 2020 when all vessels including those in the latest project are in service, MOL said. The inaugural CWC Japan LNG & Gas Summit, with participation and support from METI, JERA, Tokyo Gas and IEEJ, is the dedicated platform for international suppliers… 7 years in the making, APM is the premier shipbuilding & marine, workboat and offshore exhibition in Asia… The 2nd CWC Papua New Guinea Petroleum and Energy Summit is held under the patronage of the Prime Minister of Papua New Guinea… The element requested is either not valid or does not exist. China’s Cosco Shipyard on Saturday began transport of a floating production, storage and offloading (FPSO) vessel to the North Sea where it will be used to produce oil in the UK's Western Isles Development Project. 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Please contact via a different client configuration if you believe that this is a mistake. A printed copy of the report will be shipped to you. This is an enterprise license, allowing all employees within your organisation access to the product. The report will be emailed to you. The report is sent in PDF format. * > The Research and Markets’ customer support team provided me with timely and immediate responses and delivered exactly the information that I was looking for – great job. Thank you very much. I would recommend them to anybody who is looking for market research data. * > Great customer service and super responsive. I was having issues with my payment method but Claire in customer service was super responsive to help several times until the issue was entirely resolved. Great job * > The team at Research and Markets are first rate. Their market intelligence is relevant and accurate and the customer service fast, responsive and dependable. I always benefit from knowledge gained from their comprehensive studies and will continue to utilize their services. * > I have bought reports from other sources but the report that I bought from Research and Markets was the most detailed of the lot. Their customer service was excellent and I was able to get the report without any fuss. Celebrating 15 years in business by partnering with UNICEF for education Electric equipment refers to generators, transformers, circuits and circuit breakers in the electrical system. Upstream industries of electric equipment include non-ferrous metal processing, machine tool, instrument and electronic components. Downstream industries include power grid, industry and service sectors. China has established a complete electric equipment and component industry chain. By the end of 2016, there were 4,000 wire and cable manufacturers in China, leading to fierce market competition. Products produced by local manufacturers are concentrated in the mid to low-end markets. The industry concentration rate is low with small and medium enterprises accounting for over 95%. In 2016, the revenue of the wire and cable manufacturing industry was CNY 1.3 trillion. It is estimated that CAGR from 2017 to 2021 will reach 5%, bringing revenue to CNY 1.66 trillion in 2021. In 2016, the production volume of power generating equipment was 140.66 million kw, increasing by 13.1% YOY. The average utilization time of power generating equipment was 3,785 hours, down by 203 hours YOY. This is the lowest level since 1964, which is due primarily to overcapacity. The report expects that China's electric component and equipment industry will keep growing in the next few years. For one thing, this will benefit from improving urbanization and increasing investment in infrastructure such power grid. For another, policies will support the industry's development. For example, Made in China 2025 set the target that by 2020, the scale of China's advanced power generating equipment industry shall have reached 100 million kw per year with 90% of independence level. The production value of the power transmission and transformation industry shall have reached CNY 2.2 trillion with more than 80% of key components being produced independently. This report analyzes 123 electric components and equipment manufacturers listed in A-share market in China. The report is composed of two parts: the first part is enterprise profiles and the second part is the operation status of these enterprises in the recent decade (presently 2006 to 2016, we will update it to the latest as time goes by). The operation status is demonstrated from the following perspectives: (1) Financial Indexes, such as earnings per share, book value per share (BPS), sales per share United airlines now has direct flights from Houston. United airlines now has direct flights from Houston. Spirit Airlines launched a route to San Pedro Sula from IAH. Spirit Airlines launched a route to San Pedro Sula from IAH. Southwest Airlines added nonstop flights to Liberia, Costa Rica. Southwest Airlines added nonstop flights to Liberia, Costa Rica. Air New Zealand announced April 15 that it will add Houston as its North American destination with a flight to Auckland. Air New Zealand will fly a Boeing 777-200 from Bush Turkish Airlines launched a nonstop flight to Istanbul from IAH. Turkish Airlines launched a nonstop flight to Istanbul from IAH. Photo: Matthew Niederhauser, Special To The Chronicle An Air France Airbus A330 ascends at the beginning of its flight from Bush Intercontinental Airport to Charles de Gaulle Airport outside Paris in late March 2017. An Air France Airbus A330 ascends at the beginning of its flight from Bush Intercontinental Airport to Charles de Gaulle Airport outside Paris in late March 2017. An Embraer ERJ-145 United Express flight takes off from Bush Intercontinental Airport in late March 2017. An Embraer ERJ-145 United Express flight takes off from Bush Intercontinental Airport in late March 2017. Korean Air stopping its flight to Houston The airline began flying between Bush Intercontinental Airport and Incheon International Airport in Seoul in 2014. It will stop flying that route on Oct. 13. 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I am proud that China is a growing country with the world’s 2nd highest GDP; but when it comes to soccer, China is way below other countries. Chinese people love soccer, but for most of us, our love is only expressed by watching others skilled players; only a small proportion actively take part in the sport, and even fewer make it a career. I believe I have part of the answer from my past experiences, and hope I can help the reader gain perspective on this matter from the story I tell in this blog. In March 23th, a World Cup qualifying match between China and South Korea, and China, coached by Lippi, won the match by 1:0. Dabao Yu scored a heading in the first half of the match, and score remained to the end. Maybe this Asian match is not so competitive as the European ones, it is one of the most important soccer matches in China this year, since soccer became very emphasized in China, and China had never won South Korea since 2010. China has one advantage: Korea’s most efficient scorer, Son, cannot take part in the game. However, in China, the public generally thought China would lose due to our lack of talented player. Before the game, I honestly thought the gap between China and South Korea was too big that China would have very small chance to win, but I was so happy that I was wrong. In the game, though South Korea possessed the ball for almost 65% of the time, China stick to the plan of counter attack, a very brilliant tactic devised by Lippi. After the first half of the match, South Korea didn’t even have more than 2 shoots that were on target, because our defense was greatly done. In the second half, in face of Korea who was a big anxious, China made some threatening counter attack, and three good chances were created but missed. Ki Sung-yeung, from Swansea, had two very powerful shot, but our goal keeper, Cheng Zeng, performed even better. The overall game was very well played, and each side showed its passion. At last, when the referee blew the whistle, all the people celebrated for this win that we waited so long. It is calculated that merely in CCTV 5, the national sports Channel, there were 124 million people watching live, and there were also lots of viewers watching on the internet. This match strengthened the Chinese national honor, that we could unit together and win the opponents who are seemingly impossible to win. On March 12, our school held the annual International Day. It is a tradition at HFI that every class represents a country in the world to sell its specialties, and the profits will be donated to the children's welfare institution in Guangzhou. This year, our class was assigned Germany and The Philippines, and I chose Germany as I studied German for a little bit during junior high school. A month before International Day, my Germany group began to do exhaustive research on German culture and specialties. As the leader of the research group, I gave different tasks to my group members to learn more about areas like sports, decoration, food, and cultural information, and we devised a plan for the products we sell with the help of German consulate in Guangzhou. We chose to focus on German sausages, cookies, and broccoli. German soccer is very famous, so we decided to sell the German national team jersey and key rings. Other German stylish decorations like pocket watches, lamps, perfumes, and puppets were included, too. On International Day, we did our best to decorate our station and worked from 10 am to 4pm, earned a lot of money for charity, and had a really good time managing our business. I also visited other interesting groups, like group USA, group China (he This might be because you typed in the web address incorrectly. Please check the address and spelling. These unicorns are forever changing the way we interact with money. > Siemens PLM Software helps Chinese automotive development center save money and win technology awards Durability strongly influences perceived vehicle quality. It is more than a crucial selling point. Customers take it for granted that their cars will survive for approximately 300,000 kilometers, or their trucks will withstand a rough operational environment. But trends in the automotive industry to launch more vehicle variants, as well as minimize weight in view of fuel economy demands, challenge engineers to deliver robust, high-quality vehicles on-time and at an attractive price. So-called “design by experience” leads to recurrent prototype testing and very long and expensive development cycles. Therefore, automotive original equipment manufacturers (OEMs) and their research centers look for new durability engineering technologies, including simulation that frontloads design decisions and delivers better performance from the first prototype. Crucial to successful fatigue life predictions is defining correct road loads and understanding how they affect individual vehicle components. Calculating those analytically is challenging, especially with the presence of active suspension systems. Measurement data is usually either only partially available, or not at all during the concept phase. Over the years, multibody simulation has been advanced as reliable technology to accurately calculate road loads. Several methodologies exist to handle different levels of model complexity and available measured data. “We had issues with damage in components, such as the fracture of critical parts in the front or on local areas of the body,” says Xin Yan, CAE engineer in the Body Department of the Center, specializing in cabin development for commercial trucks. “We used to design the cabin based on static analysis and using our experience. But in this way, we often had fatigue dam - age while testing the prototypes. That meant that we had to modify the structure recurrently, which lengthened the development cycle. Thanks to our collaboration with Siemens PLM Software, we could investigate the problem of fatigue cracking, and we could deploy a simulation process that allowed us to accurately describe road loads and optimize the structure for durability. The driver’s cabin prototype of the first commercial truck we developed using [LMS™](/en/products/lms/index.shtml "LMS") solutions immediately met the durability requirements during the first test.” In the next step, the engineers built a multibody model of the commercial truck, including the cabin and the mounting system. “LMS Virtual.Lab Motion is very user friendly,” says Xin Yan. “Moreover, we received very good training and daily help from the local support team. With their help, we could easily build the multibody model and calculate the drive signals, and in the next step the component fatigue loads.” The Center’s engineers were impressed by the performance and the capabilities of LMS Virtual.Lab Motion TWR. “The twist road event we wanted to replicate is a difficult case, because the low- frequency behavior is very dominant, and that can complicate convergence in a time-domain iterative process,” says Xin Yan. “But the powerful algorithm in LMS Virtual.Lab Motion TWR can handle this very well. On top of that, our model was very detailed and could even include an accurate physical description of the air springs between cabin and suspension thanks to co- simulation with LMS Amesim.” By combining the calculated component fatigue loads with material curves, cyclic fatigue parameters and stress results based on finite element analysis (FEA), LMS Virtual.Lab Durability can accurately determine critical fatigue areas and assess the expected fatigue life. “The software has very specific mod Alert me to websites indicated as potentially harmful. Master TT software with our expansive collection of documentation, tutorials and training videos Post questions about TT software, read articles from our product experts an communicate with other users. The page you are looking for might have been removed, had its name changed, or is temporarily unavailable. Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. Additionally, a 404 Not Found error was encountered while trying to use an ErrorDocument to handle the request. Click a content type to see the kinds of filters available within it. Most filters have many criteria you can choose from, which change depending on your search term. You can search Yahoo sites like Sports, Finance, Shopping, Autos, and more, for Yahoo originals and content and results we've curated from around the Web. Choose between listings and articles on Yahoo Autos. Search the latest celebrity news available on Yahoo Celebrity. General Lighting Electronic Co., Ltd, founded in 2008, is a comprehensive and high-tech enterprise for LED lighting. With three subsidiaries, GL headquarters lies in China South City Global building of Shenzhen, and has two big plants in Shenzhen and Dongguan city, totally 800 employees and 20,000m2 plant area. As a lead enterprise, be professional in the R&D, manufacturing and lighting control solution for LED lighting products, GL does its best to serve the advanced-tech and excellent quality LED lighting products to its valued clients...More General Lighting Electronic Co., Ltd, founded in 2008, is a comprehensive and high-tech enterprise for LED lighting. With three subsidiaries, GL headquarters lies in China South City Global building of Shenzhen, and has two big plants in Shenzhen and Dongguan city, totally 800 employees and 20,000m2 plant area. As a lead enterprise, be professional in the R&D, manufacturing and lighting control solution for LED lighting products, GL does its best to serve the advanced-tech and excellent quality LED lighting products to its valued clients all round the world. GL has developed the commercial lighting, civilian lighting and intelligent residential lighting control system so far, which includes 8 items, 20 series and more than one hundred of products to meet many different clients' requirements. With the fast development, GL pays much attention to technology creation, obtains more than 20 technical patents ,and has applied to be the National High-tech Enterprise and Shenzhen High-tech Enterprise. GL lighting products has got GS, TUV, UL, ETL certificates and also successfully get through the ISO9001 Quality Management System, BSCI Factory Inspection Audit. Today, in the competitive market, GL cooperates with the well-known companies at home and abroad to explore the markets. Since GL's establishment, its sales figures rise up with 100% each year. Be professional; to be dedicated; by Innovation; try to insist. In the near future, GL will be an excellent pioneer to explore and create the new LED lighting market for the transformation from " Made in China" to "China Creation".Less Javascript is disabled in your browser. For the best experience on this web site, please enable Javascript. GE Renewable Energy is one of the world's leading suppliers of wind turbines for both offshore and onshore wind power generation. Hydroelectric power solutions and services from GE Renewable Energy lead the industry with hydropower technology. Our digital solutions for wind and hydro improve performance and profitability through analytics-based insights. Check out a selection of stories from GE Renewable Energy, from onshore and of The talks come as the government seeks to streamline state-owned enterprises (SOEs), including those in the energy sector, by creating huge, globally competitive conglomerates. It has merged 15 SOEs since 2015 and currently manages 103 - a number that could eventually fall to about 40, state media reported. In the latest merger talks, a person with direct knowledge of the matter said China's largest coal miner, Shenhua Group, would take over Guodian unit GD Power Development Co Ltd. A second person with knowledge of the matter said merger talks were at a preliminary stage, and that the option of completely merging the two parents was likely to be tabled later. Shenhua Group, its listed unit China Shenhua Energy Co Ltd, China Guodian and GD Power could not be immediately reached for comment. "We think this merger is very likely to occur," NSBO Research said in a note to clients, referring to a merger of some form between Shenhua Group and China Guodian. Any merger would be positive for their listed units, NSBO Research said. With smog-plagued China moving toward cleaner fuel, a merger of Shenhua Group with a major state power provider such as China Guodian - also a leading hydropower and renewables developer - could ease its dependence on coal. Other listed units of China Guodian - Guodian Changyuan Electric Power Co Ltd, Yantai LongYuan Power Technology Co Ltd and Ningxia Younglight Chemicals Co Ltd - also suspended share trading on Monday. The listed firms said in statements they had been informed by their parent companies about a significant event that involved major uncertainties and required regulatory approvals. Reporting by Meng Meng, Adam Jourdan and David Stanway; Editing by Stephen Coates and Christopher Cushing All of Eaton Aerospace Automotive Electrical Filtration Hydraulics Truck Vehicle Videos Search # Guodian Turns to Eaton for Wind Power Hydraulics ## Guodian wind turbines are producing electricity all over the world with the help of Eaton hydraulic power units for yaw and shaft braking functions. Eaton is providing key wind power technologies to Guodian United Power Technology Company Ltd., a subsidiary of China Guodian Corporation. Established in 2007, Guodian develops and manufactures large-scale wind turbines for inland, onshore, and offshore applications. Eaton's Hydraulics Group in Shanghai, China, is supplying hydraulic power units equipped with Vickers® and Integrated Hydraulics™ screw-in cartridge valves for yaw and shaft braking functions on Guodian wind turbines produced in Hebei Province, China. Eaton is also supplying Aeroquip® MatchMate Plus® hose and Global TTC crimp fittings for braking system functions. Prior to 2007, Eaton provided technical consulting services to China Guodian for Vickers valves on wind turbine systems that it imported for use on its wind farms. When China Guodian formed Guodian the following year to manufacture its own wind turbines, Guodian started operations with wind turbine technology purchased from Aerodyn Energiesysteme GmbH that specified competitive hydraulic power units. Uncomfortable with the local supply channel, Guodian decided to open up the power unit business for bids. The company engaged Eaton in the bidding process, since it was already familiar and well satisfied with the quality and performance of Eaton's Vickers valves. Meanwhile, Eaton personnel helped modify the hydraulic circuit on the Aerodyn wind turbine technology in order to facilitate easier field installation and maintenance. The modification was made possible with Aeroquip MatchMate Plus hose and Global TTC crimp fittings for braking system functions. Still, Eaton China personnel had their work cut out for them in order to stand out from other power unit providers at bay. They put together a crossfunctional team with a solid commitment to being recognized not only as a component supplier, but also a power unit design house backed by a dedicated application engineering team. Eaton's local pr # China National Nuclear Power plans to establish Hebei company The move will be carried out in partnership with Huadian Fuxin Energy Limited Company, Zhejiang Zheneng Electric Power Co Ltd, Shenhua Group and Jointo Energy Investment Co Ltd Hebei, the CNNP said in a statement with the Shanghai Stock Exchange. In addition, CNNP Technology Investment, a wholly-owned subsidiary of CNNP, also plans to establish CNNP TWR Technology Investment (Tianjin) Co Ltd together with the four investors, sporting the same investment proportion. The new company, located in Tianjin, has a registered capital of 750 million yuan. TWR, a new nuclear design using fourth-generation technology, could reduce the need for the enrichment and reprocessing of uranium. CNNP stated the establishment of the TWR demonstration project will be in accordance with, and respond to, the national energy plan arrangement. Bellevue, Washington-based Terra Power, co-founded by Bill Gates in 2006, is working closely with China National Nuclear Corp to conduct research into the use of the new technology. The talks come as the government seeks to streamline state-owned enterprises (SOEs), including those in the energy sector, by creating huge, globally competitive conglomerates. It has merged 15 SOEs since 2015 and currently manages 103 - a number that could eventually fall to about 40, state media reported. In the latest merger talks, a person with direct knowledge of the matter said China's largest coal miner, Shenhua Group, would take over Guodian unit GD Power Development Co Ltd. A second person with knowledge of the matter said merger talks were at a preliminary stage, and that the option of completely merging the two parents was likely to be tabled later. Shenhua Group, its listed unit China Shenhua Energy Co Ltd, China Guodian and GD Power could not be immediately reached for comment. "We think this merger is very likely to occur," NSBO Research said in a note to clients, referring to a merger of some form between Shenhua Group and China Guodian. Any merger would be positive for their listed units, NSBO Research said. With smog-plagued China moving toward cleaner fuel, a merger of Shenhua Group with a major state power provider such as China Guodian - also a leading hydropower and renewables developer - could ease its dependence on coal. Other listed units of China Guodian - Guodian Changyuan Electric Power Co Ltd, Yantai LongYuan Power Technology Co Ltd and Ningxia Younglight Chemicals Co Ltd - also suspended share trading on Monday. The listed firms said in statements they had been informed by their parent companies about a significant event that involved major uncertainties and required regulatory approvals. Reporting by Meng Meng, Adam Jourdan and David Stanway; Editing by Stephen Coates and Christopher Cushing Deep in the jungles of Mondol Sima district in southwestern Koh Kong province, about a seven-hour drive from the Cambodian capital city of Phnom Penh, is the lower Stung Russei Chrum hydropower station, one of the six hydroelectric stations that were constructed by China. Within the framework of the China-proposed Belt and Road Initiative, the hydroelectric station was built by China Huadian Corp and began operations in January 2015 after nearly five years of construction. It has contributed to Cambodia’s socioeconomic development, ensuring that the country has a secure supply of energy and improving the livelihood of the Cambodian people. Largest hydroelectric plant so far in Cambodia With a total installed capacity of 338 MW and a designed annual output of 1.2 billion KWH, the hydroelectric station is the largest of its kind so far in Cambodia. The Chinese builders had experienced tough challenges and difficulties such as hot and humid weather conditions, fighting mosquito infestations, dealing with leeches, poisonous snakes and bears, threat of unexploded mines and warding off malaria and dengue fever. They also faced loneliness due to their isolati Les autres sont China Huadian, State Power Investment, China Huaneng Group et China Datang. # Despite decline in own consumption, China backs hundreds of coal power projects around the world: Report BEIJING: Chinese companies are planning or constructing hundreds of coal-fired power projects around the world, data show, even as Beijing talks up its commitment to fighting climate change. The report by German environmental lobby group Urgewald comes as China seeks to fill a vacuum left by the United States following President Donald Trump's decision to exit the Paris climate agreement. Urgewald estimates about 250 Chinese companies are involved in nearly half of the 1,600 new coal power projects planned or being built worldwide. Urgewald bases its figures on publicly available company information and the Global Coal Plant Tracker published by San Francisco-based research platform CoalSwarm. China-backed projects are planned or under way in several nations including China, Pakistan, Malawi, Egypt and Jamaica, Urgewald said in the report published on June 29. "If the Chinese government truly wants to position itself as a global climate leader, it needs to rein in its state-owned companies that are flooding the world with new coal power plants," Trusha Reddy, coordinator of the International Coal Network at Earthlife Africa, was quoted by Urgewald as saying. "The companies pushing forward this glut of new coal infrastructure pose a threat to us all, as their projects would bury our chances of keeping global warming well below two degrees Celsius," Urgewald director Heffa Schuecking said. China, the world's biggest polluter but also its biggest investor in renewable energy, has repeatedly vowed to stay the course on reducing its greenhouse gas emissions. But although China's own coal consumption has fallen for the past three years, reducing the fossil fuel's share of its energy use to 62 percent, it has also been investing heavily in coal projects abroad as part of its Belt and Road infrastructure initiative. That has prompted accusations that China is exporting its pollution to poorer, less developed countries. # MOU signed with two Chinese organizations on carbon capture Mike Monea, centre, now heads up the International CCS Knowledge Centre. He was instrumental in the development of the Boundary Dam 3 Integrated Carbon Capture and Storage Project. File photo Mike Monea, centre, now heads up the International CCS Knowledge Centre. He was instrumental in the development of the Boundary Dam 3 Integrated Carbon Capture and Storage Project. File photo All those international visits to the SaskPower Boundary Dam 3 Integrated Carbon Capture and Storage project over the years seem to have resulted in some progress, with an agreement signed in China during a Canadian trade mission to that country. By working together, Canada and China are another step closer to cutting industrial greenhouse gas (GHG) emissions and meeting Paris Agreement targets for mitigating climate change. On Dec. 8, the technology and innovation research institutes of Sinopec and China Huaneng Group - have signed Memorandum of Understandings (MOUs) with the International CCS Knowledge Centre, based in Regina, according to a press released by the International CCS Knowledge Centre. The release makes use of a relatively new phrase, in stating, “The MOUs signal a path forward for the two countries to collaborate in the development, demonstration and deployment of carbon capture utilization and storage (CCUS) thereby reducing GHG emissions and providing energy security. Until very recently, the terminology typically in use has been “carbon capture and storage (CCS),” and indeed, that is even implicit in the organization’s name. CCUS is recognized as a clean technology with the ability to make the single largest impact to GHG emission reductions, according to the International CCS Knowledge Centre, which added, “It is a necessary complement in the efforts to maxi It appears as though JavaScript is disabled in your web browser. To use this web site as intended you will need to enable JavaScript. Here are some additional things you might find helpful: Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell The overall rating is a weighted average of the three other rated categories listed below. It is a general indication of the health of a dividend. This indicator measures a stock's current dividend yield, and compares it to similar stocks and historical yields. The rating for dividend history is determined by looking back at the frequency and amount of historical dividend payments. In the first half of 2017, facing the complicated external environment and fierce market competition, the Company adhered to the value-oriented principle, adopted multiple measures, sped up business development and promoted transformation and upgrade by adhering to the operating guideline of "prioritizing value, strengthening sales force, optimizing business structure, achieving stable growth and safeguarding against risk". During the first half of the year, the Company generally operated in a sound and prudent manner, with its business maintaining a rapid growth and its sales force expanding with better quality. During the Reporting Period, the Company's gross written premiums were RMB345,967 million, an increase of 18.3% year-on-year. The Company's market share was approximately 19.38%, maintaining the first place in the industry. With the investment yield growing steadily, and the business quality and operation results improving further, the Company achieved stable progress with better fundamentals. In the first half of 2017, the global economy continued to recover and the developed economies were inclined to tighten their monetary policies. The Chinese economy was moving in a positive direction while maintaining stability, with its key indicators performing better than the market expectation. In the context of preventing against risks and deleveraging in the financial industry, the Chinese economy maintained a prudent and moderate monetary policy. The rollout of new financial regulations posed a greater impact on the market expectation. Bond yield continued to increase significantly, A share market fluctuated within a certain range, and the structural differentiation became obvious. The Company seized the opportunity of interest rate hike and increased its allocation in bonds with long duration and non-standard debt-type products. The Company maintained its allocation in equity investment in the open market at a reasonable level and attached great importance to the value of H share allocation. The Company also actively caught up with good investment opportunities, such as infrastructure, supply- side reforms and convertible loans, etc., to broaden the sources of its incomes. As at the end of the Reporting Period, the Company's investment assets reached RMB2,595,480 million, an increase of 5.8% from the end of 2016. The balances of the Company's fixed income investment and equity investment increased along with the continuous expansion of its investment scale. In the first half of 2017, the interest income from investment portfolios grew steadily, the spread income decreased, and the fair value gains/(losses) through profit or loss increased. During the Reporting Period, the Company's gross investment income reached RMB56,663 million, an increase of RMB5,822 million from the corresponding period of 2016 and an increase of 11.5% year- on-year. The gross investment yield was 4.62%, an increase of 0.24 percentage point from the corresponding period of 2016. The net investment income was RMB57,732 million, an increase of RMB3,148 million from the corresponding period of 2016, and the net investment yield was 4.71%, remaining the same level as the corresponding period of 2016. The gro You may have typed the web address incorrectly, or the page that you were searching for may have been moved. To request an unblock, please fill out the form below and we will review it as soon as possible. Providing a wide range of carefully designed financial solutions to start-ups and established businesses alike, South The Nigerian economy seems to possess the resilience required to keep its annual growth rate running The Bank was named Best Commercial Bank, Africa this year in view of its sterling work Serving well over 22 million customers through a network of more than 2,400 branches in 20 This year, HSBC celebrates its 150th anniversary. The bank was established in 1865 with the express China Merchants Bank, headquartered in Shenzen and boasting 500 branches, is the CFI.co 2014 winner of AXA Winterthur is Switzerland’s leading insurer for comprehensive financial protection, responsible for offering coverage to more An increasing number of businesses, including banks, are adapting their corporate structures and processes to incorporate Once upon a time, booking your next holiday adventure, business trip, or family visit involved many It takes both expertise and passion to become one of Latin America’s most trusted financial services For all its well-documented troubles, Argentina’s economy remains the third largest in Latin America. It is, Banks can – and do – make a big impact on their surroundings. In Mexico, Bansefi This prize comes in recognition of KAEC’s bold investment strategy, the outstanding accomplishments of the organisation After securing its place on the influential MCSI Emerging Market Index in 2014, 1,158 foreign institutional Its operations guided by a robust code of ethics and conduct, Fitch Ratings is well poised Ford Motor Company has innovation tightly woven into its corporate fabric. Henry Ford’s invention and perfection Dunlop Tyres, Goodyear Tire and Rubber Company’s high-end household brand, is becoming well-known for something other Please check that you have entered the correct address. You may have typed the web address incorrectly, or the page that you were searching for may have been moved. Adhering to the philosophy of "being clients oriented and increasing our own values by the way of creating value for clients", CMBI endeavors to provide quality and integrated financial services to institutional, corporate and individual customers both domestic and overseas including Hong Kong IPO sponsorship and underwriting, share placement and rights issue for listed companies, financial advisors, bonds issuance services, asset management, direct investment, wealth management, equity sales and trading, etc. Since its inception 30 years ago, CMB has grown into a nationwide joint-stock commercial bank with total assets over RMB6.1 trillion, over 1800 branches and over 70,000 employees*. CMB has developed into the most influential commercial bank brand in China thanks to continuous financial innovation, quality customer service, prudent management and strong business performance. For many consecutive years, CMB has been ranked among China’s top commercial banks according to comprehensive assessment by CBRC. The bank has won a number of awards, including the Best Commercial Bank of China, the Best Retail Bank in China, the Best Private Bank in China, and Best Asset Custodian Bank in China from Financial Times, Euromoney, the Asian Banker, The Asset and other well- known media. If is associated with an Alamy account you'll receive an email with instructions on how to reset your password. Email me updates for buyers Email me updates for sellers 120,876,160 stock photos, vectors and videos To request an unblock, please fill out the form below and we will review it as soon as possible. The LIB's Shenzhen branch opening further strengthens J.P. Morgan's presence in China and emphasizes the firm's long-term, strategic commitment to this pivotal market. Located in Kerry Plaza in Fu Tian District The page you are trying to reach cannot be found. 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This setting should only be used on your home or work computer. Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. The report utilizes a wide Search Scope All content Publication titles To access our latest research and insights from the Montaka investment team, please SIGN IN To access our latest research and insights from the Montaka investment team, please complete your details below and we will be in touch to confirm your access. Furthermore, Minsheng is being forced to rapidly book impairment allowances (which reduces profit) for existing loans that are deteriorating in credit quality. Consider the chart below: the proportion of the total loan book that is now classified as poor quality (impaired and “special mention”) has accelerated sharply to over five percent, from around three percent last year. Minsheng is not even booking enough allowances in its income statement to meet these poor loans – suggesting Minsheng’s earnings and book value are likely overstated. So, as the profitability of lending deteriorated, Minsheng needed a new game. Enter fees and commissions from “asset management”. Not a new trick at all – indeed many banks in the world are favouring these sorts of earnings streams as they are less capital intensive and, therefore, carry with them higher returns on equity. This strategy has (just) plugged the gap, as the chart below illustrates. One can see the annual contribution (or detraction) to earnings from lending versus from fees and commissions. It does not take a genius to figure out that if lending profitability continues to deteriorate at this rate, then fees and commissions will not be enough to offset it. While this might sound risky (and we believe it is), investors are less concerned if the WMPs have been sponsored by a “reputable” bank. The reason is that investors believe they are granted an implicit guaranteed by the bank on the return of their capital. This idea remains untested, though we can get an insight into the credibility of any potential guarantee by looking at the size of the outstanding issues relative to Minsheng’s book value of equity. Shown below, the combination of WMP trust products sponsored by Minsheng and others (where Minsheng retains an interest), combined with other off balance sheet guarantees equates to nearly 8x book value. Said another way, it would take only a 12.5% loss on the underlying assets to completely wipe out Minsheng’s equity rendering it insolvent. And these are just the exposures off Minsheng’s balance sheet. The sharp growth of more than 70% per annum has been motivated by the need to fill an increasing hole in Minsheng’s income statement from the sharp reduction in profitability on lending, in our opinion. Is there a limit to this growth? We surely hope so. Minsheng is looking at some tough times ahead, in our view. As China slows, demand for loans will slow; net interest margins are already narrowing; credit quality of existing loans are deteriorating at an accelerated rate; and the sharp growth in fee and commission income that was being used to plug the gap may well be coming to an end. Earnings must decline. And that is the best case scenario. Worse could be a string of defaults in the underlying assets that back the WMPs – though let’s not go there for now. The Montaka Global Fund is available to wholesale investors, and is by invitation only, and is not available for distribution to the general public. Montgomery Investment Management Pty Ltd (ACN 139 161 701) (AFSL: 354 564) (Montgomery Investment Management or MIM) is the trustee of the Montaka Global Fund. An investment in the Montaka Global Fund is only available through a valid subscription agreement attached to the Information Memorandum. Before making any decision to make or hold any investment in the Montaka Global Fund you should consider the Information Memorandum in full. You should not base an investment decision simply on past performance. Past performance is not an indicator of future performance. The investment returns of the Fund are not guaranteed, and so the value of an investment may rise The resource requested could not be found on this server! Please be advised that LiteSpeed Technologies Inc. is not a web hosting company and, as such, has no control over content found on this site. Shang Bing, chairman of China Mobile, said on Tuesday China will have at least 10 billion internet-enabled connections by 2020, accounting for one-fifth of global connections. "We will step up efforts to expand our presence in the connected car sector, as part of our efforts to double the number of connections we had in 2015," he made the comments at the firm's global partners conference in Guangzhou. Last year, among 880 million devices China Mobile had connected online, 770 million units of these were smartphones, which are reaching a ceiling point. Internet-connected automobiles will become one of the next key devices for development, the company said. The move comes as China Mobile is ramping up resources to develop 5G networks, after it built the world's largest 4G network within three years. It plans to put 5G into trial operation in 2018 before commercializing next-generation communication technology in 2020. On Tuesday, the firm released technical specifications of its internet of things platform where anyone with an IoT idea can build up his or her product and test whether it is feasible. Xiang Ligang, a Beijing-based expert and founder of industry website cctime.com, said 5G will no longer be a simple technology or a system. Instead, it is a platform in which the telecom industry needs to be deeply linked with other sectors. Fu Liang, a telecom analyst, said China Mobile's huge 4G presence and its cutting-edge 5G research will give the company an edge in capitalizing on IoT. As of the end of November, it has 1.46 million 4G base stations across the country and its 4G subscribers hit 510 million. One of every three 4G users in the world is using services from China Mobile, according to the carrier. Chinese e-commerce giant Alibaba Group Holding Ltd is likely to work closely with China Mobile Communications Corp on data sharing, mobile payment and rural business, a senior executive from Alibaba said on Tuesday. Hu made the comments at the China Mobile Global Partners Conference in Guangzhou. The two companies inked a deal earlier this month, promising close cooperation in basic telecommunication services, information infrastructure, marketing and emerging sectors. According to Hu, however, it is possible for Alibaba to open its membership system, which has more than 600 million users, to China Mobile, in exchange for access to the latter's 850 million subscribers. The system enables interoperability between the two carriers' eSIM systems, which adopt different vendors' subscription management platforms. Previously, for different carriers to reprogram the same eSIM, they had to adopt an eSIM system of one vendor. The new multi-vendor eSIM system announced today incorporates subscription management platforms of two different vendors - one by G+D Mobile Security that DOCOMO has adopted and the other by GEMALTO, which China Mobile has adopted. Going forward, China Mobile and DOCOMO will continue developing services to enable corporate customers' products exported from Japan to China, such as automobiles, industrial equipment and agricultural machines, to smoothly switch from a Japanese carrier to Chinese carrier without replacing their SIMs. The new multi-vendor eSIM system for IoT will be demonstrated at China Mobile's booth during Mobile World Congress Shanghai 2017 from June 28 to July 1. China Mobile Limited (the "Company", and together with its subsidiaries, the "Group") was incorporated in Hong Kong on 3 September 1997. As the leading telecommunications services provider in Mainland China, the Group provides full communications services in all 31 provinces, autonomous regions and directly-administered municipalities throughout Mainland China and in Hong Kong Special Administrative Region, and boasts the world's largest m Among the many different ways to find scholarships and qualify for scholarships is the employer scholarship or employee scholarship. A type scholarship that has been around for some time now but that can sometimes be forgotten in the modern era of online scholarship searches. Not to worry; we haven't forgotten them and, in fact, have quite a few in our scholarship database. Just conduct a free scholarship search to find those for which you qualify or peruse the list we have put together in the section. Midway through his "It's OK to be White" speech at the University of Connecticut, Conservative commentator Lucian Wintrich was arrested and charged with attempted larceny and disorderly conduct after he grabbed a woman who had swiped his notes off his lectern. The charges have since been dropped and in a reversal, the woman was arrested and charged with attempted larceny and disorderly conduct. # US Army Buys Israeli Trophy System So Its Tanks Can Blast Incoming Projectiles A US Army M1 Abrams tank fires a round during a training exercise in Romania in August 2016. Active protection systems aren’t perfect of course. Most notably, just like reactive armor, they only supply a limited number of total “shots” before they become dead weight and crews cannot readily reload them during a fight. In addition, the interceptors could be dangerous to nearby supporting infantry, critical to any armor operation, especially in dense urban terrain, as well as innocent bystanders. With this limitation in mind, tactics will have to be adapted for M1A2 equipped units that field the system operationally. There are possible limits to both of these concepts, though. A laser or other directed energy beam could lose strength and become unreliable in adverse weather conditions or smoky and dusty battlefields. Also the laser would need to be powerful enough to kill the incoming round in a very short period of time. Although solid-state lasers are quickly becoming more powerful, they have a ways to go before such a solution is viable. A jammer would have to be able to create a “bubble” around a vehicle without disrupting friendly communications or other electronic systems, and it would likely be less reliable against wide range of system than a kinetic or laser kill option. With these issues in mind, the Army itself has struggled to decide how much to rely on active protection systems. With any vehicle only able to handle so much weight, designers have to offset the additional strain of new defense equipment, no matter how lightweight, elsewhere. Smoke and dust covers an M1 Abrams after it fires a shot during a drill in Germany in 2014. Other Army officials have suggested in the past there is an institutional reluctance to eschew any amount of passive armor plating in favor of active protection. Confidence in a system is an important, if intangible factor. Given the latest contract announcement, it seems that this perception has changed, at least for some members of the Army’s leadership. Tools to help you design, research and find the right car for you. Technology, performance and design delivered to your inbox. **The short-list for the upcoming 7th annual EuropaProperty CEE Investment & Green Building Awards, the region’s premier event dedicated to investment, development and sustainability throughout the region, has been announced. The eventual winners will be awarded on October 26th 2017 at the InterContinental Hotel in Warsaw, in front some of the region’s leading investment and real estate professionals.** The CEE Investment & Green Building Awards are dedicated to the evolving investment and sustainable development opportunities that are presenting themselves to the market in the region. In this way, this year’s CEE Investment & Green Building Awards presentation will feature the top performing investors and companies in the commercial real estate industry, as well as the leading office, retail and warehouse projects. The semi-fin Dorota Osiecka, Director, Workplace Innovation at Colliers International Pick any corporate balance sheet and real estate will most probably be amongst top three expenditure items. Right next to personnel costs and - in some cases – technology/business processes outlay. And many organizations perceive workplace related issues as just that – a cost generator, a liability much more than an asset you can use to drive your results. Whereas your office space – or broader – the workplace is actually a powerful tool, that can strongly influence bottom line. By harnessing this tool in a right way, businesses can positively influence employee engagement and motivation, the effectiveness of key processes and organizational culture overall. But workplace becomes a beneficial resource only when it is aligned with your company’s other key assets – your people, your processes and culture (aka “the way we do things and why we do them this way”) and key technology. The world of workplace has changed vastly since the times when narrowly understood cost efficiency and control issues were the dominant criteria. The approach that led to creation of dilberty, inhumane cubicle farms is now luckily a thing of the past. Cost pressures are obviously still high on the agenda in a globalized economy, but the efficiency mantra no longer dictates key decisions. What workplace should be about is not how to minimize costs. The question is how to maximize profits by providing the right environment for our employees to thrive and succeed. Well-designed workplace enhances employee engagement and motivation, supports collaboration, stimulates serendipitous interactions and knowledge sharing as well as providing for basic needs of privacy, acoustic and material comfort and individual work requirements. So it is not about sqm per head efficiency any more. But neither is it solely about having a new shiny space with a distinct WOW! factor. Well-designed offices that score high in terms of optimally supporting the business may often have fairly unassuming look. It’s the strategic thinking behind specific functional concepts, the right mix of individual and collaborative workspaces as well as rich variety of support spaces, matched with specific organizational needs and careful change management that does the trick. The journey to an optimal workplace is actually an organizational culture transformation effort as much as a spatial change. Like with any other treatment, you cannot get far without a thorough diagnosis. The Workplace Innovation approach starts out with high level business objectives and key priorities. Once the strategic vision is formulated and refined, diagnostic and analytical part begins where current use of space, key workstyle profiles and organizational culture specifics are assessed. Different levels within the organization are engaged in the process to obtain most accurate picture possible. The results of workplace innovation process are then translated into a design brief for material space arrangement and change management plan for implementing the desired cultural shift. Office move or refurbishment is a fantastic opportunity to introduce organizational changes, improve ineffective processes and get rid of things that hinder us from reaching our full potential. However, whilst changing physical space and design of our workplace is relatively straightforward, changing organizational culture is a complex and multifaceted task that requires careful management to succeed. * * All Categories Advertorial After hours Commentary Economy Events Getting out Lokale Immobilia Main News Our events Poland AM Polen am Morgen WBJ * All Tags "500-plus" program .big 007 1+1 11 bit studios 1944 2007-2013 budget 2014 2014-2020 2015 budget 2016 budget 2017 budget 2018 budget 2018 UN Climate Change Conference 2C Partners 3D printer 3dHubs 3Legs 3M 3S 4F 4Mobility 4you 500+ 500+ program 5th Avenue Holding 70th anniversary of the end of WWII 7Le Hunt for the brightest engineers in India Celebrating 30 years of Tetra Pak in India A one stop platform that caters to the pulse of the pulsating energy. Traders said they were closing positions ahead of the expected arrival of the storm as they did not want to be caught with open trades over the weekend. A cyber attack on critical infrastructure could be a preferred mode of attack in a future war. It can cripple a nation without firing a single shot. The shift highlights the change in the centre of gravity in global oil markets from West to East. The two countries had three maritime skirmishes in 2016 involving warning shots, including one in which Indonesian warships seized a Chinese fishing boat and its crew. This is the fifth extension for OVL to explore Block-128, the licence for which is now valid till June 15, 2019. The number of Chinese deals targeting Belt and Road countries totalled 109 this year, compared to 175 in the whole of last year and 134 in 2015, data shows. Japan and South Korea returned from extended breaks to give Asia a lift. China's tsunami warning centre in the region was expected to start trial operations this year, its official news agency, Xinhua, reported from Beijing in March. State-owned Qatar Petroleum will boost its production by 30 percent to 100 million tons a year within seven years from about 77 million tons currently. The Vinarco Group was established in Asia in 1993 and has become a market leader in providing diversified technical and professional consultancy services across Asia-Pacific, and is now extending its activities to other fast-developing regions, such as the Middle East and Africa. Vinarco Group of Companies, 34th Floor, Abdulrahim Place, 990 Rama 4 Road, Silom, Bangrak, Bangkok 10500 Thailand China National Offshore Oil Company Limited (CNOOC) announced that its independent oil field in the Eastern South China Sea has come on stream successfully, according to a China View report. The oil field, Lufeng (LF) 13-2, is flowing 18,000 barrels of oil per day from three horizontal wells. The production capacity of these wells is tested at 30,000 barrels of oil per day. Major production facilities of the project include a wellhead production platform, a 12-km subsea pipeline and cables. The crude will be transported to and processed in LF13-1. So far, the Eastern South China Sea has seen its annual oil and gas yield surpass 10 million cubic meters for 10 consecutive years and has become the fourth largest oil field of the country. Source: China View ABS, a leading provider of classification and technical services to the marine and offshore industries, formed a joint venture with Notabene Classification Limited to offer regulatory and technical support services, including key classification services to the upstream oil and gas market in Ghana. “This joint venture is an important milestone and demonstrates our strong commitment to advancing safety in all parts of the globe,” said ABS Executive Vice President, Global Offshore, Kenneth Richardson. China's LNG demand soars as tankers from the Americas divert to China. Liquefied natural gas (LNG) is being re-exported to China from Japan and tankers are being diverted from as far away as Brazil, with traders rushing to find cargoes in the face of a supply crunch in the world's No.2 economy as winter bites. Following an unprecedented drive to switch millions of households to natural gas from coal for heating, China's imports of LNG have surged as utilities struggle to meet soaring demand as winter gets off to a colder start than usual. Devon Energy Corporation, a U.S.-based oil and gas exploration, development and production company, sold its producing Panyu field located offshore China to China National Offshore Oil Corporation. China National Offshore is a state-owned oil and gas producer in China. In April, Devon Energy said it had agreed to sell its producing Panyu field located offshore China to China National Offshore for $515m. Du The Fortune Global 500 is a ranking of the top 500 corporations worldwide as measured by They make the difference through our people, a team of dedicated professionals, who value our Exxon Mobil Corporation is committed to being the world's To become the worldwide leader in retailing To help people save money so they can live • To have the best competitive corporate, operating To be the global energy company most admired for its They aim to improve in all areas, and stay the leading To be recognized as the leading international petroleum To become the largest chemical fertilizer manufacturer and Toyota aims to achieve long-term, stable growth in harmony with the environment, the global Giving stress on security and confidence that Japan Post, as a public organization, has General Electric Mission Statement from their To build an integrated international energy corporation. Volkswagen is expanding the research and development To provide secure, reliable and quality power supply Dexia’s strategy is now to refocus and to invest in historical To play an active role in community, Eni Foundation focuses "Over the past 100 years, GM has been a leader in the global They strive to understand all stakeholders and address their To establish itself as a leader among global energy companies by entering new markets, diversifying its Is a globally leading producer of premium passenger cars and the largest manufacturer of commercial To be the leading asset management company in the GCC region The Carrefour group has one simple ambition: making To become the energy firm of world reference ArcelorMittal is the leader in all major global markets, including automotive, construction, To design and create in this decade the new global network, A world of proven talent delivering breakthrough innovations To be one of the world's most competitive state enterprises To create a diverse and inclusive environment. Diversity and To offer the best possible range of construction products, Vision for 2020 - We will be one of the five largest Banco Santander‘s goal is to be the leading full-service bank Vision is to continue to help theircustomers grow and Vision is to be ‘the best Retail Bank in the world’. To achieve To be the most competent, profitable, and innovative Deliver the right parts exactly on time, exceed our To bring together clinical knowledge, process expertise, technology and the resources of a Fortune To be the most competitive and the most productive Corporate solutions and the Internet services, and the To create a world-class European leader in banking Be a leading international team that produces consistent, To bring consumers foods that are safe, of high quality and provide optimal nutrition to meet Bring together people and products in all corners of Seek solutions for a harmonuous environment; shift To create richer lives and a better society by providing products, systems, and services with a To redefine the relationship between mankind and energy in order Defend the Group's strong position in the German mail To broaden the scope of the business to enable it to To create a new way of banking by thriving to serve To be the premier global healthcare company as recognized We mobilize personal, social and business Enel is the leading producer and distributor of To create mobility which has a truly human dimension To become a leading global energy company To harness natural energy resources for human benefit To become the operator trusted by all those who To be the best consumer products and services To provide the best of software engineering Leading global investment bank with a strong Company dedicated to making health care work Pursue useful technological innovations, whose design and To be an international integrated oil and gas company, perceived with admiration, and focused on To be a social and business catalyst, liberating and To be the most successful premium manufacturer in A top global company by pursuing the managem Enter your email address to follow this blog and receive notifications of new posts by email. Archive Select Month December 2017 November 2017 October 2017 September 2017 August 2017 July 2017 June 2017 May 2017 April 2017 March 2017 February 2017 January 2017 December 2016 November 2016 October 2016 September 2016 August 2016 July 2016 June 2016 May 2016 April 2016 March 2016 February 2016 January 2016 December 2015 November 2015 October 2015 September 2015 August 2015 July 2015 June 2015 May 2015 April 2015 March 2015 February 2015 January 2015 December 2014 November 2014 October 2014 September 2014 August 2014 July 2014 June 2014 May 2014 April 2014 March 2014 February 2014 January 2014 December 2013 November 2013 October 2013 September 2013 August 2013 July 2013 June 2013 May 2013 April 2013 March 2013 February 2013 January 2013 December 2012 November 2012 October 2012 September 2012 August 2012 July 2012 June 2012 May 2012 April 2012 March 2012 February 2012 January 2012 December 2011 November 2011 October 2011 September 2011 # China North Industries Group Corporation Revenue and Financial Data # PIERS MORGAN: China could get rid of Kim Jong-un with one simple act AND the minimum loss of life, so why won’t they bring the madman in their backyard to heel? Like me, you probably don’t know your kiloton from your kilogram. But here’s an analogy that will make the scale of this weapon and explosion crystal clear for everyone: that means the device was SEVEN TIMES stronger than the atomic bomb America dropped on Hiroshima in 1945. Terrifying: North Korea has upped the ante by successfully testing its first hydrogen bomb and is working to miniaturise its nuclear arsenal (above) which will enable despotic Kim Jong-un to fire missiles at the United States The kind of intercontinental ballistic missile North Korea deploys to carry such a bomb could technically reach the United States. And Vipin Narang, a nuclear expert at MIT, told the Washington Post that North Korea could ‘destroy the better part of a city with this yield.’ Put all these facts together, and you start to understand just how serious and potentially catastrophic this crisis has become. No wonder then that Secretary of Defense James Mattis warned ‘any threat to the United States or its territories, or our allies, will be met with a massive military response – both effective and overwhelming.’ Nor that Australian prime minister Malcolm Turnbull said the Korean peninsular was now ‘closer to war than at any time’ which would be ‘a disaster for the region and world.’ Enabler: President Xi needs to make sure that China gets off its selfish and lazy backside and take care of the Kim problem once and for all The question, once again, remains a simple yet highly complex one: what the hell do we do about this? Nobody, least of all the US, actually wants a nuclear war. Why would he? His whole strategy to date, like his father, has been to build a military defence so big and powerful it protects his vile regime from attack. If Jong-un fires one bomb at the US or its allies, he would sentence himself and his country to instant annihilation. But the world can no longer just sit back and let this crazed upstart act with such brazen and dangerous impunity given the increasing size and power of his nuclear weaponry. What worries me most about this situation is the chance of North Korea making a horrendous mistake and accidentally provoking war with a test that goes horribly wrong. But how, if military action is not a realistic option? Tough new United Nations Security Council sanctions implemented last month were a good start, and it was very encouraging to see every member country signing up to them. Unfortunately, I fear they don’t go nearly far enough. North Korea needs to be attacked financially in a way so devastating it is rendered economically impotent, and the most lethal administer of such an attack is its biggest trading partner, China. China has The page you were looking for may have been removed. You may have typed the wrong URL in the address bar. Although unlikely, there could have been a technical error on our site. You Wanna Get an Auto Insurance Quote for China Pacific Insurance Group Co Ltd (CHPXY) online? Are you looking for discussions about current discounts on liability insurance for automobiles, trucks and motorcycles? Would you compare prices, advantages and disadvantages of each insurance corporations? What are the recommended limits for third party auto insurance for China Pacific Insurance Group Co Ltd (CHPXY)? What kind of car cover (all carriers) is sufficient? Are you looking for discussion with experiences of other customers with online auto insurance and coverage options? Do you have claim to affirmative auto insurance? Are you looking for the rates and prices of american automobile insurance company (phone number) for China Pacific Insurance Group Co Ltd (CHPXY)? I recommend to you to first verify the customer experience in a discussion on the Internet. 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If you feel this block is in error, please contact us using the form below. From Wikimedia Commons, the free media repository The requested object does not exist on this server. The link you followed is either outdated, inaccurate, or the server has been instructed not to let you have it. Asia real estate and outbound investment news About Us Solutions Resources Contact Us Log Out Register Log in R # MICROCAPITAL BRIEF: Alibaba’s Ant Financial Raises $4.5b from Investors Including China Life, China Post Group, China Development Bank Capital, Primavera Capital Group to Expand Services in Rural Areas Ant Financial Services Group, an online lender affiliated with Alibaba Group Holdings Limited, a Chinese e-commerce company, recently completed a Series B equity raise of USD 4.5 billion. First-time investors in the firm included consortiums led by China Investment Corporation Capital and CCB Trust, a subsidiary of China Construction Bank. Existing shareholders also increased their commitments, including China Life, China Post Group, China Development Bank Capital and Primavera Capital Group. The money raised will be used to continue expanding Ant Financial’s provision of financial services in China’s rural areas, developing the firm's cloud computing infrastructure, adding biometric verification technologies, and assisting with the company’s expansion outside of China. As of 2015, Ant Financial had approximately 450 million active users in China, of whom approximately 140 million were based in rural areas. Ant Financial’s MyBank and Ant Micro Loan collectively had provided microloans to approximately 20 million customers, including micro- and small businesses as well as individuals. Alibaba Group Holdings reported total assets of USD 41 billion and total income of USD 4 billion for its financial year ending 2015. Jack Ma, Alibaba’s Executive Chairman, will retain majority ownership of Ant Financial. About Ant Financial Services Group (Ant Financial) Ant Financial was founded as Alipay in October 2014 by Alibaba Group Holdings Limited, a Chinese e-commerce company. It was spun off from Alibaba in 2015 to become Ant Financial and is controlled by Jack Ma, Alibaba’s Executive Chairman. Ant Financial continues to use the Alipay brand for an online platform that provides financial services including payments, wealth management, insurance and microloans to micro- and small enterprises as well as individuals. As of 2015, Ant Financial had approximately 450 million active users in China, of which approximately 140 million were based in rural areas. Ant Financial also owns MyBank, a private bank established in June 2015; Ant Micro Loan, its microloan business; and Yu’e Bao, a money market fund, amongst others. Mybank and Ant Micro Loan collectively provided micro-loans to approximately 20 million individuals, micro- and small businesses. Alibaba Group Holdings reported total assets of USD 41 billion and total income of USD 4 billion for its financial year ending 2015. Search MicroCapital by Month Select Month December 2017 November 2017 October 2017 September 2017 August 2017 July 2017 June 2017 May 2017 April 2017 March 2017 February 2017 January 2017 December 2016 November 2016 October 2016 September 2016 August 2016 July 2016 June 2016 May 2016 April 2016 March 2016 February 2016 January 2016 December 2015 November 2015 October 2015 September 2015 August 2015 July 2015 June 2015 May 2015 April 2015 March 2015 February 2015 January 2015 December 2014 November 2014 October 2014 September 2014 August 2014 July 2014 June 2014 May 2014 April 2014 March 2014 February 2014 January 2014 December 2013 November 2013 October 2013 September 2013 August 2013 July 2013 June 2013 May 2013 April 2013 March 2013 February 2013 January 2013 December 2012 November 2012 October 2012 September 2012 August 2012 July 2012 June 2012 May 2012 April 2012 March 2012 February 2012 January 2012 December 2011 November 2011 October 2011 September 2011 August 2011 July 2011 June 2011 May 2011 April 2011 March 2011 February 2011 January 2011 December 2010 November 2010 October 2010 September 2010 August 2010 July 2010 June 2010 May 2010 April 2010 March 2010 February 2010 January 2010 December 2009 November 2009 October 2009 September 2009 August 2009 July 2009 June 2009 May 2009 April 2009 March 2009 February 2009 January 2009 December 2008 Novembe Complete the form below to receive the latest headlines and analysts' recommendationsfor Intuitive Surgical with our free daily email newsletter: The mathematical calculation that represents the degree of change over time is known as "percentage change". In finance, it serves many purposes, and is often used to represent the price change of a commodity. Average Volume is the amount of securities traded in a day on average over a specific time period. Trading activity relates to the liquidity of a security. When average volume is high, the stock has high liquidity and can be therefore easily traded, while conversely, when the trading volume is low, the commodity will be less expensive as traders are not as willing to purchase it. Average volume has an effect on the price of the security. China Railway Construction Corp. (OTCMKTS:CWYCY) has seen 712.85 shares trade hands on an average basis. Considering that price volatility is equivalent to risk, a commodity's trading range is a great indicator of risk. Conservative investors will gravitate towards securities with smaller price fluctuations as compared to securities with larger price swings, preferring to invest in relatively stable sectors such as health care, utilities, and telecommunications and avoiding high-beta sectors like commodities, technology, and financials. Investing in penny stocks can be one of the riskier behaviors that traders and investors engage in within the stock market. Penny stocks are defined as stocks with a share price below a certain amount, usually under $1 per share. Beginners find these stocks to be attractive due to their low price, but penny stocks come with more volatility and risk than the more traditional "blue chip" stocks. Often times finding a buyer for penny stocks can prove to be difficult. If a buyer can't be found, a seller may have to lower the asking price, sometimes to the point where it's no longer profitable to sell, making it a losing proposition. Having an account with an online brokerage account is key, you need to have a straightforward way to make transactions. Online brokerage accounts allow easy access to stocks and feature low commissions and minimal fees. It's important to make sure that your online brokerage account provides for you the information that you need to help you make the best decisions. The best brokerage accounts include charts, historic data and the like. Disclaimer: _ The views, opinions, and information expressed in this article are those of the authors and do not necessarily reflect the official policy or position of any company stakeholders, financial professionals, or analysts. Examples of analysis performed within this article are only examples. They should not be utilized to make stock portfolio or financial decisions as they are based only on limited and open source information._ Get Market Moving Picks in your inbox Before the Bell What looks like a duck, quacks like a duck, but doesn’t walk like a duck? A lame duck, of course. Watch tomorrow’s state of China address and the policies announced by the National People’s Congress to see if Chinese Premier Wen Jiabao fits that description. My bet is that with Wen and President Hu Jintao both scheduled to step down from their posts atop the Communist Party and to retire from their government positions in 2013 at the end of their ten-year terms, the jockeying over who will replace them has already begun. And that means that Wen doesn’t have the clout he needs to push through the reforms he has repeatedly told the country it needs. If so, that's got hefty implications for investors. Wen made his most recent argument for reform on February 27 when he said that China’s current economic policies are creating increasingly dangerous distortions in China’s economy. A policy that emphasizes investment in manufacturing and growth in exports and that discourages domestic consumption is inflating property and stock prices, and threatens to produce runawa TRX City Sdn Berhad, a former 1MDB division now owned by the Malaysian finance ministry, said the deal had lapsed to sell 60 percent of Bandar Malaysia, a major property development project on the site of the former Sungai Besi air force base in Kuala Lumpur, because the buyers "failed to meet the payment obligations". The joint venture Iskandar Waterfront and CREC group, IWH CREC Sdn Bhd, said in a statement that TRX City's termination notice and press statement "does not fully and accurately reflect the circumstances and conduct of the parties in this matter." It said the group was reviewing the contents of the notice and statement with its advisors and legal counsel. Prime Minister Najib had said at the time that the sale, plus other deals, would mean 1MDB's major challenges were now behind it. "TRX City will immediately be inviting expressions of interest for the role of master developer of Bandar Malaysia, with full ownership being preserved by the Ministry of Finance," the company said in a statement. TRX City, which the finance ministry took control of last year in the wake of the scandal, said the ministry would remain its sole shareholder. When the Bandar Malaysia deal was first announced 1MDB said Iskandar Waterfront would hold 60 percent of the venture, buying the 1MDB stake, while China Railway Engineering would hold the rest. The Bandar Malaysia development will include a hub for a digital free trade zone and a terminal for the high speed rail connecting Kuala Lumpur and Singapore. Reporting by Praveen Menon and Liz Lee; Editing by Jane Merriman, Greg Mahlich The Asian economy is rampantly growing and it is countries such as Singapore, Hong Kong, Japan, and China that are leading the whole Asian equity market. Singapore and Hong Kong, for example, have recently been named by CG Watch as the top two countries in Asia with the best corporate governance in 2016. These countries are home to two of the most influential stock exchanges in the world, the Singapore Exchange (SGX) and the Stock Exchange of Hong Kong (SEHK). Both are subjects of CHINA RAIL CONS interest. With a total market capitalization of HK$24.68 trillion and a listing of nearly 2,000 companies as of 2015, the SEHK is Asia’s third biggest stock exchange and the world’s sixth biggest stock exchange. It was established in 1891 with its benchmark index, the Hang Seng Index (HSI), being first published in 1969. The components of the HSI are classified into four sectors since January 1985. These sectors include Utilities, Materials, Financials, and Energy— the biggest sector. For a company to be eligible as a component of the HSI, it must belong to both the top 90% of the total market capitalization of common shares and total turnover on the SEHK, respectively. It must also be listed on the SEHK at least 24 months prior to the review date. Exceptions apply to companies that exhibit compelling market capitalization and liquidity. The same goes for CHINA RAIL CONS company. In such cases, companies can already be eligible as components even if they have just been listed on the SEHK for three months prior to the review date, which happens quarterly. Before the Global Financial Crisis of 2008 broke out, the HSI had first attained the 30,000 mark in October 2007. As a result, the HSI had posted its all-time high of 31,638.22 during the same month. The massive gains during that time are highly attributed to investors flocking safe-haven equity markets such as that of Hong Kong in anticipation of the Global Financial Crisis of 2008. A year after attaining its all-time high, the HSI had lost more than 67%, falling back to the 10,000 mark in October 2008. In July 2009, the HSI had slowly recouped, attaining the 20,000 mark once again. It was highly appreciated by CHINA RAIL CONS and its investors. With a rich history backing the success and potentials of the SEHK, it is a guarantee that investors will gain interesting returns from their investments in Hong Kong Title Title Mr Ms Mrs Miss Dr Prof First name Country Country Belgium Canada China Denmark Finland France Germany India Italy Japan Netherlands Spain Sweden Switzerland United Kingdom United States Afghanistan Albania Algeria Angola Argentina Australia Austria Bahamas Bahrain Bangladesh Barbados Belarus Belize Benin Bhutan Bosnia and Herzegovina Brazil British Virgin Islands Bulgaria Cambodia Cameroon Chile Colombia Comoros Congo Costa Rica Croatia Cyprus Czech Republic Dominican Republic East Timor Ecuador Egypt Estonia Ethiopia Gambia Georgia Ghana Greece Haiti Honduras Hong Kong Hungary Iceland Indonesia Iraq Ireland Islamic Republic of Iran Israel Jamaica Jordan Kazakhstan Kenya Kuwait Laos Latvia Lebanon Liechtenstein Lithuania Luxembourg Macedonia Malaysia Malta Mauritius Mexico Montenegro Morocco Myanmar Namibia Nepal New Zealand Nigeria Norway Oman Pakistan Papua New Guinea Paraguay Peru Philippines Poland Portugal Puerto Rico Qatar Romania Russia Rwanda Saint Lucia San Marino Saudi Arabia Senegal Serbia Singapore Slovakia Slovenia South Africa South Korea Sri Lanka Suriname Syria Taiwan Tanzania Thailand Tonga Trinidad & Tobago Tunisia Turkey Uganda Ukraine United Arab Emirates Uruguay Venezuela Vietnam Yemen Zambia Zimbabwe Please uncheck this box if you do not want us to share your details with carefully selected third parties. The Cambodian economy has performed relatively well in the last two decades with an average growth rate of more than seven percent from 2000 to 2016, making it one of the fastest growing economies in Asean and East Asia. It is forecast that the Cambodian economy will remain dynamic with a growth rate of seven percent for 2017 and 2018, although the global economic environment remains volatile and uncertain. Foreign direct investment is the key driving force of Cambodia’s economic development. China, Japan, South Korea and Asean countries are the main sources of the foreign direct investment (FDI) inflow to the kingdom. From 1994 to 2016, the total investment capital from China was about $14.7 billion, concentrated on four sectors – the agriculture and agro-industry, the industrial sector, physical infrastructure and services and tourism Chinese investments to Cambodia are mainly driven by deep political trust, economic conditions, market access, low labour costs and natural resources. The reasons given for China investing in Cambodia are the “excellent diplomatic relationship” between the two countries, the relatively stability of the political situation and a sound macroeconomic environment, low labour costs, shared Asian values and Cambodia’s strategic location in mainland Southeast Asia. Chinese investments to Cambodia are enabled by the bilateral agreement on the protection and promotion of investment, which came into force on August 19, 1999. As a least developed economy, Cambodia has enjoyed preferential trade agreements with and market access to the world market, particularly the United States and the European Union. As a member of the Asean economic community, Chinese firms investing in Cambodia can export their products to the whole of the Asean market, which has a population of more than 620 million. Cambodia has relatively cheap labour costs – the minimum wage for a factory worker was $153 as of 2017. To avert risks, Chinese firms in Cambodia receive political support from China, in the case of state-owned enterprises, and political connections and protection from the local elites. Chinese investments in Cambodia are varied in terms of ownership type and asset specificity. China’s state-owned enterprises focus on hydropower plants and natural resources, which largely enjoy investment approval and protection. China’s private firms concentrate their investments on the garment industry and the tourism sector. Chinese investment in the textiles and clothing industries contributes significantly to the socio-economic development through creating job opportunities for more Our servers have seen too many requests from you recently. If you feel this block is in error, please contact us using the form below. Statistics and Studies from more than 18,000 Sources Save valuable research time by accessing all relevant information and facts already included in this report You are banned from this site. Please contact via a different client configuration if you believe that this is a mistake. You are banned from this site. Please contact via a different client configuration if you believe that this is a mistake. Wartsila has signed a joint industry project cooperation (JIP) undertaking with Dalian Shipbuilding Industry Company (DSIC), a part of the China Shipbuilding Industry Corporation. The objective of the JIP is to develop a preliminary production level design for a 127,000 dwt shuttle tanker that may be built by DSIC with DNV-GL classification. The agreement was signed in October 2017. The demand for shuttle tankers is forecasted to increase, and this joint project is intended to generate a high level design concept with a dynamic positioning (DP) system that can be offered to potential owners. According a new report on China’s shipbuilding industry from Research and Markets, from 2006 to 2010, the total demand for ships in China will reach 31 million dead weight tons (DWT), and the annual demand will be 6.2 million DWT on average. The report, dubbed China Shipbuilding Industry Report, 2005–2006, notes that China’s ship completions rank third over the past 10 consecutive years, and the shipbuilding capacity has increased from 3.462 million DWT in 2002 to 12 million DWT in 2005. The boom of China’s shipbuilding industry is closely linked with the development of marine industry, says the report. Although the global marine market declined in 2005, new opportunities emerged. The Taiwan Government is inviting bids for a majority stake in China Shipbuilding Corp, the island’s biggest shipbuilder, to help the company become more competitive and raise funds for public spending, according to a Bloomburg report. The Government aims to sell a stake of between 51 per cent and 66 per cent in the company, the shipbuilder said in a statement published in Taipei’s Commercial Times. The stake offered includes three billion new shares. The planned sale will release the company from policies and regulations that have constrained state-run companies, China Shipbuilding said in the prospectus to investors. Reducing state ownership to less than 50 per cent frees companies from having lawmakers review their budgets and from the Government’s management control. Chinese shipbuilding giant, China Shipbuilding Industry Corp (CSIC) makes debut at Malaysia defense show. The China Shipbuilding Industry Corporation (CSIC) recently made its debut in the Langkawi International Maritime and Aerospace Exhibition in Malaysia, reports Xinhua. The company brought its latest product models, including a submarine, landing platform dock and frigate, to the four-day show. Xu Ziqiu, general manager of China Shipbuilding and Offshore International, the international marketing and sales arm of CSIC Xu admitted the shipbuilding industry was not yet fully recovered from the global financial crisis, and hence his company was interested in tapping the global market. Source: Xinhua China's shipbuilding industry continues to grow rapidly with shipbuilders getting new orders totaling 16.08 million deadweight tons in the first half of the year, a 113-percent rise over the same period last year, the National Development and Reform Commission (NDRC). The NDRC said shipbuilders hold total orders of 50.92 million deadweight tons in the first half of the year with an increase of 43 percent, accounting for 20 percent of the world's market share. The national Medium-and Long-Term Plan of the Shipbuilding Industry, which was approved in August by the State Council, the country's cabinet, said the industry should accelerate its restructuring and u Typhoon Hato blew past Guangxi Zhuang Autonomous Region and weakened into Yunnan Province Thursday, nearly 20 hours after it made landfall with full force in Guangdong Province and wreaked havoc in Macao. In Guangdong, traffic and power supply are resuming. Train and ferry services were starting to be restored late Wednesday and efforts continued on Thursday. The provincial government said 6,425 houses collapsed and 50,000 hectares of farmland sustained damage. More than 2.7 million households had their electricity supply disrupted, but three quarters had power back by Thursday, according to China Southern Power Grid. Three coastal nuclear power stations remain unharmed. In neighboring Guangxi, three quarters of the 611,000 households who experienced blackouts now have power back. The typhoon is forecast to move northwest at 20 km per hour towards the coast of Guangdong. Though slightly weaker than Hato, it is likely to make landfall near Guangdong on August 27. # China Southern to boost Chinese Power Grid investments China Southern Power plans to increase investment in the country's grid networks by almost a third of its previous investment. China Southern Power Grid Corp., which operates networks in five provincial areas in south China, will use 28% of the proposed investment for rural areas, according to Shanghai Daily. China is improving its grid coverage to provide access to electricity for more homes and is also investing in a power network generated by renewable sources like wind. SMX Convention Center, Manila, Philippines Paris Nord Villepinte – Hall 7, Paris, France Typhoon Mawar, the 16th typhoon formed in the northwest Pacific this year, made landfall in Lufeng at 9:30 pm on Sunday, packing winds of up to 72 kilometers per hour. Although weaker than the previous two typhoons in recent weeks, Hato and Pakhar, authorities issued red alerts for rainstorms, while kindergartens and primary and middle schools were closed in Shenzhen, Zhuhai, Zhongshan, Shanwei, Shantou, Chaozhou and Guangzhou. Many roads in Zhuhai and Shenzhen were flooded, cutting off traffic. More than 20 bus lines were suspended in Zhuhai, a city that felt the full force of Typhoon Hato on Aug 23. The wind caused by Mawar was not very strong but rain was heavy, said Zhou Shuying, a resident in the city. Roads were seriously waterlogged and many cars were submerged by water. Traffic was brought to a standstill on some roads. Water and power supplies remained normal in Zhou's neighborhood and the floodwater began to retreat gradually after 3 pm on Monday, she said. Police officer Tan Jiaguang waded in water up to his waist in Zhuhai's Nanyangpu village to reach a gong, which he rang to warn residents to relocate to emergency shelters. His station helped transport about 600 people, including in speed boats, Zhuhai Daily reported. A minor landslide occurred in Jigongsan Street in Zhuhai on Monday morning and people living in adjacent areas were evacuated. No casualties were reported. Several students were rescued and taken to safety in a dinghy by firefighters after their school bus stalled in a flooded street in Huangjiang town, Dongguan. Mawar, which forced the evacuation of 57,120 people in Guangdong before it made landfall, affected power supplies to 115,000 homes and businesses. Services were fully restored by 10:30 am, according to China Southern Power Grid. The arrival of Mawar marks the fifth time Guangdong has witnessed three typhoons in half a month since meteorological records began, with the previous case in 1993, Wu Zhifang, chief forecaster for the Guangdong Meteorological Observatory, told Xinhua News Agency. In the past two weeks, subtropical high pressure and southwestern monsoons have remained stable, which has seen tropical depressions formed near the Philippines mostly move northwestward onto the Guangdong coastline, said Zhang Ling, chief forecaster for the National Meteorological Center. Countries that lack sufficient energy resour CHOOSE A LANGUAGEAfrikaansAlbanianArabicArmenianAzerbaijaniBasqueBelarusianBulgarianCatalanChinese (Simplified)Chinese (Traditional)CroatianCzechDanishDutchEnglishEstonianFilipinoFinnishFrenchGalicianGeorgianGermanGreekHaitian CreoleHebrewHindiHungarianIcelandicIndonesianIrishItalianJapaneseKoreanLatvianLithuanianMacedonianMalayMalteseNorwegianPersianPolishPortugueseRomanianRussianSerbianSlovakSlovenianSpanishSwahiliSwedishThaiTurkishUkrainianUrduVietnameseWelshYiddish CHOOSE A LANGUAGEAfrikaansAlbanianArabicArmenianAzerbaijaniBasqueBelarusianBulgarianCatalanChinese (Simplified)Chinese (Traditional)CroatianCzechDanishDutchEnglishEstonianFilipinoFinnishFrenchGalicianGeorgianGermanGreekHaitian CreoleHebrewHindiHungarianIcelandicIndonesianIrishItalianJapaneseKoreanLatvianLithuanianMacedonianMalayMalteseNorwegianPersianPolishPortugueseRomanianRussianSerbianSlovakSlovenianSpanishSwahiliSwedishThaiTurkishUkrainianUrduVietnameseWelshYiddish Shaw Industries offers reasonable accommodation in the employment process for individuals with disabilities. If you need assistance in the application or hiring process to accommodate a disability, you may request an accommodation at any time. Shaw Industries Group, Inc. supplies carpet, resilient, hardwood, laminate, tile and stone flooring products and synthetic turf to residential and commercial markets worldwide. We are a wholly owned subsidiary of Berkshire Hathaway, Inc. with approximately 20,000 associates worldwide. Our products are sold to commercial and residential customers worldwide. Our multi-brand strategy supports a culture of innovation and our ability to meet diverse customer needs. We are more than a flooring company – we are more than 20,000 people who are united in creating a better future for our customers, for our people, for our communities and for our company. Over time, our products, markets and technology have changed, but one thing remains the same - our commitment to exceeding customer expectations in quality, service and performance. Guided by Cradle to Cradle, our approach to sustainability focuses on transparency, material health, material reutilization, efficient use of resources, and social responsibility. Our products are designed to be as sustainable as they are beautiful. Responsible use of resources, materials that are durable and safe, and considerations of the entire product cycle. We employ sustainable practices, use materials and resources efficiently, and operate our facilities and manufacturing processes in accordance with sustainability and safety standards. Our approach to talent management, diversity and inclusion, education and training, and health and safety reflects our strong commitment to our associates. From civic involvement and philanthropic giving, to volunteerism and future workforce development, our company and associates are passionate about addressing community needs. Diversity and inclusion are foundational to our business. They are necessary for innovation and growth, allow us to better understand our customers and their needs, and position us to attract and r... We are more than a flooring company – we are more than 20,000 people who are united in creating a better future for our customers, for our people, for our communities and for our company. We empower students and recent graduates to pursue their passions across a broad range of career opportunities. By providing a foundation for success, we are investing in our future. New markets, new technology and new products require individuals with different backgrounds and abilities to help us think differently and drive innovation into the business. Shaw associates enjoy careers across a wide range of disciplines – from engineering and manufacturing to customer service and sales. Find your next opportunity. Shaw Industries Group, Inc. supplies carpet, resilient, hardwood, laminate, tile and stone flooring products and synthetic turf to residential and commercial markets worldwide. W CSCI Announced its 2017 Interim Results CSCI confirmed as a FTSE4Good constituent CSCI Announced its 2016 Interim Results Yesterday I read this post on FT Alphaville about IPOs in China. There was a reference to a recently listed company called China State Construction Engineering. Some new Shanghai listings are really initial offerings and some are simply new to the Shanghai market and based on the Alphaville post I was not certain what category China State Construction Engineering fell into. I went Yahoo finance and started typing C h i n a S t a t and one of the choices in the drop down was a pink sheet ADR listed on the Yahoo page as China State Cons ADR (CCOHY). Ok, so I guess it is was listed elsewhere and just new in Shanghai. With a name like that I want to take a look and see what's what. Not so fast my friend! I called Schwab's global desk and asked if CCOHY was the correct symbol for China State Construction Engineering and it is not. CCOHY is for China State Construction International Holding which is a different company doing most (maybe all) of its work in Hong Kong. So it's not like it's confusing or anything. If you are one to try to learn a little about some of these companies that come to the market or get mentioned here and there (mostly CNBC Asia) you really need to be sure you are looking at the correct company and have your symbols straight. A lot of the names are similar or have similar words in the name like the word construction etc. For studying purposes you might be able to afford wasted time looking at the... Well, what I think should be the next biggest thing for the ETF industry anyway… On Squawk Australia on Tuesday morning (Australia time) a company called Fortescue Metals (FMG in Australia and maybe FSUMY on the US pinks) made a lot of news because of contract negotiations with China. If you watch CNBC Asia you might have heard of Fortescue before otherwise probably not. Fortescue is one of a zillion, by my count (ahem), of small or mid cap materials companies out there that are not easily accessed by US based investors. As I say small or mid cap they may not be that small in their own country, for example Yara International (YAR in Norway, YARIY on the pinksheets) has an $8 billion market cap according to the Businessweek quote page which is big for Norway but doesn't make it big enough to make a dent in the iShares Global Materials ETF (MXI) which some clients own. Buying MXI or the similar WisdomTree International Basic Materials Fund (DBN) is a reasonable way to build the materials portion of a diversified portfolio, better in my opinion that the Materials Sector SPDR (XLB) which is heavier in US chemical companies which I think is less compelling. If you buy MXI or DBN you are going to get a lot of BHP Billiton, Rio Tinto, BASF (also a chemical company) and Anglo American which some clients own. There's nothing wrong with those companies and by extension those funds but there are plenty of other interesting companies in the materials sector out there. You can get a sense of what is out... Well, what I think should be the next biggest thing for the ETF industry anyway… On Squawk Australia on Tuesday morning (Australia time) a company called Fortescue Metals (FMG in Australia and maybe FSUMY on the US pinks) made a lot of news because of contract negotiations with China. If you watch CNBC Asia you might have heard of Fortescue before otherwise probably not. Fortescue is one of a zillion, by my count (ahem), of small or mid cap materials companies out there that are not easily accessed by US based investors. As I say small or mid cap they may not be that small in their own country, for example Yara International (YAR in Norway, YARIY on the pinksheets) has an $8 billion market cap according to the Businessweek quote page which is big for Norway but doesn't make it big enough to make a dent in the iShares Global Materials ETF (MXI) which some clients own. Buying MXI or the similar WisdomTr Our apologies, the content you requested cannot be located. Major cryptocurrency exchange Coinbase said on Wednesday it will investigate accusations of insider trading, following a sharp increase in the price of bitcoin cash hours before it announced support for the virtual currency. The best of Reuters news delivered right into your email box absolutely free. Alert me to websites indicated as potentially harmful. Trump Administration Nominates Experienced Diplomat for Top Asia Spot at US State Department China Launches New Type 054A Guided-Missile Stealth Frigate As Climate Change Threatens Agricultural Sector, India Must Craft New Policies India must outline more effective policies to mitigate the growing risk from climate change on the agricultural sector. Why is the world reluctant to recognize Pakistan’s sacrifices in the fight against terrorism? The APS attack and its aftermath serve as a test case. Japan’s Shinzo Abe Approves Ballistic Missile Defense Expansion Japanese Prime Minister Shinzo Abe’s Cabinet approved the procurement of two Aegis Ashore batteries. Why the Philippines Needs to Develop Its Coast Guard To defend its claims in the South China Sea, Manila will need more white hulls. Can Pakistan Pursue an Independent Foreign Policy? Pakistan cannot follow an independent foreign policy unless the country’s ruling elite makes changes domestically. Will the international community contend with Aung San Suu Kyi's culpability for the violence in Rakhine State? ASEAN and India Converge on Connectivity The ASEAN-India Connectivity Summit is the latest step in furthering physical ties between India and Southeast Asia. Hidden in Plain Sight: Australia’s Foreign Workers A new report stresses the urgent need for Canberra to review and reform its Seasonal Workers Program. Although Beijing didn’t give him a “state visit plus” reception, the South Korean president made a meaningful trip. In his latest visit to Tokyo, Stephen Bannon praised Abe’s nationalist policy and censured China. Qatar Parades New Chinese Short-Range Ballistic Missile System The administration could be courting disaster if it relies too heavily on a punitive approach against Beijing. After Quetta Church Attack, Pakistan Continues to Blame Foreign Powers for Terrorism Let finance columnist Michelle Singletary help you through your money woes. The requested document was not found on this server. CSSC has three individual R&D companies on offshore engineering SDARI was established in 1964, it is a ship design consultant under China State Shipbuilding Corporation(CSSC), stands out as China's first merchant ship design institute with the vastest variety of ship types, world's leading technical edge, the most innovative and stable technical team along with the largest market share in domestic China. SDARI's offshore products include Specialized Engineering Vessels, Offshore Support Vessels, Offshore Engineering Vessels, Offshore Platforms, etc. By the end of 2008, SDARI has received 233 awards, all are provincial level or above. In any event, we apologize for the inconvenience that this interruption to your exploration has caused. We provide you with some options. There are thousands of pages on this site so you may still find what you're looking for. Alert me to websites indicated as potentially harmful. Orders for China's rebounding shipbuilding industry reached the top place in the world in the past 11 months, surpassing its counterpart South Korea, according to an international industrial analysis agency. According to the data released by British shipbuilding and marine analysis agency Clarkson Research Services on Friday, from January to November, China's shipbuilding order volume totaled 7.13 million compensated gross tons from 324 vessels, followed by South Korea, which has received 5.74 CGT. It is the first time in the past seven years China has exceeded South Korea in shipbuilding orders. Chinese shipyards have been performing well th You are banned from this site. Please contact via a different client configuration if you believe that this is a mistake. You are banned from this site. Please contact via a different client configuration if you believe that this is a mistake. Please, enter valid emailThis email is already registered Please, enter valid emailThis email is already registered AssetMacro presents FTSE China Telecommunications Charts for the most common timeframes watched by traders and investors. Disclaimer: The information contained on the Asset Macro website is for information purposes only. Asset Macro does not hold itself out as providing financial or investment advice, legal commercial or other advice via the Asset Macro Website. Your use of this Website is subject to our Terms and Conditions, which you should read carefully before proceeding. AssetMacro would like to remind you that the data contained in this website is not necessarily real-time nor accurate. To request an unblock, please fill out the form below and we will review it as soon as possible. Operational Statistics for November 2017 Completion of the Proposed Subscription Operational Statistics for October 2017 Operational Statistics for December 2017 Alert me to websites indicated as potentially harmful. Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. Market Reports Online is a comprehensive online library of more than 100,000 reports, in-depth market research studies on thousands of micro markets and a range of industries. The reports are analytically and statistically rich, and offer a comprehensive view of the dynamic market scenario across the globe. 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Thomson Reuters is the world's largest international multimedia news agency, providing investing news, world news, business news, technology news, headline news, small business news, news alerts, personal finance, stock market, and mutual funds information available on Reuters.com, video, mobile, and interactive television platforms. Thomson Reuters journalists are subject to an Editorial Handbook which requires fair presentation and disclosure of relevant interests. Innovative web development, SEO (search engine optimization) and online marketing company located in Norfolk, Virginia serving the greater Hampton Roads region. Suppliers, installers and maintainers of digital telephone systems. Includes company and service information, press office and bulletin board. roam2free is an established brand for solutions that enables connected cars and connected devices in China, said Mark Shi, CEO of roam2free. This collaboration now addresses the growing demands for enhanced smartphone connectivity by providing a complete eSIM solution to manage connectivity and remove the need of a physical SIM card, which also saves costs across the board. This initiative builds on NXPs leadership in mobile payment and ticketing in China, following a number of NXPs strategic collaborations to deploy its mobile solutions and eSE that increase consumer engagem Long only, value, growth at reasonable price, foreign companies This leads to frequent mispricing and interesting opportunities for value investors. 95 companies are listed both in Hong Kong as H-shares and at the same time in Shanghai as A shares. One would think that once mainland stock exchanges are connected with Hong Kong, there is no big difference in price between A stocks and H stocks of the same company. In reality, the opposite has occurred: The Hang Seng China AH Premium, which measures the premium of A shares over H shares surged after the connection has been established. The index takes the value 100 in case A shares and H shares are valued the same. Anything above means that A shares are priced higher than H shares, and vice versa, a value of less than 100 would mean that H shares are cheaper than A shares. Currently, the index is at around 120, which means that H shares are roughly 20% cheaper than A shares on average. There has been some research on the reason for the difference of this abnormality, but most reports don't go much further than simply ascertaining that it exists and that there is no quantitative explanation to it. The consensus among traders is that there are several phenomena at play: 1. International investors don't have the possibility to short A stocks, which make traditional convergence trades impossible. 2. Mainland investors and international investors are exposed to different information regarding China in general, and therefore value companies differently because they have different viewpoints about the future. 3. Paradoxically, many retail investors from the mainland see Hong Kong as a type of "far west" marketplace since it is not as tightly controlled as the market for A shares. Listing requirements, for example, are stricter in Shanghai. Also, when a stock starts sliding significantly trading is suspended. In addition, Chinese retail investors have no experience with stocks other than A shares. Trading in Hong Kong typically requires some additional paperwork as well. 4. On the other hand, international investors are suspicious about Chinese firms, their accounting practices, and their often state-controlled management. While the 20% average AH premium won't go away in the near term, when the price difference is as large as 78% for particular A and H shares of the exact same company, the gap has to narrow in some way: Either the A shares go down or the H shares go up. By doing a throughout value analysis, investors are able to understand in which cases the H shares are undervalued vs. those cases where A shares are overvalued. On the other side of the spectrum, one can observe that the premium is particularly high for companies that are making losses (mostly those positions in the table without P/E ratio) or are in troubled industries such as steel manufacturing. These companies are suffering from overcapacity and lower growth rates of the Chinese economy. Companies linked to the production of power using coal are also under fire as China is busy tackling its smog problems and pollution in general. I also hope that by then the recent slide in the Chinese stock markets will have bottomed, which should offer an interesting buying opportunity for investors that want to diversify away from overpriced Western stock markets. Want to share your opinion on this article? Add a comment. To report a factual error in this article, click here Follow Growth And Value and get email alerts The chat platform is currently undergoing maintenance. Please upgrade your browser or use a different browser, such as Google Chrome. China Vanke Co., Ltd. engages in the provision of real estate. It engages in property development with commodity housing projects. The company operates through the following Divisions: Property Development and Property Management business. The Property Development division refers to sale and development of residential properties. The Property Management division offers management a Access is blocked according to our site security policy. 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We're sorry, but there is no page on the site that matches your entry. It is possible you typed the address incorrectly, or the page may no longer exist. You may wish to try another entry or choose from the links below, which we hope will help you find what you are looking for. Thanks for your patience, understanding, and help. News Corp is a network of leading companies in the worlds of diversified media, news, education, and information services. Facts Reporter is your business news, finance, global & world economics news website. We provide you with the latest news and insight straight from the global business sector. You are banned from this site. Please contact via a different client confi Enter your email address below to get the latest news and analysts' ratings for Chubb with our FREE daily email newsletter: Chubb Limited is a holding company. The Company, through its subsidiaries, provides a range of insurance and reinsurance products and services to clients around the world. Its segments include North America Commercial property and casualty (P&C) Insurance, North America Personal P&C Insurance, North America Agricultural Insurance, Overseas General Insurance, Global Reinsurance and Life Insurance. Or try one of our articles on internet stocks, and investing ideas… Facebook stock has faced resistance due to fears of revenue slowdown as ad load saturates. But rising ad prices will keep Facebook revenues growing. According to Zacks, "Shares of Eversource have outperformed Zacks categorized Utility - Electric Power industry in last six months. Eversource Energy's systematic investments in infrastructure development projects, renewable energy generation, primarily in transmission and distribution systems, will help it to provide reliable services to its customers. If the company continues to reduce operating costs at the same levels of 2016, margins are bound to get a boost in the upcoming quarters. However, Eversource's dependence on its subsidiaries, stringent environmental regulations, and risks related to modification in state and local legislative… A number of other research analysts have also issued reports on the company. Zacks Investment Research lowered US Ecology from a buy rating to a hold rating in a research report on Tuesday, May 2nd. Stifel Nicolaus upgraded US Ecology from a hold rating to a buy rating and raised their price objective for the company from $51.00 to $55.00 in a report on Monday, May 1st. Canaccord Genuity restated a buy rating on shares of US Ecology in a report on Friday, April 28th. Finally, Barclays PLC restated a… These are some of the headlines that may have effected Accern's scoring: Media coverage about Quad Graphics (NYSE:QUAD) has trended somewhat positive on Tuesday, according to Accern Sentiment Analysis. The research firm scores the sentiment of news coverage by analyzing more than twenty million blog and news sources. Accern ranks coverage of public companies on a scale of negative one to positive one, with scores closest to one being the most favorable. Quad Graphics earned a news sentiment score of 0.22 on Accern's scale. Accern also gave news headlines about… Other hedge funds and other institutional investors have also recently bought and sold shares of the company. Pacad Investment Ltd. boosted its stake in shares of General Motors Company by 8.1% in the fourth quarter. Pacad Investment Ltd. now owns 159,719 shares of the auto manufacturer's stock valued at $5,565,000 after buying an additional 11,985 shares during the last quarter. Dynamic Technology Lab Private Ltd bought a new stake in shares of General Motors Company during the fourth quarter valued at about $425,000. Rafferty Asset Management LLC bought a new… A number of other large investors also recently bought and sold shares of HTA. Russell Investments Group Ltd. acquired a new position in Healthcare Trust of America during the fourth quarter worth approximately $12,100,000. Cadence Capital Management LLC acquired a new position in Healthcare Trust of America during the fourth quarter worth approximately $290,000. State Street Corp increased its position in Healthcare Trust of America by 5.6% in the fourth quarter. State Street Corp now owns 2,610,109 shares of the real estate investment trust's stock worth $75,981,000 after buying an… Other hedge funds and other institutional investors have also added to or reduced their stakes in the company. Norges Bank acquired a new position in Perficient during the fourth quarter worth $10,850,000. Legato Capital Management LLC raised its position in Perficient by 1,636.0% in the first quarter. Legato Capital Management LLC now owns 53,226 shares of t Sorry, but the page you were looking for can’t be found on BNamericas.com By Kentaro Hamada and Aaron Sheldrick TOKYO, Sept 1 (Reuters) - Japan has moved to revive nuclear power with the restart of the first reactor following a two-year blackout in the wake of the Fukushima disaster, the worst atomic crisis since Chernobyl in 1986. The following table lays out the outlook for the restart of Japan's remaining 42 nuclear reactors, based on the latest Reuters analysis. Note: NRA stands for Nuclear Regulation Authority. See below for the full names of the operators in table. Reactor Operator Probability Comment Sendai 1 Kyushu N/A Restarted Aug. 11 Sendai 2 Kyushu Likely Approved by NRA, operator aiming for restart in October Ikata 3 Shikoku Likely Approved by NRA, strong local support, low legal risk Genkai 3 Kyushu Likely Restart application Genkai 4 proceeding, weak local opposition Tomari 1 Hokkaido Likely Restart application Tomari 2 proceeding, local Tomari 3 support, low legal risk Shimane 2 Chugoku Uncertain Restart application proceeding but operator being probed by local government over fuel documentation issues Takahama 3 Kansai Uncertain Restart approved by NRA Takahama 4 but court injunction in place, appeal in progress Ohi 3 Kansai Uncertain Restart application in Ohi 4 progress but court ruling in place, appeal in progress Higashidori 1 Tohoku Uncertain Restart application submitted but questions over quake faultline Kashiwazaki 6 Tokyo Uncertain Put on priority Kashiwazaki 7 screening list by NRA but restart strongly opposed by local governor Onegawa 2 Tohoku Uncertain Under restart review but damaged during 2011 earthquake Onegawa 1 Tohoku Uncertain No restart application, Onegawa 3 damaged during 2011 earthquake Tokai Daini Japco Uncertain Regulator approval may be difficult due to age Takahama 1 Kansai Uncertain Lifetime extension under Takahama 2 review, regulator has said extra tough standards to apply Ohi 1 Kansai Uncertain No restart application, Ohi 2 high legal risk Hamaoka 3 Chubu Uncertain Applied for restart, Hamaoka 4 local opposition, legal risk, located near major tectonic plate boundary Hamaoka 5 Chubu Uncertain No restart application, major saltwater intrusion into reactor during 2011 shutdown Shika 2 Hokuriku Uncertain Restart application, local opposition, possible faultline Kashiwazaki 1 Tokyo Uncertain No restart application, Kashiwazaki 5 legal challenges, strong local opposition Kashiwazaki 2 Tokyo Uncertain Same as above. Reactors Kashiwazaki 3 not approved for restart Kashiwazaki 4 after July 2007 quake damaged station Mihama 3 Hokuriku Uncertain No restart application, nearing age limit, legal risk, local opposition Genkai 2 Kyushu Unlikely No restart application, may be too uneconomical to operate Ikata 1 Shikoku Unlikely No restart application, Ikata 2 older units Shika 1 Hokuriku Unlikely NRA has ruled sited over active fault, local opposition, legal risk Tsuruga 2 Japco Unlikely Active fault ruling, local opposition, legal risk Fukushima 1 Tokyo Unlikely Second Fukushima plant Fukushima 2 located 12 km from Fukushima 3 destroyed Daiichi Fukushima 4 station inside radiation evacuation zone, very strong local opposition Japan's nuclear operators are Tokyo Electric Power, Chubu Electric Power, Kansai Electric Power, Chugoku Electric Power, Hokuriku Electric Power , Tohoku Electric Power, Shikoku Electric Power , Kyushu Electric Power, Hokkaido Electric Power and Japan Atomic Power (Japco), a company mostly owned by the other utilities. (Additional reporting Kira Wang and Osamu Tsukimori; Editing by Joseph Radford) Sorry we are not currently accepting comments on this article. Part of the Daily Mail, The Mail on Sunday & Metro Media Group Biting the hand that feeds IT © 1998–2017 Logos Quiz: Guess the Logos Answers, Cheats and Solutions to all levels. Logos Quiz is the original quiz guessing trivia game that first released back in 2013, Since then it’s reached 40 million downloads w Complete the form below to receive the latest headlines and analysts' recommendationsfor Cigna Corporation with our free daily email newsletter: Cigna Corporation (Cigna), together with its subsidiaries, is a health services company. The Company offers medical, dental, disability, life and accident insurance and related products and services. The Company's segments include Global Health Care, Global Supplemental Benefits, Group Disability and Life, and Other Operations and Corporate. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell The Charles Schwab Corporation, through its subsidiaries, provides wealth management, securities brokerage, banking, asset management, custody, and financial advisory services. The company has market cap of $69.36 billion. The firm operates through two divisions, Investor Services and Advisor Services. It has a 32.96 P/E ratio. The Investor Services segment provides retail brokerage and banking services, retirement plan services, and other corporate brokerage services; and stock plan services, compliance solutions, and mutual fund clearing services, as well as engages in the off-platform sales business. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Complete the form below to receive the latest headlines and analysts' recommendationsfor Cigna Corporation with our free daily email newsletter: Cigna Corporation (Cigna), together with its subsidiaries, is a health services company. The Company offers medical, dental, disability, life and accident insurance and related products and services. The Company's segments include Global Health Care, Global Supplemental Benefits, Group Disability and Life, and Other Operations and Corporate. The collective rating of 1.9 for Cigna Corporation (NYSE:CI) also leans strongly towards the bullish end of the spectrum. Of the 17 analysts surveyed by Reuters that track CI 4 of them rate its stock a hold. The other 13, though not evenly; between analysts who think you should buy Cigna Corporation versus those who think you should sell it. A 13 analysts rate it as either a buy or a strong buy, while0 believe that investors should either steer clear of CI or, if they already own its stock, sell it. AllStockNews provide quality information for free in a convenient place and format. You do not need to look for us – the news portal “AllStockNews” meets the reader every morning on the way to work in the metro, at traffic intersections, in cafes and business centers. Complete the form below to receive the latest headlines and analysts' recommendationsfor Becton Dickinson and with our free daily email newsletter: Becton, Dickinson and Company (BD) is a global medical technology company engaged in the development, manufacture and sale of a range of medical supplies, devices, laboratory equipment and diagnostic products. The Company operates through two segments: BD Medical and BD Life Sciences. The BD Medical segment produces an array of medical technologies and devices that are used to help improve healthcare delivery in a range of settings. Complete the form below to receive the latest headlines and analysts' recommendationsfor Cigna Corporation with our free daily email newsletter: Cigna Corporation (Cigna), together with its subsidiaries, is a health services company. The Company offers medical, dental, disability, life and accident insurance and related products and services. The Company's segments include Global Health Care, Global Supplemental Benefits, Group Disability and Life, and Other Operations and Corporate. Complete the form below to receive the latest headlines and analysts' recommendationsfor Cigna with our free daily email newsletter: Cigna Corporation (Cigna), together with its subsidiarie Stock News Journal was founded in 1997 as an idea in January 1998 as a company. Our first objective is to provide latest financial information in simple words, to make it understandable to everyone. The second is to provide knowledge and training items, to ensure that our visitors over time have the largest number of cognitive tools to consciously decide how to invest their savings. The consensus recommendation, according to Zacks Investment research, is 1.69. The scale runs from 1 to 5 with 1 recommending Strong Buy and 5 recommending a Strong Sell. Alvin is another South African from the University of South Africa studying Economics. He writes for Facts Reporter as an intern. Hobbies include parasailing and rock climbing. Facts Reporter is your business news, finance, global & world economics news website. We provide you with the latest news and insight straight from the global business sector. Complete the form below to receive the latest headlines and analysts' recommendationsfor WABCO with our free daily email newsletter: WABCO Holdings Inc is a supplier of electronic, mechanical, electro-mechanical and aerodynamic products for various manufacturers of commercial trucks, buses and trailers, as well as passenger cars. The Company engineers, develops, manufactures and sells braking, stability, suspension and transmission automation and air management systems primarily for commercial vehicles. On September 30, 2015, Cisco announced its intent to acquire privately held Portcullis Computer Security, a UK-based company that provides cybersecurity services to enterprise clients and the government sectors.[71] On October 26, 2015, Cisco announced its intent to acquire ParStream, a privately held company based in Cologne, Germany, that provides an analytics database that allows companies to analyze large amounts of data and store it in near real time anywhere in the network.[72] One January 26, 2017, Cisco founded the Innovation Alliance in Germany with eleven other companies bringing together 40 sites and 2,000 staff to provide small businesses in Germany with expertise.[77] October 23rd 2017 Cisco Systems announced it would be acquiring Broadsoft for $1.9 Billion to further entrench itself in the cloud communication and collaboration area. Cisco's products and services focus upon three market segments—enterprise and service provider, small business and the home. A number of specialist technician, sales and datacenter certifications are also available. This case was eventually settled out of court and dismissed with prejudice in February 2011. Cisco's Linksys E2700, E3500, E4500 devices have been reported to be remotely updated to a firmware version that forces users to register for a cloud service, allows Cisco to monitor their network use and ultimately shut down the cloud service account and thus render the affected router unusable.[122][123] Cisco’s Chief Security Officer addressed the allegations publicly and denied working with any government to weaken Cisco products for exploitation or to implement security back doors.[125] Cisco denied the allegations in a customer document[127] saying that no information was included about specific Cisco products, supply chain intervention or implant techniques, or new security vulnerabilities. Cisco’s General Counsel also claimed that Cisco does not work with any government, including the United States Government, to weaken its products.[128] The allegations are reported to have prompted the company’s CEO to express concern to the President of the United States.[129] Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. Enter your email address belo Copying and distributing are prohibited without permission of the publisher. Latest news on bond issues and people moves in the sovereign, supranational and agency debt markets in Asia. Sign in or register to view this content Latest news on the financial institution bond markets in Asia, including senior debt, bank capital and covered bonds. Sign in or register to view this content Latest news on the corporate bond markets in Asia, including investment grade, high yield and hybrids. Sign in or register to view this content Latest news and analysis of securitization deals and market developments in Asia. Sign in or register to view this content Latest news and analysis of deals and people moves in the Asian syndicated loans market. Sign in or register to view this content News and analysis of the internationalisation of the renminbi, including offshore RMB and panda bond issues, regulation and policy news. Track proprietary data and league tables on offshore RMB bond issues, MoF dim sum bond auctions, data on RMB hubs around the world, and RMB deposits and clearing volumes. Sign in or register to view this content Latest news and analysis of equity capital markets deals and people moves in Asia. Sign in or register to view this content Sign in or register to view this content Analysis of macroeconomic and regional trends in Asia. Sign in or register to view this content Latest news on the firms and people driving Asia's capital markets, plus analysis of key regulatory developments. Sign in or register to view this content Opinion and analysis of deals, trends and policy across Asia. Sign in or register to view this content Fubon Bank has fully underwritten the trade, which has a 5.7 year average life. It launched the loan into general syndication earlier this month, with three titles on offer. If you are new to GlobalCapital or you already subscribe to some of our channels you can still easily extend your access. Take a trial to the entire site or subscribe online to see all our capital markets news, opinion and data sets. Read the magazine on your mobile device Latest news by market and league table performance Over the last two months, GlobalCapital Asia's team has conducted pitch meetings with banks to decide the most impressive capital markets transactions and advisers in Asia in 2017. All material subject to strictly enforced copyright laws. © 2013 Euromoney Institutional Investor PLC The sale of the new stock and the bonds – if they are fully converted into shares – could give Citic up to 13.3 per cent of Hongqiao, making the conglomerate the smelter’s second-largest shareholder. The bailout will give Hongqiao much-needed capital to repay bank loans and bolster working capital, the company said. Hongqiao has the capacity to produce 6.46 million tonnes of aluminium a year, surpassing the Russian giant Rusal in 2015 as the world’s largest smelter. It got to where it is by going on a spate of binge borrowing, funding its expansion through debt, even as the entire industry was beset by excess capacity, or the ability to produce more metal than customers want. Amid sagging aluminium prices and citing a “failure to obtain environmental protection approvals before building and operating the facilities”, the environment watchdog agency of Hongqiao’s home base in Zhouping county in Shandong ordered the company to idle half of its production capacity, the _South China Morning Post_ reported last October. The company shut down 2.6 million tonnes of annual smelting capacity, or 29 per cent of the total, as at the end of July, responding to an order four months earlier by China’s government. Hongqiao said it will engage an independent third party to assess the financial impact, including the usable value of its assets, sales, potential asset impairment and depreciation. The industry’s clean-up of excess capacity has led to higher aluminium prices which will help offset the negative impact, it added. Citic Group, fo Search by company name or ticker symbol The big institutions, including JPMorgan Chase and Citigroup, are trading at prices well above book value — and must confront problems like sluggish loan growth and rising defaults. The American bank is the latest financial company to announce plans to open a European Union outpost in preparation for a future after Britain leaves the bloc. Higher interest rates buoyed JPMorgan Chase, Citigroup and Wells Fargo. But so, to varying degrees, did one-offs, low tax rates and benign credit costs. With market volatility muted, two of the nation’s biggest banks cite growth in loans. The agreement resolves some of Citigroup’s most serious regulatory issues related to its profitable, but risky, business in Mexico. Shares of the Brazilian utility Sabesp plunged on news that it may raise equity for post-drought projects. Other water companies are likely to follow suit. Britain’s abandonment of the European Union jeopardizes London’s status as the leading hub of international finance. A slowdown in bank lending is the latest indication that Wall Street is giving a sober assessment to the feasibility of the growth-focused Trump agenda. We’re following major developments in the markets throughout the day. President Trump and Senator Elizabeth Warren, a Democrat harshly critical of Wall Street, may both favor separating retail and investment banking. Stylianos Contogoulas and Ryan Michael Reich were cleared of charges of plotting to manipulate a benchmark interest rate. The chiefs of major banks told employees that the need for national security should be balanced with supporting diversity. Here’s what these executives said in their words. The glacial pace of a Citigroup restitution plan raises questions about how “fair funds” are administered and who benefits from delays. Citigroup, Bank of America and Wells Fargo each moved up a notch in the annual risk rankings of banks deemed to be globally important. The big institutions, including JPMorgan Chase and Citigroup, are trading at prices well above book value — and must confront problems like sluggish loan growth and rising defaults. The American bank is the latest financial company to announce plans to open a European Union outpost in preparation for a future after Britain leaves the bloc. Higher interest rates buoyed JPMorgan Chase, Citigroup and Wells Fargo. But so, to varying degrees, did one-offs, low tax rates and benign credit costs. With market volatility muted, two of the nation’s biggest banks cite growth in loans. The agreement resolves some of Citigroup’s most serious regulatory issues related to its profitable, but risky, business in Mexico. Shares of the Brazilian utility Sabesp plunged on news that it may raise equity for post-drought projects. Other water companies are likely to follow suit. Britain’s abandonment of the European Union jeopardizes London’s status as the leading hub of international finance. A slowdown in bank lending is the latest indication that Wall Street is giving a sober assessment to the feasibility of the growth-focused Trump agenda. We’re following major developments in the markets throughout the day. President Trump and Senator Elizabeth Warren, a Democrat harshly critical of Wall Street, may both favor separating retail and investment banking. Stylianos Contogoulas and Ryan Michael Reich were cleared of charges of plotting to manipulate a benchmark interest rate. The chiefs of major banks told employees that the need for national security should be balanced with supporting diversity. Here’s what these executives said in their words. The glacial pace of a Citigroup restitution plan raises questions about how “fair funds” are administered and who benefits from delays. Citigroup, Bank of America and Wells Fargo each moved up a notch in the annual risk rankings of banks deemed to be globally important. Enter your email address below to get the latest news and analysts' ratings for Long only, value, growth at reasonable price, dividend income > Mr. Horejsi resides part of the year in Barbados and his engagement with RMA as a portfolio manager is limited to the portion of the year that he spends in the United States. When Mr. Horejsi resides in Barbados, he acts as a portfolio manager solely on behalf of Stewart Investment Advisers. If you are considering an investment in BIF, I recommend that you read some of these articles about Stewart Horejsi: > Horejsi sold the family business in 1999 and started the Horejsi Charitable Foundation, which supports education and other causes. A University of Kansas alumnus, he remains a huge supporter of the school and its athletics program. He funded the multimillion-dollar construction of the Horejsi Family Athletics Center at the campus, and the foundation funds scholarships for college-bound students from Kansas. > In July of 2016, the Fund replaced its $55 million credit facility on more favorable terms with a new $75 million credit facility. In addition to the increase in borrowing capacity, the new credit facility carries a lower borrowing rate and eliminates a commitment fee on unused borrowings. At period end, the Fund has approximately $50 million borrowed under the new credit facility with roughly $25 million in available borrowing capacity. BIF and its predecessor funds have been criticized for perennially trading at a discount to NAV. Long-time holders of BIF shares keep waiting for the discount to narrow or disappear. Nicole I. Murphey, 39, is Chief Financial Officer, Vice President, Treasurer and Assistant Secretary. She has been Assistant Secretary since 2000, Vice President since 2008, and CFO and Treasurer since 2011. > ... as to be expected, some would have liked to see a much bigger increase based on the argument that a materially higher distribution amount would likely aid in a reduction of the discount. From my perspective, while there may be merit in the argument that a higher distribution might aid in discount reduction, I believe a responsible managed distribution policy requires greater consideration than just the impact on the discount. > In my previous letter, I wrote about the market’s potential hesitancy to trust that the actions taken over the past few years to improve the Fund will be sustained. To rebuild that trust, we must be consistent. To be consistent, we must take actions that we believe are sustainable. > The Fund's investment advisers feel it is important that stockholders be aware that the Fund is highly concentrated in a small number of positions. Concentrating investments in a fewer number of securities may involve a degree of risk that is greater than a fund which has less concentrated investments spread out over a greater number of securities. In particular, the Fund is highly concentrated in Berkshire Hathaway Inc., which, in addition to other business risks, is dependent on Warren Buffett for major investment decisions and all major capital allocation decisions. If Mr. Buffett were no longer able to fulfill his responsibilities to Berkshire Hathaway Inc., the effect on the value of the Fund's position in Berkshire Hathaway Inc. could be materially negative. __ > I would also note that Horesji is almost 80 years old, and at some point, the torch will pass. In the interviews and other press coverage, he comes across as a decent guy who wants to do the right thing by his shareholders. At some point in the future, I do think you will see the discount narrow somewhat. In the meantime, the portfolio has been performing well, and you can use the dividend reinvestment program to increase your holdings while they are below NAV. It's not my intent to advocate the purchase or sale of any security. I offer articles and blogs to provide ideas for stocks to study and to share a journal of my effort to design and build a retirement portfolio that puts a priority on relative safety, a history of dividend growth and solid future prospect You are banned from this site. Please contact via a different client configuration if you believe that this is a mistake. Reuters content is the intellectual property of Thomson Reuters or its third party content providers. Any copying, republication or redistribution of Reuters content, including by framing or similar means, is expressly prohibited without the prior written consent of Thomson Reuters. Thomson Reuters shall not be liable for any errors or delays in content, or for any actions taken in reliance thereon. "Reuters" and the Reuters Logo are trademarks of Thomson Reuters and its affiliated companies. You are banned from this site. Please contact via a different client configuration if you believe that this is a mistake. SummaryShare PricesChartsTradesNewsFinancialsDirector DealsBroker ViewsStar RatingsProfile OverviewPrice & Risk HistoryIntraday ActivityDownload Broker recommendations should not be taken as investment advice, and are provided by the authorised brokers listed on this page. Results will appear in an upcoming Yahoo Finance article The transaction is expected to close by the middle of 2015 and should result in a capital gain of about 200 million euros, CNP said in a statement. Reuters content is the intellectual property of Thomson Reuters or its third party content providers. Any copying, republication or redistribution of Reuters content, including by framing or similar means, is expressly prohibited without the prior written consent of Thomson Reuters. Thomson Reuters shall not be liable for any errors or delays in content, or for any actions taken in reliance thereon. "Reuters" and the Reuters Logo are trademarks of Thomson Reuters and its affiliated companies. Reuters content is the intellectual property of Thomson Reuters or its third party content providers. Any copying, republication or redistribution of Reuters content, including by framing or similar means, is expressly prohibited without the prior written consent of Thomson Reuters. Thomson Reuters shall not be liable for any errors or delays in content, or for any actions taken in reliance thereon. "Reuters" and the Reuters Logo are trademarks of Thomson Reuters and its affiliated companies. therefore it is important to place your stop loss at the maximum potential loss you are willing to incurr when trading CNP Assurances SA (CNP) is a France-based personal insurance provider. The Company’s product portfolio includes savings products, risk and contingency products and pension products. It offers a range of products and services in both individual and group insurance sectors. It divides its activities into Savings, Pensions, Personal Risk, Loan Insurance, Health Insurance, Property&Casualty and Other.The Company operates through a number of subsidiaries, including Previposte, CNP IAM, CNP International and CAIXA Seguros, among others. In addition, CNP SA offers a range of services for the elderly and disabled people, through Filassistance International and Age d'Or Expansion. The Company is present in France, Spain, Argentina, Portugal, among others. In January 2013, it acquired through its subsidiary CAIXA Seguros Tempo Dental, a company operating in the sector of dental health care insurances. Macron names new chief of French public-sector lender CDC euronews provides breaking news articles from reuters as a service to its readers, but does not edit the articles it publishes. Articles appear on euronews.com for a limited time. 19/12/2017 English English Français Deutsch Italiano Español Português Русский Türkçe Ελληνικά Magyar فارسی العربية CNP Assurances (CNP) is a French personal insurance provider. The Company is involved in three main segments of the personal insurance market: savings, pensions and personal risk. CNP offers a range of products and services for the provision of both indiv For low latency and intra-day earnings & events calendar data feeds, TR8Tool recommends Wall Street Horizon as an e You are being directed to ZacksTrade, a division of LBMZ Securities and licensed broker-dealer. ZacksTrade and Zacks.com are separate companies. The web link between the two companies is not a solicitation or offer to invest in a particular security or type of security. ZacksTrade does not endorse or adopt any particular investment strategy, any analyst opinion/rating/report or any approach to evaluating indiv idual securities. Coca-Cola has been divesting and merging bottling operations in many international markets since 2014 to revamp its bottling system and drive margins. Additionally, the company entered into an agreement with beer and beverage company, SABMiller, and partner Gutsche Family Investments, to merge their bottling operations in Southern and East Africa and form the largest Coca-Cola bottling entity in Africa. Coca-Cola will have an 11% stake in the new African bottler. In China, it has agreed to refranchise the company-owned bottling operations to its existing partners, COFCO and Swire. # Symantec Solutions Now Available in Oracle Cloud Marketplace # Steel Industry Poised on Automotive, Construction Sectors Our experts cut down 220 Zacks Rank #1 Strong Buys to the 7 that are most likely to jump in price immediately. # Zacks Launches New Stock Research and Portfolio Tracking App Copyright 2017 Zacks Investment Research At the center of everything we do is a strong commitment to independent research and sharing its profitable discoveries with investors. This dedication to giving investors a trading advantage led to the creation of our proven Zacks Rank stock-rating system. Since 1988 it has more than doubled the S&P; 500 with an average gain of +25% per year. These returns cover a period from 1988-2016 and were examined and attested by Baker Tilly Virchow Krause, LLP, an independent accounting firm. Zacks Rank stock-rating system returns are computed monthly based on the beginning of the month and end of the month Zacks Rank stock prices plus any dividends received during that particular month. A simple, equally-weighted average return of all Zacks Rank stocks is calculated to determine the monthly return. The monthly returns are then compounded to arrive at the annual return. Only Zacks Rank stocks included in Zacks hypothetical portfolios at the beginning of each month are included in the return calculations. Zack Ranks stocks can, and often do, change throughout the month. Certain Zacks Rank stocks for which no month-end price was available, pricing information was not collected, or for certain other reasons have been excluded from these return calculations. The page you are looking for might have been removed, had its name changed, or is temporarily unavailable. Founded in 1993 by brothers Tom and David Gardner, The Motley Fool helps millions of people attain financial freedom through our website, podcasts, books, newspaper column, radio show, and premium investing services. This action might not be possible to undo. Are you sure you want to continue? Coca Cola Final Project will be available on You are being directed to ZacksTrade, a division of LBMZ Securities and licensed broker-dealer. ZacksTrade and Zacks.com are separate companies. The web link between the two companies is not a solicitation or offer to invest in a particular security or type of security. ZacksTrade does not endorse or adopt any particular investment strategy, any analyst opinion/rating/report or any approach to evaluating indiv idual securities. Copyright 2017 Zacks Investment Research At the center of everything we do is a strong commitment to independent research and sharing its profitable discoveries with investors. This dedication to giving investors a trading advantage led to the creation of our proven Zacks Rank stock-rating system. Since 1988 it has more than doubled the S&P; 500 with an average gain of +25% per year. These returns cover a period from 1988-2016 and were examined and attested by Baker Tilly Virchow Krause, LLP, Financial ratios are generally ratios of selected values on an enterprise's financial statements. There are many standard financial ratios used in order to evaluate a business or a company. Financial ratios can also be used by managers within a firm, by current and potential shareholders (owners) of a firm, and by a firm's creditors. Security analysts use financial ratios to compare the strengths and weaknesses of various companies. In Infront Analytics, financial ratios are categorized according to the financial aspect of the business that the ratio measures: \- Growth ratios measure the company's rate of growth and assess the potential for future growth. E.g. Net Sales Growth, EBITDA Growth, EBIT Growth. \- Profitability ratios measure the returns generated on sales and investment, hence the ability of the company to generate profits. Profitability ratios include margin ratios (such as profit margin or operating margin) and return ratios (such as return on equity or return on assets). \- Capital structure and liquidity ratios measure the extent to which the company is relying upon debt to fund its operations, and its ability to pay back the debt. Capital structure ratios include debt to equity and debt to asset ratios, and liquidity ratios include coverage ratios and solvency ratios. \- Asset utilization ratios, also called activity or efficiency ratios, measure how efficiently the company's day to day operations are managing inventory, selling and producing products, or using assets to generate revenue. Financial ratios allow for comparisons between companies, between industries and also between a single company and its industry average or peer group average. COFCO PROPERTY (GROUP) CO.,LTD is a China-based company principally engaged in the development of real estates and the distribution of commercial residential buildings. The Company is also involved in the leasing and management of properties. The Company is also enagaed in investment, real estate information consulting and hotel management businesses through its subsidiaries. The Company operates its business mainly in first and second tier cities in China. COFCO Property (Group) Co.,Ltd. is principally engaged in the development and sale of commercial residential properties. The Company is also involved in the leasing and management of properties, as well as the processing of materials supplied by customers. During the year ended December 31, 2010, the Company sold approximately 147,600 square meters of residential properties. As of December 31, 2010, the Company had eight major subsidiaries and associates. News Corp is a network of leading companies in the worlds of diversified media, news, education, and information services. Overview Profile Financials Income Statement Balance Sheet Cash Flow Research & Ratings Historical Prices Options Advanced Charting A company's net income for the trailing twelve month period expressed as a dollar amount per fully diluted shares outstanding. Market Capitalization Reflects the total market value of a company. Market Cap is calculated by multiplying the number of shares outstanding by the stock's price. For companies with multiple common share classes, market capitalization includes both classes. Shares Outstanding Number of shares that are currently held by investors, including restricted shares owned by the company's officers and insiders as well as those held by the public. Public Float The number of shares in the hands of public investors and available to trade. To calculate, start with total shares outstanding and subtract the number of restricted shares. Restricted stock typically is that issued to company insiders with limits on when it may be traded. Dividend Yield The total number of shares of a security that have been sold short and not yet repurchased. Change from Last Percentage change in short interest from the previous report to the most recent report. Exchanges report short interest twice a month. Percent of Investors are looking attentively on movement of stock as RSI reading reached at 61.43 because on this mostly stock considered as overbought or oversold. Taking current value along prior value is a smoothing technique similar to that used in calculating an exponential moving average. Also this means that RSI values turn into more accurate as the calculation period extends. And SharpCharts uses as a minimum 250 data points prior to the starting date of any chart (assuming that much data exists) at what time calculating its RSI values. To exactly replicate our RSI numbers, a formula will need at least 250 data points. As for a performance, the company's showed increasing trend of 13.65% since start of the year and revealed surged activity of 7.01% for the past three months. CMCSA been riding up and down and making diverse level of tendency on its effort toward active momentum. Company has conspicuous measure of stock oscillations; average true range may be heating up this temperature with value of 1.03. ATR is an exponential moving average (consist of 14 trading days) of the True Ranges that is explaining range of a day's trading is high-low. Most of traders have the same opinion that volatility shows clear cycles and relying on this belief, ATR can be used to set up entry signals. The ATR breakout systems are frequently used by short-term traders to time entries. Taking short look on returns of the firm, net profit margin recorded as 70.10% while operating profit margin was 21.70%, whereas price to sale ratio stands at 2.19 and it indicates how much investor paid for a share compared to the sales a company generated per share. A higher ratio means that the market is willing to pay for each dollar of annual sales. A higher P/S ratio means that the market is willing to pay for each dollar of annual sales and a better benchmark is to compare with industry average. StockMarketStop focused on covering the most important business and finance news in US and world market. From another technical standpoint, Comcast Corporation (NASDAQ:CMCSA) 's 14-day Relative Strength Index (RSI) has reached 55.78, putting it inside a neutral zone. If the RSI is traveling up and it is between 40 and 80, it is probably an indication of an uptrend. If it moves beyond 70 but cannot hold this ground and instead falls below 70, it could be an indication that the market is overbought and prone to become bearish, at least in the short term. Conversely, if the RSI is traveling down and it is between 60 and 20, it is probably an indication of a downtrend. If it moves below 30 and fails to remain below, it could be an indication that the market is oversold and poised to become bullish, at least in the short term. Technical analysts also use volume to predict trends. The current trading volume of 27.39 sits 2.16% higher than the past 3 month 's readings, indicating near-term traders have been more active toward CMCSA than usual of late. The company trades on average around 2681000 shares per market session. Major moves in volume can signal unusual activity, such as insider trading. Unusual volume can be a major signal that investment gurus and momentum traders are piling into a stock ahead of a catalyst. These types of traders like to get in well ahead of a large spike, so it's always a smart move to monitor unusual volume. In terms of relative volume, these shares are trading at 1.02x their normal volume. AllStockNews provide quality information for free in a convenient place and format. You do not need to look for us – the news portal “AllStockNews” meets the reader every morning on the way to work in the metro, at traffic intersections, in cafes and business centers. Complete the form below to receive the latest headlines and analysts' recommendationsfor Comcast with our free daily email newsletter: Comcast Corporation is a media and technology company. The Company has two primary businesses: Comcast Cable and NBCUniversal. Its Comcast Cable business ope The page you requested doesn’t exist here. To find what you were looking for, you could try one of the following: You are banned from this site. Please contact via a different client configuration if you believe that this is a mistake. \- Consult reliable Risk Management Service Providers & Risk Management Service Suppliers for professional service about Risk Management. Our Risk Management Service Providers and Companies delivery quality services about Risk Management. Receive free Risk Management Service Providers quotes online now. --- Online find professional Risk Management from our reliable Risk Management Service Providers and Risk Management Service Suppliers. Search the free Risk Management from Professional Risk Management Service Providers / Company and get the latest prices through our trustable Risk Management Service Providers and Risk Management Service Suppliers now! Please try again using the search tool above, or return to our homepage. IG does not issues advice, recommendations or opinion in relation to acquiring, holding or disposing of our products. IG is not a financial advisor and all services are provided on an execution only basis. The information on this site is not directed at residents of the United States or any particular country outside Australia or New Zealand and is not intended for distribution to, or use by, any person in any country or jurisdiction where such distribution or use would be contrary to local law or regulation. # Sorry – the page you have requested does not exist HAVING endured an unfair share of bank result presentations over the past decade, Criterion is convinced they're as subject to fickle fashion trends as hemlines and sunglasses. HAVING endured an unfair share of bank result presentations over the past decade, Criterion is convinced they're as subject to fickle fashion trends as hemlines and sunglasses. Following CBA's purchase of the Colonial wealth management group in 2000, the only worthy topic was whether the bank had overpaid for the asset. After that, the topics du jour turned to customer dissatisfaction and the bank's cost problems. Not that all of the market share gains are clearly desirable: we wonder whether it's the right time for the CommSec broking arm to dramatically increase penetration. Credit quality across the retail business actually improved. "Contrary to what others are reporting, we do not see any deterioration in arrears or loss rates in secured or unsecured lending," Norris says. Norris expects the full-year result should be similar to or more than those of its peers. The moot point is whether its main rivals - who report in April - will have suffered even more, given their books have had more time to marinade in the troublesome funding stew. Norris expects the financial markets volatility to continue at least until the end of calendar 2008, but stresses the bank won't hesitate to raise lending rates if required. The CBA's PR line is that it's been sharing the burden with mortgage customers, having passed on only 15 basis points of the 23 basis point rise in the cost of funds. But Norris yesterday admitted the bank was "mistaken" to act with restraint in January, when the bank passed on 10 basis points while some rivals were foisting double that on to customers. Norris reserves the right to post further increases, which suggests the doctrine of shared pain will be replaced with a less balanced philosophy. Norris is also upbeat about the outlook for the local economy and is sanguine about the risk of distressed mortgage holders handing in their keys. He notes that unemployment, not interest rates, is the main enemy of credit quality, with the jobless rate likely to remain low as exhausted baby boomers leave the workforce. Without trivialising the funding woes and the contagion effects of dire US housing conditions, we'll bet the last brick on our heavily geared residence the big banks will emerge all the stronger. With the nexus between cash ra You are banned from this site. Please contact via a different client configuration if you believe that this is a mistake. 20 West 22nd Street, Suite 706 New York, NY, 10010 / USA Clean, boost, and protect your phone with AMC Cleaner. A year of bloodthirsty onions, cats with swords, and walking on ceilings. The best transit apps can help you plan your commute. Alternatives like Minecraft and Terraria are just a block away. Lose weight and meet your health and fitness goals in 2018 with the best activity tracker apps. A year of bloodthirsty onions, cats with swords, and walking on ceilings. Google Lens comes to Google Assistant and Google Home and Google Photos get major updates. Youtube TV, Hulu, Netflix, and Sling TV fight for your eyeballs. Through the Coinbase wallet, you can sell and buy Bitcoin, Bitcoin Cash, Ethereum, and Litecoin; connect Coinbase to your bank or another financial account; and see cryptocurrency price charts and set price alerts. Norton Security and Antivirus for Android offers malware and privacy protection, checks Wi-Fi connections for security risks, and provides anti- theft tools in case your phone is lost or stolen. The Name Photo on Birthday Cake app for Android helps you create and then send personalized birthday greetings. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell A Queensland couple has been terrorised by this giant spider when they tried to use their BBQ. Contact your hosting provider for more information. Make Better, More Profitable ETF Portfolio Decisions Low Volatility ETFs invest in securities with low volatility characteristics. These funds tend to have relatively stable share prices, and higher than average yields. This site is used by investors to track what stock experts say. Stockchase is useful as an online investing tool for due diligence, and for getting a feel for how companies are thought of by investment experts. This site should not be your only resource or reference, but it should be one of the investing tools in your arsenal for wise investing in the stock market. Stockchase draws only on what has been discussed by individuals who appear on business television programs, in particular the Business News Network. Stockchase, in its reporting, neither recommends nor promotes any investment strategies that have been discussed. 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This action might not be possible to undo. Are you sure you want to continue? You are banned from this site. Please contact via a different client configuration if you believe that this is a mistake. Location World USA AlaskaAlabamaArkansasArizonaCaliforniaColoradoConnecticutWashington, DCDelawareFloridaGeorgiaHawaiiIdahoIllinoisIndianaIowaKansasKentuckyLouisianaMaineMarylandMassachussetsMichiganMinnesotaMississippiMissouriMontanaNebraskaNevadaNew HampshireNew JerseyNew MexicoNew YorkNorth CarolinaNorth DakotaOhioOklahomaOregonPennsylvaniaPuerto RicoRhode IslandSouth Caro Stock chart is not supported by your current browser Full Year 2017 Compass Group PLC Earnings Call The company, whose long-time Chief Executive Richard Cousins is stepping down by March-end, said on Tuesday organic revenue in North America rose 7.1 percent, accounting for more than 58 percent of total revenue. Its European business was also robust, posting an 8.3 percent increase in revenue. Compass, which provides meals for office workers, armed forces and school children around the world, said operating margin rose by 20 basis points for the full year, helped by restructuring and modest price increases. Compass Group Plc, the world's biggest catering firm, reported a 3.9 percent rise in quarterly revenue, driven by strong growth in the United States. The British company, which serves around 5 billion meals each year in more than 50 countries, said organic revenue in North America jumped 7.1 percent during the quarter and said it was seeing "good" growth across all sectors except in its oil and gas business. Compass, which provides meals for office workers, members of the armed forces and school children across the world, maintained its full-year margin expectations on Wednesday. Half Year 2017 Compass Group PLC Earnings Call Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. Compass Group PLC provides catering and support services. The Company offers services to offices, factories, hospitals and care homes, schools and universities, sports venues, military facilities, offshore platforms, and other remote locations. Compass Group serves customers worldwide.Address Compass House Guildford Street Chertsey, KT16 9BQ United Kingdom Sorry, no quarterly data is available at this time. Sorry, no quarterly data is available at this time. Sorry, no quarterly data is available at this time. Europe is undeniably a successful region, especially when it comes to economic prowess and influence. The UK economy has constantly been a major player in this success. Not only does the UK boast with a compelling education system, a competent political structure, and a healthy tourism industry' it also takes pride in excellent corporate governance that continues to shape its economy. Because of this, the country has one of the most competitive equity markets globally' transforming not just Europe but the trade and commerce around the world. While the FTSE 100 is a good indicator of the LSE, it is not a good indicator of the UK economy since it is mostly composed of international companies. On the other hand, the FTSE 250 is the best indicator of the UK economy' thanks to its extensive nature and components that are mostly UK-based companies. The components of the FTSE 100 are reviewed quarterly' particularly on the first Wednesday following the first Friday of the months of March, June, September, and December. Components are regularly dropped and added in accordance to a certain set of criteria for inclusion. The LSE has been forged to become more powerful through all those 200 years of existence. It is definitely a pride of the European economy and the reasons behind the successful efforts of the UK to realize long-term growth prospects. Investing on LSE stocks is an ideal move for investors nowadays. It is one of the best, and most rewarding ways to take advantage of the constant growth of the UK economy, as well as that of Europe. Professional analysts might be interested how this will affect Compass Group PLC. Compass Group PLC, through its subsidiaries, operates as a food and support services firm in North America, Europe, Japan, Latin America, Central Asia, the Middle East, Africa, Turkey, the Asia Pacific, Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: [TRADE IDEAS REVIEW – IS THIS THE BEST STOCK SCANNER? Trade Ideas is arguably one of the top scanning tools available on the market right Trade Ideas Pro helps traders find the best setups in the market right NOW Scottrade and E*TRADE license Trade Ideas proprietary technology for their premium trading platforms. We have fully automated trading available through Lightspeed and Interactive Brokers. Get the Next Big Winner in your inbox Before the Bell Beta is an important measure that gives investors a sense of the market risk associated with a particular stock. A beta above 1 signals above average market risk, while a beta below 1 implies below average volatility. COP has a beta of 1.20 and WPX’s beta is 2.47. COP’s shares are therefore the less volatile of the two stocks. Short interest is another tool that analysts use to gauge investor sentiment. It represents the percentage of a stock’s tradable shares that are being shorted. COP has a short ratio of 4.28 compared to a short interest of 4.42 for WPX. This implies that the market is currently less bearish on the outlook for COP. To request an unblock, please fill out the form below and we will review it as soon as possible. ConocoPhillips (NYSE:COP) is in the highlights and many would want to know whether now might be a good time for it to present much upside. Now trading with a market value of 62.74B, the company has a mix of catalysts and obstacles that spring from the nature of its operations. In light of the many issues surrounding this company, we thought it was a good time to take a close look at the numbers in order to form a realistic perspective on the fundamental picture for this stock. It’s generally a good idea to start with the most fundamental piece of the picture: the balance sheet. The balance sheet health of any company plays a key role in its ability to meet its obligations and maintain the faith of its investment base. For COP, the company currently has 1.45 billion of cash on the books, which is offset by 1.33 billion in current liabilities. The trend over time is important to note. In this case, the company’s debt has been falling. The company also has 74.86 billion in total assets, balanced by 44.15 billion in total liabilities, which should give you a sense of the viability of the company under any number of imagined business contexts. Looking ahead at valuations, according to the consensus, the next fiscal year is forecast to bring about 1.67 in total earnings per share. If we consider a median price to earnings ratio on the stock, that corresponds with a stock price of 36.27. However, one should always remember: the trends are more important than the forecasts. This continues to be an interesting story, and we look forward to updating it again soon on ConocoPhillips. Enter your email address below to get the latest news and analysts' ratings for your stocks with our FREE daily email newsletter: Get the Next Big Winner in your inbox Before the Bell There are too many sessions currently in use on this account Recipient email addresses will not be used in mailing lists or redistributed. Use semicolon to separate each address, limit to 20 addresses. ConocoPhillips' Baa1 rating reflects its large scale and resource base, globally diversified reserves and production, as well as a durable cash flow platform underpinned by relatively low-decline conventional oil and natural gas assets and very long-life oil-linked LNG assets. COP remains the largest E&P company in Moody's rated universe with almost 1.2 million barrels of oil equivalent of daily production, despite selling $17 billion of assets in 2017. The company has significantly cut its opex, capex and dividends since 2015, reduced exposure to low margin Canadian oil sands and North American natural gas and is looking to drive down its debt balance to $15 billion Complete the form below to receive the latest headlines and analysts' recommendationsfor United Continental with our free daily email newsletter: United Continental declared that its Board of Directors has initiated a share repurchase program on Thursday, December 7th that allows the company to buyback $3.00 billion in outstanding shares. This buyback authorization allows the transportation company to reacquire shares of its stock through open market purchases. Stock buyback programs are typically a sign that the company's management believes its stock is undervalued. The server is temporarily unable to service your request due to maintenance downtime or capacity problems. Please try again later. Additionally, a 503 Service Unavailable error was encountered while trying to use an ErrorDocument to handle the request. TopChronicle is your news, business, finance and Global events website. We provide you with the latest news and videos straight from the economic sectors. It looks like nothing was found at this location. Maybe try one of the links below or a search? Complete the form below to receive the latest headlines and analysts' recommendationsfor United Continental with our free daily email newsletter: United Continental announced that its board has initiated a share buyback plan on Thursday, December 7th that allows the company to repurchase $3.00 billion in shares. This repurchase authorization allows the transportation company to purchase shares of its stock through open market purchases. Stock repurchase plans are usually a sign that the company's leadership believes its shares are undervalued. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell But that kind of drop should make some investors pretty excited. Especially those looking for future income. That has made the major airlines hugely profitable. And when you add in that ticket sales and air traffic has recovered since the recession, that really puts the wind beneath the airlines' wings. Given that it has the ability to pay one, I'd be willing to bet that it does so rather quickly. Investors' confidence after the incident has been rattled. What better way to show your love than handing over some cold hard cash? Management has to be seriously considering doing just that. They were considering it before, why not strike when the iron is hot? As for keeping that dividend going, UAL stock should have no issues. While the scandal may drop bookings in the near-term, with less and fewer carriers to choose from, United should have no trouble regaining lost customers from the incident. And with crude oil and various labor issues behind it, the company's margins and cash flows should continue to be robust. For income seekers, that poses an interesting play in UAL stock. The ability and need to pay a dividend is there. There's a good chance United could start paying one as early as next earnings announcement. In the end, United has the ability to be one of the biggest dividend growth stories in the sector. The recent overbooking incident provides an inroads for investors to snag that potential. Choose A Page About Us Press Center Resources Advisory Services Free Newsletters Free Reports Contact Us Advertise With Us Employment Privacy Terms and Conditions Disclosures and Disclaimers Media Sites Sitemap Financial Market Data powered by FinancialContent Services, Inc. All rights reserved. Nasdaq quotes delayed at least 15 minutes, all others at least 20 minutes. Enter your email address below to get the latest news and analysts' ratings for your stocks with our FREE daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Enter your email address below to get the latest news and analysts' ratings for United Continental with our FREE daily email newsletter: United Continental announced that its board has approved a stock repurch # A UK supermarket chain will sell pasta, crisps, and rice for just 10p to reduce food waste The East of England Co-op, which has 125 stores in East Anglia, plans to sell dried and tinned food including rice, crisps, and pasta for just 10p in a bid to reduce food waste. The offer will not apply to perishable foods such as meat and fresh fruit and vegetables, which can be unsafe to eat when they surpass their "use by" date. Best before dates, on the other hand, indicate the quality of a product, rather than safety, and food being sold past its best before date will not remain on display for longer than a month. # A UK supermarket chain will sell pasta, crisps, and rice for just 10p to reduce food waste Get the best of Business Insider delivered to your inbox every day. These are external links and will open in a new window These are external links and will open in a new window Media playback is unsupported on your device Media captionNew Co-op Group boss looking at new markets The group also said that its financing costs had risen by £74m in 2016. Retail analysts are speculating that could mean an entry into the electricity and gas business. "Electricity and gas providers are regularly in the press for customer complaints and generally not serving customers well, therefore this looks to be a logical step for the Co-operative given their ambition to enter new markets," said Steve Dresser, director at Grocery Insight. The surprising story behind the lightsaber The Group had already reduced its stake in the bank but it has now completely divested itself from the business. The news was included in the Group's interim results, which also revealed that the company's profits had dropped as a result of a poor performance by its Insurance arm. The Co-op Bank was previously also entirely owned by the Group, but was spun off after a black hole in the lender's balance sheet forced it to seek outside investment. The bank again put itself up for sale in February of this year amid concerns it did not hold enough capital to survive another financial crisis. No details were provided regarding who has acquired the remaining shares in the bank, but the Co-op Group raised around £5m from the sale. Elsewhere in the report the Co-operative Group revealed that its underlying profit before tax had plummeted by 48% in the first half of the year, mostly due to a £12m drop in profits in the Group's Insurance business. The 'Simple' option affords families a no-frills experience and includes transport and care of the deceased as well as arrangements for a burial service, but does not cover embalming of the body or allow the family to choose the time or date of the funeral. Three-quarters of independent chain’s 1,190 members support deal, expected to be approved in March Three-quarters of independent chain’s 1,190 members support deal, expected to be approved in March There was a sense of relief at Nisa, with the meeting described as “fairly orderly” after a series of stormy shareholder meetings. About 60 members turned up, with the rest casting proxy votes online. The board recommended last month that the 1,190 shopkeepers who own Nisa accept the deal. It includes £20,000 up front as well as deferred payments worth more than £410,000 for those who own 250 shares in Nisa, the maximum allowed. The Co-op offer values Nisa at about 20 times its current share price. In total, there are about 60,000 shares in issue, with Nisa members each owning between one and 250. The Nisa chairman, Peter Hartley, said: “We as a board are firm in our belief that a combination with the Co-op is in the best interests of Nisa’s members. The convenience store environment is changing rapidly, and is unrecognisable from that which existed when Nisa was founded more than 40 years ago. Co-op will add buying power and product range to our offering, while respecting our culture of independence.” The deal still needs to be approved by the Competition and Markets Author Enter your email address below to get the latest news and analysts' ratings for Costco Wholesale with our FREE daily email newsletter: Costco Wholesale Corporation is engaged in the operation of membership warehouses in the United States and Puerto Rico, Canada, the United Kingdom, Mexico, Japan, Australia, Spain, and through its subsidiaries in Taiwan and Korea. As of August 28, 2016, the Company operated 715 warehouses across the world. Wordpress Hashcash needs javascript to work, but your browser has javascript disabled. Your comment will be placed in moderation! WebsiteBoard MembersAdministrationHealth ResearchEthical Review, Monitoring and EvaluationCapacity BuildingLibrary and InformationFinance AdministrationPublication black white green blue red orange yellow navi President of baseball operations Michael Hill made that perfectly clear, issuing a statement regarding rumored trade requests. Realmuto turns 27 in March and is under team control for three more seasons, so he could bring back an impressive haul. Chief Royal Commissioner, Justice Peter McClellan AM, handed the report to Governor-General Peter Cosgrove this morning. While he said he believed there were benefits to the vow of celibacy, he admitted it was a hard undertaking. Zaha has always been a talismanic figure for the Eagles and played a key part in their survival in the Premier League last term. Zaha is now in his second spell with Palace having began his career with them before securing a move to Old Trafford. Nine burros that are a favorite of visitors to South Dakota's Custer State Park have been burned in a wildfire and it's not known if they will survive. Always important when discussing dividends is the fact that, in general, dividend amounts are not always predictable and tend to follow the ups and downs of profitability at each company. In the case of Costco Wholesale Corp, looking at the dividend history chart for COST below can help in judging whether the most recent dividend is likely to continue, and in turn whether it is a reasonable expectation to expect a 1.1% annualized dividend yield. The chart below shows the trailing twelve month trading history for Costco Wholesale Corp, highlighting in green where the $182.50 strike is located relative to that history, and highlighting the $190 strike in red: Select a credit card product by: --- Card Type | Credit Score | Card Issuer Select an offer: 0% APR Credit CardsAirline Credit CardsBalance Transfer Credit CardsBusiness Credit CardsCash Back Credit CardsCharge CardsCharge Cards for BusinessEMV Smart ChipsGas Cards & Auto RewardsHome Improvement Rewards Credit CardsHotel Credit CardsInstant Approval Credit CardsLow Interest Credit CardsNo Annual Fee Credit CardsNo Foreign Transaction Fee Credit CardsPoints Rewards Credit CardsPrepaid & Debit CardsReward Credit CardsStudent Credit CardsTop 10 Best Credit Card Deals and Offers Bad CreditCredit Quality AverageCredit Quality ExcellentCredit Quality FairCredit Quality GoodLimited or No Credit HistoryPersonal Loans Enter up to 25 symbols separated by commas or spaces in the text box below. 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Fernando Fischmann is a scientist, businessman, biochemist and real estate developer. He founded Crystal Lagoons Corp. in 2007, and his groundbreaking project, San Alfonso del Mar in Chile won the Guinness World Record for the largest Crystalline Lagoon that same year. Fischmann has also been awarded The Stevie Award for innovation, finding himself in the company of some of the world's leading business minds, including Amazon's Jeff Bezos, Coca-Cola's Muhtar Kent the late Steve Jobs. The company has also recently announced a partnership with the most successful and most decorated Olympian of all time, Michael Phelps, further underscoring the company's ambitious expansion plans. Here Fischmann outlines the trends set to impact the world in a big way in 2018: Like the internet of the late 1980s and early 1990s, these are early days for Blockchain, the technology behind the digital currency Bitcoin, but there is enough hype around for Goldman Sachs to say the te WASHINGTON, November 7, 2017 - Growing restrictions imposed on foreign banks operating in developing countries since the 2007/9 global financial crisis are hampering better growth prospects by limiting the flow of much-needed financing to firms and On July 20, 2017, Fortune magazine released its list of Global 500 companies for 2017. Chinese property developer Country Garden (stock code: 2007.hk ) was included in the authoritative list for the first time, ranking 467 with revenue of USD23 billion , InterContinental Bangkok recently played host to the first-ever Young Sommeliers Competition 2017, sponsored by the Chaine des Rotisseurs. In 2007, the Chaine inaugurated the annual International Jeunes Sommeliers Competition to offer young SANY Group, China's top construction machinery manufacturer, has made remarkable progress in Asia-Pacific region since entering the local markets in 2007. After establishing its branch office in Sydney, SANY continues to make substantial efforts to It has already been 10 years since Google Street View, a 360-degree map of the world, was first introduced. Google Street View car officially hit the road in 2006 and the first imaginary was published on Google Street View in May 2007. Today Google Sorry, but the page you were trying to view does not exist. Since establishing our private equity strategy in 1989, we have invested in over 330 private equity investments in 40 countries. Sorry your session has expired. Would you like to restore your latest shopping cart? Browse and purchase any student and teaching resources, digital learning resources and educational textbooks. 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Reporting by Dominic Lau, Juliette Rouillon, Joanne Frearson and Elena Berton; Editing by David Hulmes Reuters content is the intellectual property of Thomson Reuters or its third party content providers. Any copying, republication or redistribution of Reuters content, including by framing or similar means, is expressly prohibited without the prior written consent of Thomson Reuters. Thomson Reuters shall not be liable for any errors or delays in content, or for any actions taken in reliance thereon. "Reuters" and the Reuters Logo are trademarks of Thomson Reuters and its affiliated companies. “With Alwaleed becoming a majority owner of the bank, it is a sound long term strategic move which will ultimately benefit BSF," Hesham Abou Jamee, chief executive of Alisthmar Capital, told Saudi-owned Al Arabiya TV. The transaction, subject to regulatory approvals, is expected to close in the second half of this year and will be funded through Kingdom Holding's available liquidity and existing bank facilities, Kingdom said in a statement. At a deal price of 29.5 riyals per share, Kingdom Holding is buying the BSF stake at a discount to its current share price and book value of Saudi bank peers. The acquisition is expected to increase cash flow and income for Kingdom Holding. Credit Agricole remains a strategic shareholder and will support the bank's activities, Kingdom Holding said. Additional reporting by Blandine Henault in Paris, and Saeed Azhar and Celine Aswad in Dubai; Editing by Edmund Blair Reuters content is the intellectual property of Thomson Reuters or its third party content providers. Any copying, republication or redistribution of Reuters content, including by framing or similar means, is expressly prohibited without the prior written consent of Thomson Reuters. 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Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. You are banned from this site. Please contact via a different client configuration if you believe that this is a mistake. Complete the form below to receive the latest headlines and analysts' recommendationsfor CRH with our free daily email newsletter: Smart Sand beats CRH on 8 of the 12 factors compared between the two stocks. 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The railway market is growing, both in China and abroad. CRRC is going to benefit from it more than anyone else. Revenues generated by the railway equipment business can be broken down further as the following table shows. There are several risks connected with this investment. First of all, CRRC depends on China and its politics. Its single largest customer generates 57% of all its revenues, so the stock price will always be linked to China's willingness to expand its railway network at home and abroad alongside its ability to pay for it. In the past, the development of new railways came in several waves, which might happen also in the future. There are also questions on whether the Road and Belt initiative will actually be as successful as it is expected to be. Some argue that railways are easy to disrupt by criminals, which might turn out problematic on some lines that are going to connect China with Pakistan or China with Europe. Others claim the different gauge systems between countries make transportation of goods slow and much more expensive with respect to the sea routes. Even though Chinese officials deny this vehemently, there is no doubt that China uses its Road and Belt strategy to increase its influence around the world in its almost imperialistic manner. There is a certain risk that at some point it hits a wall when Western nations see their influence melt away (together with the revenues of their rolling stock manufacturers). National sentiments by Western governments might make it more difficult for CRRC to sell their products abroad. Even though CRRC has acquired as much knowledge as possible from Western firms through collaboration in its earlier days, there are still concerns whether it is able to fully enter the European markets, especially as far as high-speed trains are concerned. The European railway market is fragmented and requires certifications alongside security standards that could turn out to be more difficult to obtain than CRRC currently thinks. Finally, the firm generates revenue with few but large orders since railway contracts are large ticket items. This leads to ups and downs in revenues, cash flows and profits that are not always quite predictable. Trains are probably not on the radar of most Western investors. But if one studies how China is developing, he quickly realizes that efficient railways are a necessity to this country. No other company can better benefit from this development than CRRC. It is already by far the largest rolling stock manufacturer worldwide. It has a proven ability to improve technology and to produce at significantly lower costs than Western competitors. Yet, the stock trades at low multiples and recently dipped due to China's crackdown on shadow banks and entrusted funds, which impacted the market as a whole, but shouldn't have any meaningful influence on CRRC's business. Overall, right now should be a good opportunity for starting long-term position as potential clearly outweighs the risks. Want to share your opinion on this article? Add a comment. To report a factual error in this article, click here Follow Growth And Value and get email alerts The chat platform is currently undergoing maintenance. Please upgrade your browser or use a different browser, such as Google Chrome. For financial companies such as banks and insurance companies, their assets may be reported in current market value of the assets owned. Book values of financial companies are more accurate indicator of the economic value of the company. Long only, value, growth at reasonable price, foreign companies This leads to frequent mispricing and interesting opportunities for value investors. 95 companies are listed both in Hong Kong as H-shares and at the same time in Shanghai as A shares. One would think that onc CVS Health is a pharmacy innovation company. CVS Health is a dedicated senior pharmacy care business serving more than one million patients per year, expanding specialty pharmacy services, and a leading stand-alone Medicare Part D prescription drug plan. The Company enables people, businesses, and communities to manage health in more affordable and effective ways. This unique integrated model increases access to quality care, delivers better health outcomes and lowers overall health care costs. CVS Health Corporation was founded in 1963 and is headquartered in Woonsocket, US EVP, Chief Health Strategy Officer and General Counsel Executive Vice President and Chief Operating Officer Executive Vice President and Chief Medical Officer Executive Vice President and Chief Information Officer CVS Health Corporation has offices in Woonsocket, Minneapolis, Jersey, Frederick and in 4 other locations CVS Health Corporation's Customers was reported to be 90 m in FY, 2016 Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Complete the form below to receive the latest headlines and analysts' recommendationsfor AK Steel with our free daily email newsletter: AK Steel Holding Corporation is a producer of flat-rolled carbon, stainless and electrical steels, and tubular products through its subsidiary, AK Steel Corporation (AK Steel). The Company also operates blast furnaces and electric arc furnaces. As of December 31, 2016, its operations included eight steelmaking and finishing plants, two coke plants and two tube manufacturing plants across states, including Indiana, Kentucky, Michigan, Ohio, Pennsylvania and West Virginia, and a tube manufacturing plant in Mexico. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Weighted Alpha is used to calculate how much a share has gone up or down over a certain period, normally a year. In general, more thrust is placed on most recent actions by assigning higher weights to it than those assigned to past movements. This assists to give a return figure that has a stronger focus on the most current period and is thus a better measure for short-term analysis. This technique is highly famous among technical analysts. If the stock is up it will have a positively weighted alpha. If the stock price is unchanged its weighted alpha will be smaller. A stock price loss will yield a negatively weighted alpha. AllStockNews provide quality information for free in a convenient place and format. You do not need to look for us – the news portal “AllStockNews” meets the reader every morning on the way to work in the metro, at traffic intersections, in cafes and business centers. Analysts-Buzz is an online news portal that covers independent, focused, in- depth research and financial news. We are engaged in comprehensive coverage of the most important news including business, analysts rating updates, earnings reports, dividend, Acquisition & Merger and global news. We don’t have to provide merely news on events but also experts opinion on news so that’s why we are different and unique in this news delivering industry. There is more than one indicator we can consider while evaluating a potential stock’s financial performance. For example, we can find out a public company’s profit margin, which lets us know how much of a company’s net sales revenue was retained as earnings – which we calculate by dividing net income by total sales revenue. CVS currently has a profit margin of 2.80%. We can also look at Return on Assets, which is a percentage that tells us how good a public company is at using its current assets to generate a profit. Higher percentages mean that the company is better at using its assets. At the moment, CVS Health Corporation Retur The page you were looking for may have been removed. You may have typed the wrong URL in the address bar. Although unlikely, there could have been a technical error on our site. The page you were looking for may have been removed. You may have typed the wrong URL in the address bar. Although unlikely, there could have been a technical error on our site. 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Information includes fund holdings, fund sentiment, financial data, and regulatory filings (including SEC, LSE, ASX, and SGX). * The request contained a double escape sequence and request filtering is configured on the Web server to deny double escape sequences. Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. Have Watchlists? Log in to see them here or sign up to get started. Create a list of the investments you want to track. Visit a quote page and your recently viewed tickers will be displayed here. You are banned from this site. Please contact via a different client configuration if you believe that this is a mistake. Dai-ichi Life Holdings Inc is a Japan-based life insurance company. The company provides life insurance products to individual and corporate customers in Japan and internationally. It offers various insurance products such as individual life insurance products and annuities, single premium whole life insurance products, and financial insurance and annuities; and group term life insurance, group credit life insurance, and group annuities. In addition, it offers asset management service, consulting service, and as well as reinsurance products. Dai-ichi generates most of the income from Japan region through the source of premium, interest and dividend. Additionally, a 404 Not Found error was encountered while trying to use an ErrorDocument to handle the request. The page you were looking for may have been removed. You may have typed the wrong URL in the address bar. Although unlikely, there could have been a technical error on our site. The system has encountered an unexpected error. 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Stock chart is not supported by your current browser Sales of heavy trucks in Brazil are likely to rise 30 percent next year, the head of Mercedes Benz in the country said on Monday, raising a prior forecast of 20 percent growth as a recovery gains steam in Latin America's largest economy. Philipp Schiemer, who is also the most senior executive in Latin America for Daimler AG, raised the company's forecast for bus sales in Brazil to 15 percent growth in 2018 from this year, up from a prior outlook for 12 percent growth. Most of the attention in the electric-truck sector recently has focused on Tesla, which presented its Semi model to great fanfare earlier this month. Not to be outdone, Daimler beat Tesla to the punch by unveiling its big electric rig a few weeks before Elon Musk’s big moment. Those scene-stealing electric semis won’t be on… Hyundai needs a friend in China and has the heft to splurge on EVs. Companies can start to experiment with ways to solve problems in business and science The Mercedes parent reportedly subjected the electric SUV to extreme testing and completely dissembled it. When the 2018Mercedes-AMG GT R rolled out of the parking elevator in its Mars Red paint job, there was no denying the beast was here. New car registrations in Germany, Europe's largest auto market, will grow to one of their highest-ever levels this year, fuelled by a strong economy and sales incentives for cleaner diesel models, the country's main auto lobby said. Registrations of passenger cars in the home market of Volkswagen, Daimler and BMW may rise at least 3 percent to 3.4 to 3.5 million vehicles, nearing an all-time record of 3.8 million achieved in 2009 thanks to a national scrappage scheme to spur a then-slumping car market. Persistent economic growth, high employment levels, solid wages and low interest rates have helped Germany's auto market post a fourth straight significant gain in annual sales, Matthias Wissmann, head of the VDA auto industry association said at a news conference on Wednesday. In a push to capitalize on its fastest growing North American market, Car2go brings Mercedes-Benz CLAs to its NYC fleet. Within the automotive industry, it’s common practice for companies to purchase competitors’ cars and benchmark or reverse-engineer them to learn precisely what they are up against. General Motors has an entire Teardown Lab for dismantling and scrutinizing other vehicles. Ford’s CEO Mark Fields once told Business Insider, “we do teardowns of all major competitive vehicles.”… The multibillion-dollar trucking industry witnesses a gradual shift to silent and emission-free electric trucks with a few major auto makers acting as a catalyst to this green mission. Batteries are the heart of the electric car, yet for a host of reasons car companies shouldn’t be the ones to make them. Formula E is trying to focus on the present but looking very much to the future as the electric racing series powers up for the start of season four in Hong Kong this weekend. Nissan will replace Renault in 2018/19, when BMW also enter as an official manufacturer team, and Porsche and Mercedes are coming in for 2019/20. Formula E's chief executive Alejandro Agag rejects suggestions however that the city-based series, which currently sees drivers having to change cars mid-race, is biding its time. Daimler told Geely it was still welcome to buy shares in the open market. HONG KONG/BEIJING (Reuters) - Daimler AG (DAIGn.DE) has turned down an offer from China's Geely to take a stake of up to 5 percent via a discounted share placement, as the German automaker has long been reluctant to see existing shareholdings diluted, sources with knowledge of the talks said. Although Daimler declined the offer, it told Geely it was welcome to buy shares in the open market, the sources added. Carmakers in China have embark You can try searching via Google in the meantime. Note that their indexes of our content may be out of date. Beta is a statistical measure that compares the volatility of a stock against the volatility of the broader market, which is typically measured by a reference market index. Since the market is the benchmark, the market's beta is always 1. When a stock has a beta greater than 1, it means the stock is expected to increase by more than the market in up markets and decrease more than the market in down markets. Conversely, a stock with a beta lower than 1 is expected to rise less than the market when the market is moving up , but fall less than the market when the market is moving down. Despite being rare, a stock may have a negative beta, which means the stock moves opposite the general market trend. Daiwa House Industry Co., Ltd. shows a Beta of N/A. This is significantly lower than 1. The volatility of Daiwa House Industry Co., Ltd. according to this measure is significantly lower than the market volatility. By registering you agree to The Edge Property Terms of Use. Enter your email below and we will send you a reset password link. * The Biggest Mixed Development with the Largest Commercial Offerings in Cameron Highlands EdgeProp.my is Malaysia's most useful property website for home buyers and investors. At EdgeProp.my, you can find daily breaking news on property, and hundreds of thousands of properties for sale and rent with detailed information such as past transacted prices, maps and photos. We offer a full collection of the most popular property types in the market - condominiums and apartments, landed properties, residential land and commercial properties. Additionally, a 404 Not Found error was encountered while trying to use an ErrorDocument to handle the request. 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Select Country Afghanistan Åland Islands Albania Algeria American Samoa Andorra Angola Anguilla Antarctica Antigua and Barbuda Argentina Armenia Aruba Australia Austria Azerbaijan Bahamas Bahrain Bangladesh Barbados Belarus Belgium Belize Benin Bermuda Bhutan Bolivia Bosnia and Herzegovina Botswana Bouvet Island Brazil British Indian Ocean Territory Brunei Darussalam Bulgaria Burkina Faso Burundi Cambodia Cameroon Canada Cape Verde Cayman Islands Central African Republic Chad Chile China Christmas Isla * Wanda targeted in Chinese clampdown on overseas investment Wanda has become a target in China's clampdown on capital outflows, and sources say Chinese banks have been told to stop providing funding for several of its overseas acquisitions in order to curb its appetite for offshore deals. A mathematics graduate, Li comes across as a modest and mellow businessman. "The London deal could be more related to Wanda rather than its overseas expansion strategy, because it had rarely talked about plans to flex its muscles overseas", said RHB Research analyst Toni Ho. Chinese developer threatens criminal complaint over financial rumors HONG KONG -- Chinese conglomerate Dalian Wanda Group said it would take legal action against an online media outlet over an article that claimed the group was running out of cash amid an official crackdown on capital outflows and corporate debt. In a statement issued on Thursday, Wanda refuted eight allegations made in the article including the claim that its 1 trillion yuan ($151 billion) assets had shrunk by more than a half, and it had connections with corrupt officials. Wanda had already reported the case to the police, a source said. The author of the article said that representatives at Wanda had already approached him over the article, and he had hired a lawyer to handle the case. "Wanda currently has more than 200 billion yuan on hand, and the revenue in 2017 has exceeded 200 billion yuan. The company has been operating normally with no record of debt default globally. On what ground the author made such account that we are short of cash?" Wanda also urged the author to provide concrete evidence that its assets had shrunk by more than half. Wanda also accused the author of implicating that Dalian Wanda had jeopardized China's Belt and Road Initiative over the bid of a Kuala Lumpur property project called Bandar Malaysia. The article said Wang had offered twice the amount that a consortium led by state-owned China Railway project had proposed to pay. Wanda said the project was referred to it by the Chinese government. It had sent an inspection team on March but had not engaged in any price negotiations. The statement also denied the group had any connection with two allegedly corrupt Chinese officials over its property projects in Jilin and Yunnan provinces. Japan releases video of crackdown on North Korean fishing boats The live stream sales through smartphone boom Subscribe to get unlimited access to all articles. Subscribe today to continue enjoying NAR. • Unlimited access to asia.nikkei.com • Unlimited access to NAR mobile and tablet apps • Add delivery of NAR in print each week Redeemable only through the Subscribe button below Your subscription renewal could not be processed. Please update your payment information to continue enjoying the Nikkei Asian Review. Subscribe today to continue enjoying NAR. • Unlimited access to asia.nikkei.com • Unlimited access to NAR mobile and tablet apps • Add delivery of NAR in print each week Do you want to keep abreast of the issues in Asia? Sign up now for an individual subscription and continue enjoying the Nikkei Asian Review. * Your subscription period starts immediately after the expiration of your current subscription, and will be charged to your credit card accordingly. Your full access to the Nikkei Asian Review will be expired soon. * Your subscription period starts immediately after the expiration of your current subscription, and will be charged to your credit card accordingly. Subscribe today to enjoy the Nikkei Asian Review In the announcement of the deal, Wanda Group said that current Legendary CEO Thomas Tull would retain that position “and will continue to be responsible for [Legendary’s] day-to-day operations.” In a statement, Tull said that the two companies “will combine our respective strengths to bring an even better entertainment experience to the world’s audiences.” Wanda Group chairman Wang Jianlin pointed Reuters content is the intellectual property of Thomson Reuters or its third party content providers. Any copying, republication or redistribution of Reuters content, including by framing or similar means, is expressly prohibited without the prior written consent of Thomson Reuters. Thomson Reuters shall not be liable for any errors or delays in content, or for any actions taken in reliance thereon. "Reuters" and the Reuters Logo are trademarks of Thomson Reuters and its affiliated companies. Our apologies, the content you requested cannot be located. The best of Reuters news delivered right into your email box absolutely free. # Nestle CEO praised by Third Point but hedge fund still wants more Billionaire hedge fund manager Daniel Loeb, whose firm Third Point made a $3.5 billion investment in Nestle in June, told his clients that he was pleased but not satisfied in a letter viewed by Reuters. Loeb was at the meeting but kept a low profile, without asking questions of the CEO or answering journalists' questions on the sidelines. However, there have been plenty of private conversations, with frequent phone calls between New York and Vevey, a person familiar with them said. By staying in the background, for now, Loeb is giving Schneider time to steer Europe's most valuable company through its weakest growth in more than two decades, as consumers ditch processed foods for fresher, healthier options. Nestle has also been buying back stock nearly every day since the September meeting as part of a $21 billion repurchase plan, and is selling its U.S. confectionery business and buying niche brand Blue Bottle. Reporting by Martinne Geller in London and Svea Herbst-Bayliss in Boston; Editing by Lauren Tara LaCapra and Andrew Hay You are banned from this site. Please contact via a different client configuration if you believe that this is a mistake. Reuters content is the intellectual property of Thomson Reuters or its third party content providers. Any copying, republication or redistribution of Reuters content, including by framing or similar means, is expressly prohibited without the prior written consent of Thomson Reuters. Thomson Reuters shall not be liable for any errors or delays in content, or for any actions taken in reliance thereon. "Reuters" and the Reuters Logo are trademarks of Thomson Reuters and its affiliated companies. JAKARTA Indonesia's anti-monopoly agency has imposed a $1 million fine on bottled water producer PT Tirta Investama, which is affiliated to French firm Danone, for resorting to unfair business competition practices. JAKARTA, Dec 20 Indonesia's anti-monopoly agency has imposed a $1 million fine on bottled water producer PT Tirta Investama, which is affiliated to French firm Danone, for resorting to unfair business competition practices. * Fonterra says decision will not impact farmgate milk prices Dec 1 New Zealand's Fonterra requested an immediate temporary trading halt on Friday to have time to consider the outcome of its arbitration with Danone SA regarding its 2013 whey protein concentrate precautionary recall. * ‍REQUEST HAS BEEN MADE TO GIVE FONTERRA TIME TO CONSIDER OUTCOME OF ITS ARBITRATION WITH DANONE ​ Nov 22 The following bids, mergers, acquisitions and disposals were reported by 2100 GMT on Wednesday: Danone and WhiteWave will now combine their activities in North America to operate as a Strategic Business Unit, named "DanoneWave". As previously announced, the combination will include Danone Dairy's and WhiteWave's current North American businesses under the leadership of Lorna Davis, who has been appointed Chief Executive Officer of the combined entity. Alpro will join forces with Danone Dairy as a key pillar of its new plant-based category, managed by Gustavo Valle, with the aim to expand and grow the plant-based category around the world. _"I am thrilled that we have completed the acquisition of WhiteWave", said Emmanuel Faber, CEO of Danone. "Danone and WhiteWave are a perfect match t In 2000, Datong Coal Mining Administration was reconstructed as Datong Coal Mine Group Company Limited Its subsidiary company, Datong Coal Industry, . Coal Transportation Datong Co, Ltd, Shanxi Datong Coal Mine Group; Company Information; , Company Information Participant Since 04 , Datong Coal Mine Group Co, Ltd is a coal mining service located in Datong, China View phone number, employees, products, revenue, and more Shandong Dongshun Group Co, Ltd at Datong Coal Mine Group Co,Ltd, Heping Commercial Pedestrian Street, Mining Area, Datong, , Datong Coal Industrial Jinyu kaolin Chemical Co, LTD, established on April 2008, is a wholly subsidiary of Datong Coal Mine Group The total investment capital is . Datong Coal Mine Group Co, Ltd at Xinpingwang Datong City Shanxi Province Xiangang China Cn Find their customers, contact information, and details on 1 shipment Datong Coal Mine Group Co, Ltd, formally known as Datong Co, Request Quotation Datong Coal Mine Group Co, Ltd, formally known as Datong Coal Mining . Formerly Datong Coal Mining Administration, it was established in 1949 In 2000, Datong Coal Mining Administration was reconstructed as Datong Coal Mine Group Company . Datong Coal Industrial Jinyu kaolin Chemical Co, LTD, established on April 2008, is a wholly subsidiary of Datong Coal Mine Group The total investment capital is . 2010 11 24 Datong China - Air Liquide Nov 24, 2010 , Chemical Industry Co, Limited, whose major shareholder is Datong Coal Mine , Datong Coal Mine Group is the . Previous: Alphaland International PTY LTD, Design and Research Co, Ltd of Datong Coal Mine Group, Datong Coal Mine Group Hongyuan Construction Co, Ltd Chapter 8 The Datong Coal Mine Group Ltd and Its Tashan Circular Economy Park: A Business Case Huifang Tian Institute of World , Company Info: Datong Coal Mine Group Co, Ltd, formally known as Datong Coal Mining Administration, was established in 1949 In July 2000, Datong Coa, The . The Foreign Trade & Economic Cooperation Company of Datong Coal Mine Group was established in 1998 In 2010, it was restructured and named Foreign Trade & Economic . Datong Coal Industry Jinyu Kaolin Chemical Co, Ltd is the key enterprises at Tashan recycling economy park of Datong Coal Mine Group Datong coal mine kaolin . Datong Coal Mine Group Co, Ltd is a coal and other minerals and ore company located in Datong, China View phone number, employees, products, revenue, and more Connect to the most current information on stocks and bonds on Reuters , in Datong Coal Mine Group Co, Ltd , in Datong Coal Industry Co, Ltd . Datong Coal Industry Co, Ltd, established in 2001 and parented by Datong Coal Mining Group It is engaged in excavating, processing and sales of coal Its . # Huaneng signs mining collaboration pact with Datong Coal BEIJING, Aug 31 (Reuters) - Huaneng Power, one of China's top utilities, on Thursday signed an agreement with Datong Coal Mine Group to collaborate on mining and supplies, in another sign of deepening ties between the two sectors as Beijing aims for more state mergers. As part of the deal, Huaneng and coal miner Datong Coal plan to streamline the supply chain from coal to power production, the utility company said on its website. The pact comes just days after the government said the nation's largest coal miner Shenhua Group Corp Ltd will take over its utility China Guodian Corp to create the world's biggest utility. The two companies will seek more collaboration in overseas projects, ports logistics as well as clean energy business, Huaneng added. However, it comes amid speculation that the Shenhua-Goadian union will spur more mergers in the power industry as Beijing aims to shake up its indebted and inefficient state sectors, streamline the number of companies and create globally competitive firms in sectors, including power generation, shipping and metals. Following a surge in coal prices, the government wants to combine coal and power in order to reduce costs for China's electric util Statistics and Studies from more than 18,000 Sources Show sources information Show publisher information Release date Data prior to 2014 have been taken from previous editions of the publication. Statista offers dossiers and reports on over 170 industries. With Statista you are always able to make informed decisions and boost your work efficiency. Register in seconds and access exclusive features. This feature is limited to our corporate solutions. 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Whole site Classified ads Search ads Professionals 2017 John Deere 6155R, ultimate edition, autopower command arm 50k, TLS, cab suspension, 10" command centre display, autotrac ready, 4600 processor, premium radio, hydraulic top link, 4 x electric scv, iTec, front linkage & PTO, front scv, air brakes, LED work lights, E-scv 3 function joystick, heated rear window, fridge, roof hatch, wide angle mirrors, bottle holder, backup alarm, chrome exhaust, Michelin Xeobib 710/60R42 - 600/60R30, 979hrs Headquartered in Middlefield, CT, Cooper-Atkins offers temperature management devices and wireless monitoring solutions for foodservice, industrial as well as healthcare markets. The company has offices with operations across Ohio, Florida and Singapore with about 150 employees. The company's solutions utilize mobile and cloud-based quality, safety as well as compliance systems to modernize food quality management. The company is on a constant lookout for small bolt-on and strategic acquisitions to increase sales to up to $20 billion and cash flow back to over $3.2 billion over a span of next five years. Some of the notable acquisitions made by the company in recent times include Pentair Valves & Controls and a business unit of Pentair plc. This apart, the company expanded global capabilities in fresh food monitoring, with the acquisitions of Locus Traxx and PakSense. These buyouts are likely to enable the company widen the scope of cargo solutions. Despite these positives, macroeconomic factors like sluggish economic conditions, recession and adverse conditions in the end markets are impeding growth. Further, prolonged softness in the oil and gas markets has affected both capital spending and operational expenditure of clients, consequently marring the company's prospects. 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I understand that I may unsubscribe from these communications at any time by using the unsubscribe link at the bottom of the Dell email. It looks like nothing was found at this location. Maybe try a search? Enter your email address below to get the latest news and analysts' ratings for Dell Technologies with our FREE daily email newsletter: Dell Technologies Inc, formerly Denali Holding Inc, is a provider of information technology solutions. The Company operates through two segments: Client Solutions and Enterprise Solutions Group (ESG). The Client Solutions segment includes sales to commercial and consumer customers of desktops, thin client prod The Charles Schwab Corporation, through its subsidiaries, provides wealth management, securities brokerage, banking, asset management, custody, and financial advisory services. The company has market cap of $69.36 billion. The firm operates through two divisions, Investor Services and Advisor Services. It has a 32.96 P/E ratio. The Investor Services segment provides retail brokerage and banking services, retirement plan services, and other corporate brokerage services; and stock plan services, compliance solutions, and mutual fund clearing services, as well as engages in the off-platform sales business. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Terraform Glbl Cla (NASDAQ:GLBL) has an ABR of 3 which is the combined stock view of 3 analysts poll results. As per Zacks simplified descending rating scale the ABR rank is displayed in the range of 1 to 5 where 1 represents Strong Buy and 5 a Strong Sell. As the name implies that ABR will show you the Average of Brokerage Recommendations on a given stock. It helps you quickly get a picture of where Wall Street stands on a stock without reading huge research reports. The smaller number of ABR is the more favorable. The modest value of the stock is known as the current ABR of the stock. Complete the form below to receive the latest headlines and analysts' recommendationsfor United Technologies with our free daily email newsletter: Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell # Delta Will Stage Last Commercial Flight of Boeing 747 > Delta's history with the Queen of the Skies is unique in that it had acquired and retired its first fleet of 747s by 1977 only to acquire a new fleet of 747s from its merger with Northwest Airlines in 2008. > The timeline below aims to capture the long history of this beloved aircraft in preparation for the airline's farewell tour for Ship 6309, which will begin on Sunday, Dec. 17, with the last domestic departure from Detroit to Seoul, the last international arrival from Seoul to Detroit, and a series of employee flights to Detroit, Seattle, Atlanta and finally Minneapolis on Dec. 20. Where do these planes go after their commercial use is over? Mostly to be stored in deserts where dry air will do them the least damage. From there, it is anyone's guess. Imagination Technologies Group plc creates and licenses processor solutions for graphics, video and vision processing, general purpose and embedded processing, and multi-standard communications in the United Kingdom and internationally. The company has market cap of 518.72 million GBP. It offers PowerVR multimedia technologies for use in the areas of graphics, ray tracing, video, and vision; MIPS processor cores for use in mobile, wearable, and Internet of things devices; and Ensigma wireless IP solutions for high- performance and low-power connectivity, TV and audio broadcast, and high- performance switching and routing applications. It currently has negative earnings. The firm also provides creator developer kits and software, as well as system on chip design services. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Relative strength index (RSI-14) for DAL is observed at 59.66. Traditionally, RSI readings greater than the 70 level are considered to be in overbought territory, and RSI readings lower than the 30 level are considered to be in oversold territory. In between the 30 and 70 level is considered neutral, with the 50 level a sign of no trend. The relative strength index (RSI) is a technical indicator used in the analysis of financial markets. It is intended to chart the current and historical Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. 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German police said a bomb found in Potsdam on Friday was aimed at extorting a sum equivalent to millions of euros from Deutsche Post’s DHL courier service and warned the perpetrator could send more bombs.... Deutsche Post’s DHL said Tuesday it has preordered 10 of Tesla’s Semi trucks, joining a growing list of large transportation companies looking to test the all-electric vehicles. Graphics-chip maker Nvidia on Tuesday unveiled a new artificial intelligence computer for fully autonomous vehicles. Career opportunities within DHL are as diverse as our teams all over the world. With over 510,000 employees in over 220 countries and territories, we connect people, improving their lives. 1692 jobs are currently available. Find yours now. Our people are our biggest strength and each career story is unique. To understand why our employees are so passionate about their work, what motivates them every day and how they master challenges, view their stories and get inspired. Bring your experience and explore different job opportunities with a view to joining our teams located in DHL operations The page you are looking for no longer exists. Perhaps you can return back to the site’s homepage and see if you can find what you are looking for. T-Mobile US, where Deutsche Telekom has been reaping the rewards of 20 billion euros in investments over the past three years, is expected to see its adjusted EBITDA growth rate slow to 7 percent this year from 29 percent in 2016, the German group said on Thursday. Deutsche Telekom is making the most of its large fixed and mobile networks as well as TV content deals to sell bundled packages that are more expensive than single services and tend to keep customers more loyal. Sales and profit fell in the rest of Europe as Deutsche Telekom spent aggressively on marketing amid tough competition in countries such as Austria, the Netherlands and Poland. Ailing IT services unit T-Systems reported a 21 percent drop in adjusted EBITDA as it set aside provisions of about 100 million euros for two legacy outsourcing contracts. Deutsche Telekom also said its sales should rise by an unspecified amount this year and free cash flow should increase by 12 percent, with a corresponding dividend hike. Hoettges said he nonetheless wanted to keep the stake as BT's strong UK market position across fixed line, mobile and media fitted with Deutsche Telekom's own strategy. Editing by Maria Sheahan, Alexander Smith and Susan Thomas You are banned from this site. Please contact via a different client configuration if you believe that this is a mistake. Instead, he introduced a new tool that Sprint was launching for customers to extend their network coverage and said the company was generally interested in exploring opportunities for a deal. 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The London Stock Exchange does not disclose whether a trade is a buy or a sell so this data is estimated based on the trade price received and the LSE-quoted mid-price at the point the trade is placed. It should only be considered an indication and not a recommendation. Value, long-term horizon, research analyst, contrarian Several sources report that Disney and Fox are close to a deal. Disney would acquire most of Fox's assets, enlarging its portfolio of intellectual property and media networks. The potential combination has important implication for Disney's future and the prospects of its streaming ventures. Media companies are trying to improve their competitive position now that the increasing penetration of streaming services is pushing customers towards leaner bundles that have proven to be incremental to the overall media consumption but may pose a risk to media networks' pricing strength with Cable TV providers or other Pay TV companies, besides the fact that streaming services lead to margin dilution for the same cable TV and Pay TV providers. In this context, Disney's acquisition of Fox's assets makes sense if we consider the potential benefits in terms of IP growth and how this would make Disney's future streaming service more appealing, but also shows that vertical integration doesn't involve only the streaming end but the pay-TV end as well (with the inclusion of Sky). This is something I didn't expect and makes the strategic approach a bit different than what I thought. Anyway, I think the acquisition of Fox's assets would be a smart move, for many reasons. Although Disney is already one of the strongest players in the Media Networks industry, the acquisition of Fox's assets would strengthen its position further and give the company more bargaining power with Cable TV providers. According to several sources, the deal contemplates the sale of the FX Network, National Geographic, Star, regional sports networks, movie studios and stakes in Pay-TV giant Sky and streaming service Hulu, and a few other properties. What would not be included in the deal is the news and business news divisions, the broadcast network and Fox sports. > Q4 Cable results were roughly comparable to the prior year. At ESPN, growth in affiliate revenue was offset by higher programming costs and lower advertising revenue. Higher spending on programming was primarily driven by a contractual rate increase for the NFL. Ad revenue at ESPN was down low-single digits in the quarter, as higher rates were more than offset by a decrease in impressions. […] Total Media Networks' affiliate revenue was up 4% in the quarter, due to growth at both Cable and Broadcasting. The increase in affiliate revenue was driven by 7 points of growth due to higher rates, partially offset by about a 3 point decline due to a decrease in subscribers. By adding fox Networks, National Geographic, and regional Sport Networks, Disney would own an even larger portion of the most important networks, increasing the pricing power they have with Cable TV and Pay TV providers, since the amounts that the company can charge to MVPDs for its cable network services are largely dependent on the quality and quantity of programming that it can provide. These additions seem to fit very well Disney's current assets, which include the ESPN, Disney and Freeform Networks. The move should not include Fox's broadcasting network as FCC rules prohibit one company from owning more than one of the Big Four networks Alert me to websites indicated as potentially harmful. 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The Company operates in three business segments: commercial vehicles segment, which manufactures and sells commercial vehicles, and the related engines and other automotive parts; passenger vehicles segment manufactures and sells passenger vehicles, and the related engines and other automotive parts, and corporate and others segment, which manufactures and sells other automobile related products. Dongfeng Motor Group Company Limited is headquartered in Hubei province, the Peoples' Republic of China. " Complete the form below to receive the latest headlines and analysts' recommendationsfor Dongfeng Motor Group Co. with our free daily email newsletter: According to Zacks, "Dongfeng Motor Group Company Limited is engaged in the manufacture and sale of commercial vehicles, passenger vehicles and auto engines and parts. The Company operates in three business segments: commercial vehicles segment, which manufactures and sells commercial vehicles, and the related engines and other automotive parts; passenger vehicles segment manufactures and sells passenger vehicles, and the related engines and other automotive parts, and corporate and others segment, which manufactures and sells other automobile related products. Dongfeng Motor Group Company Limited is headquartered in Hubei province, the Peoples' Republic of China. " An entire team of researchers to bring you winning picks SIGNUP FOR OUR FREE NEWSLETTER News Corp is a network of leading companies in the worlds of diversified media, news, education, and information services. Overview Profile Financials Income Statement Balance Sheet Cash Flow Research & Ratings Historical Prices Options Advanced Charting A company's net income for the trailing twelve month period expressed as a dollar amount per fully diluted shares outstanding. 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All rights res Algeria, Egypt, Ethiopia, Ghana, Kenya, Morocco, Nigeria & South Africa # DowDuPont Named to Dow Jones Sustainability World Index “We are honored to be recognized by the Dow Jones Sustainability World Index for our industry-leading sustainability performance,” said Andrew Liveris, executive chairman of DowDuPont. “Sustainability is an inherent part of our long-term value proposition as it informs the decisions we make to drive success and create value for society. By embedding sustainability into our business strategy and innovation engine, we not only create a better company, but a better world.” “DowDuPont is committed to redefining the role business plays in delivering sustainable solutions for society’s most pressing challenges,” said Ed Breen, chief executive officer of DowDuPont. “Sustainability is a key focus for each of our businesses. Collaborative partnerships and leadership in sustainable business practices benefit our communities, customers and shareholders alike.” DowDuPont was also named to the DJSI North America Index. The Dow Chemical Company, a subsidiary of DowDuPont, has appeared on the DJSI for 16 years. Since launching in 1999, the DJSI has provided benchmarking of the world’s largest companies in terms of their economic, environmental, and social performance. More than 3,400 companies are asked to participate in the Corporate Sustainability Assessment. This communication contains “forward-looking statements” within the meaning of the federal securities laws, including Section 27A of the Securities Act of 1933, as amended, and Section 21E of the Securities Exchange Act of 1934, as amended. In this context, forward-looking statements often address expected future business and financial performance and financial condition, and often contain words such as “expect,” “anticipate,” “intend,” “plan,” “believe,” “seek,” “see,” “will,” “would,” “target,” similar expressions, and variations or negatives of these words. Forward-looking statements by their nature address matters that are, to different degrees, uncertain, including the intended separation of DowDuPont’s agriculture, materials science and specialty products businesses in one or more tax efficient transactions on anticipated terms (the “Intended Business Separations”). Forward-looking statements are not guarantees of future performance and are based on certain assumptions and expectations of future events which may not be realized. Forward-looking statements also involve risks and uncertainties, many of which are beyond the company’s control. Some of the important factors that could cause DowDuPont’s, Dow’s or DuPont’s actual results to differ materially from those projected in any such forward- looking statements include, but are not limited to: (i) successful integration of the respective agriculture, materials science and specialty products businesses of Dow and DuPont, including anticipated tax treatment, unforeseen liabilities, future capital expenditures, revenues, expenses, earnings, productivity actions, economic performance, indebtedness, financial condition, losses, future prospects, business and management strategies for the management, expansion and growth of the combined operations; (ii) impact of the divestitures required as a condition to consummation of the Merger Transaction as well as other conditional commitments; (iii) achievement of the anticipated synergies by DowDuPont’s agriculture, materials science and specialty products businesses; (iv) risks associated with the Intended Business Separations, including those that may result from the comprehensive portfolio review undertaken by the DowDuPont board, changes and timing, including a number of conditions which could delay, prevent or otherwise adversely affect the proposed transactions, including possible issues or delays in obtaining required regulatory approvals or clearances related to the Intended Bu Enter your email address below to get the latest news and analysts' ratings for Duke Energy with our FREE daily email newsletter: Duke Energy Corporation (Duke Energy) is an energy company. The Company operates through three segments: Electric Utilities and Infrastructure; Gas Utilities and Infrastructure, and Commercial Renewables. The Company operates in the United States through its direct and indirect subsidiaries. The Electric Utilities and Infrastructure segment provides retail electric service through the generation, transmission, distribution and sale of electricity to approximately 7.5 million customers within the Southeast and Midwest regions of the United States. The information on this Web site is general in nature and is not intended as a substitute for competent legal advice. ConsumerAffairs.com makes no representation as to the accuracy of the information herein provided and assumes no liability for any damages or loss arising from the use thereof. Please check the URL for proper spelling or try one of the options below: Enter up to 25 symbols separated by commas or spaces in the text box below. These symbols will be available during your session for use on applicable pages. Flash Quote Summary Quote Interactive Charts Default Setting No discussion on value is complete without taking into account risk. Analysts use a stock’s beta, which measures the volatility of a stock compared to the overall market, to measure systematic risk. A stock with a beta above 1 is more volatile than the market. Conversely, a beta below 1 implies a below average level of risk. DUK has a beta of 0.26 and NEE’s beta is 0.32. DUK’s shares are therefore the less volatile of the two stocks. Analysts often look at short interest, or the percentage of a company’s float currently being shorted by investors, to aid in their outlook for a particular stock. DUK has a short ratio of 3.97 compared to a short interest of 4.33 for NEE. This implies that the market is currently less bearish on the outlook for DUK. Enter your email address below to get the latest news and analysts' ratings for Duke Energy with our FREE daily email newsletter: Duke Energy Corporation (Duke Energy) is an energy company. The Company operates through three segments: Electric Utilities and Infrastructure; Gas Utilities and Infrastructure, and Commercial Renewables. The Company operates in the United States through its direct and indirect subsidiaries. The Electric Utilities and Infrastructure segment provides retail electric service through the generation, transmission, distribution and sale of electricity to approximately 7.5 million customers within the Southeast and Midwest regions of the United States. Wordpress Hashcash needs javascript to work, but your browser has javascript disabled. Your comment will be placed in moderation! News Corp is a network of leading companies in the worlds of diversified media, news, education, and information services. Fill in your details below or click an icon to log in: October 16, 2017 November 20, 2017 December 18, 2017 January 22, 2018 February 26, 2018… Come join us on MAY 1, 2, and 3, at the Millennium Hotel downtown Cincinnati. Hosted th… 2017 Joint Venture date is scheduled for February 2nd and 9th. Due to 2017 being a code change year… The page you requested cannot be found, try a Search? Signup for the WWAYTV3 newsletter! Submit your signup form 550 South Tryon Street Charlotte, NC 28202 Our apologies, the content you requested cannot be located. The best of Reuters news delivered right into your email box absolutely free. Analysts-Buzz is an online news portal that covers independent, focused, in- depth research and financial news. We are engaged in comprehensive coverage of the most important news including business, analysts rating updates, earnings reports, dividend, Acquisition & Merger and global news. We don’t have to provide merely news on events but also experts opinion on news so that’s why we a Complete the form below to receive the latest headlines and analysts' recommendationsfor Dow Chemical with our free daily email newsletter: Enter your search terms Web AltEnergyStocks Submit search form The company is the product of the recent merger of Dow Chemical and DuPont. Interestingly, the two companies merged with plans to break up. Indeed, the new DowDuPont intends to break up into three independent companies that will focus on its various core areas--agriculture, materials science, and specialty products. The new Dow will house products aimed at packaging, infrastructure, and consumer care and have roughly $40 billion in annual revenue. The specialty- products business will focus on electronics and imaging, transportation, construction, and nutrition, with some $20 billion in revenue. The agriculture business will have about $14 billion in revenue. Quite honestly, I don't recall a situation where two companies merged with the plans to quickly break up into new companies, and that scenario does make it a bit difficult to handicap this stock. On the plus side, uncertainty often creates opportunity, and this situation does seem to have a fair amount of uncertainty. Another wild card is the notion that the breakup into three new companies may have an impact on which companies leave and which remain, if any, in the Dow Jones Industrial Average following the breakup. Typically, companies booted from the Dow see their shares sell off in the short term due to index investors dumping the stock, although history shows companies that leave the Dow tend to do reasonably well over time. While part of me wants to see how the breakup goes, another part of me senses that now is a decent time to consider these shares. There are probably investors staying away from the stock because of the lack of visibility in terms of timing of the breakup and how the three companies will ultimately look at the time of the breakup. This website requires Javascript to be displayed. Please enable Javascript in your browser and reload the page afterwards. MarketBeat empowers retail investors to make better trading decisions by providing real-time financial data and objective market analysis. Whether you’re looking for analyst ratings, corporate buybacks, dividends, earnings, economic reports, insider trades, IPOs, SEC filings or stock splits, MarketBeat has the objective information you need to analyze any stock. Get analysts' upgrades, downgrades and new coverage delivered to your email inbox with our free daily newsletter: Enter your email address below to get the latest news and analysts' ratings for DowDuPont Inc with our FREE daily email newsletter: DowDuPont Inc is a holding company formed through the merger of equals between The Dow Chemical Company and E. I. du Pont de Nemours and Company (DuPont). The Company's business divisions include Agriculture division, Material Science division, and a Specialty Products division. The Agriculture Division offers a complete portfolio of products and technologies, and a pipeline of germplasm, traits and crop protection. Complete the form below to receive the latest headlines and analysts' recommendationsfor Solutia with our free daily email newsletter: This is a summary of current recommendations for Solutia and Dow Chemical, as provided by MarketBeat.com. Dow Chemical beats Solutia on 8 of the 8 factors compared between the two stocks. # DuPont 3D Printing Filaments are Now Available for Purchase in China DuPont 3D printing products allow users to achieve true benefits of 3D printing (greater design freedom, light weighting, reduced product development cycle times) allowing for rapid functional prototyping, parts production, tooling and customization in all sectors of the industry, such as automotive, electronics, footwear, consumer goods and others. With Hytrel® available in two different hardness levels (Hytrel® 3D4000FL with a Shore D of 40 and Hytrel® 3D4100 with a Shore D of 60) for 3D printing TUSCHUNG DURCH VERTRIEBSBANK UND EMISSIONSBANK, DER INVESTOR HAT NULL-CHANCE Sign up now and start saving and organizing your favorite architecture projects and photos Typ | Alle Call Put ---|--- Basiswert | 3D Systems 3M Company 58.com ADR A2A Aareal Bank AB InBev ABB Ltd Abbott Abbvie Abercrombie & Fitch ABN Amro Group Acciona Accor ACS Actividades de Construccion y Servicios SA Actelion Activision Blizzard Adecco Adidas Adobe ADVA Optical Network Aegon AENA AeroVironment Aetna AFG Arbonia-Forster-Holding Agrana Agrium Ahold Ahold Ahold AIG Air Berlin Air France-KLM Air Liquide Airbus Group (EADS) Aixtron Akamai Technologies Akzo Nobel Alcatel-Lucent Alcoa Alcoa Alcoa Upstream Alexion Pharmaceuticals Alibaba Group Holding All Nippon Airways Allergan Alliance Data Systems Corporation Allianz Alphabet Alphabet Class A Alpiq Holding Alstom Alstria Office (REIT) Altaba Altera Altice Class A Ord Shs When Is Altria Aluminium Amadeus IT Holding S.A. Amazon AMD American Airlines Group American Express AMERICAN OUTD.BRA. AMEX CONSUMER STAPLES SEL SE Amgen Amicus Therapeutics Amphenol AMS Anadarko Petroleum Andritz Anglo American Anglogold Ashanti Anheuser-Busch InBev Antofagasta AP Moeller-Maersk B Apache Aperam Apple Applied Materials ArcelorMittal ArcelorMittal SA Archer-Daniels-Midland ARCONIC Arkema ARM HOLDINGS Arris Group Aryzta Ascom Holding Na Asian Bamboo ASML Astellas Pharma Astrazeneca AT & S AT&T Atlantia S.p.A. Azioni Nom. ATX AUD/USD (Australischer Dollar / US-Dollar) Aumann Aurubis Autodesk Autogrill S.P.A. AUTONEUM HOLDING AG AutoZone AXA Axel Springer Azimut Holding Baidu Balda Bâloise-Holding BANCA GENERALI B BANCA MEDIOLANUM NOM. Banco Bilbao Vizcaya Argentari Banco BPM Banco Bradesco ADR Banco Popolare Società Coopera Banco Santander Bank of America Bank of China Bank of New York Bankinter SA BAOZUN SP.ADR A 3 Barclays Bank Barrick Gold Barry Callebaut BASF Basilea Pharmaceutica Bauer Baumwolle BAWAG Group AG Bayer Baywa VN BB Biotech BCA Pop Emilia Bechtle Beiersdorf BEIGENE SP.ADR Belgacom Berkshire Hathaway A Berkshire Hathaway B Bertrandt Best Buy BG Group BHP Billiton ADR BHP Billiton plc Bilfinger Biogen Idec BioMarin Pharmaceutical BKW AG Namenaktie Blackberry Blackrock Blackstone Group Blei BMW St BNP Paribas Boeing Borussia Dortmund Bouygues Box BP BREMBO S.P.A. NOM. Brenntag Brent Rohöl Bridgestone Bristol-Myers British American Tobacco Broadcom BRUNELLO CUCINELLI SPA BRUNSWICK CORP BSkyB BT Group Bucher Industries Burberry Group Burckhardt Compression Holding Bureau Veritas BUWOG Buzzi Unicem BWT BYD Company C.A.T. Oil CA Immobilien Anlagen CAC 40 Index Cameco Canadian National Railway Canadian Pacific Railway Cancom Canon Cap Gemini Carl Zeiss Meditec Carlsberg AS Navne-Aktier B Carrefour Casino Guichard Caterpillar CECE EUR Ceconomy St Celesio Celgene Cembra Money Bank AG Cemex Centrica Centrotec Centrotherm Photovoltaics Cerner CEZ CGGVERITAS Charles Vögele Holding Check Point Chesapeake Energy Chevron China CITIC Bank Corp China Construction Bank China Life Insurance China Lodging Group China Mobile China Mobile ADR China Petroleum & Chemical China Telecom Chipotle Mexican Grill Christian Dior Cie Financiere Richemont Ciena New Cisco Systems Citigroup Citigroup Clariant Cnooc Coca-Cola Cognizant Colgate-Palmolive Coloplast B Comcast Comdirect Bank Commerzbank CompuGroup Medical ConocoPhillips Continental Conwert Immobilien COTYCL.A Covestro Credit Agricole Credit Suisse Group ctrip.com ADR CTS Eventim Cummins CVS Health Cypress Semiconductor Daikin Industries Daimler Daiwa Securities Group Danaher Danone Danske Bank Davide Campari DAVIDE CAMPARI-MIL. DaVita Dax DAX Risk Control 10% RV (ER) DAXglobal BRIC EUR (Kursindex) DE LONGHI S.P.A. Delivery Hero Dell Delta Air Lines Demag Cranes Denso Deutsche Bank Deutsche Börse Deutsche Börse Deutsche Börse z.U. Deutsche EuroShop Deutsche Pfandbriefbank Deutsche Post Deutsche Telekom Deutsche Wohnen Deutz Diageo Dialog Semiconductor Digital River Disco Complex derivatives trading proved the biggest weight on the bottom line. In June 2016, SoftBank made an intricate financial arrangement involving the partial sale of its 30% stake in Alibaba. It issued corporate bonds that could be converted in June 2019 to American depositary receipts in Alibaba, fixing the number and price of shares to be exchanged. Through this financial engineering, SoftBank set profit on the future sale of Alibaba shares. After that, Alibaba's stock price rose above the contractually agreed-upon level. SoftBank could have reaped greater paper gains if it had held onto the shares. Instead, it booked the difference between these potential gains and the profits on the sale it could claim in 2019 as derivative losses. The sum reached 504 billion yen for the six months through September. A third source of concern is the effect on group earnings of SoftBank's $93 billion Vision Fund, set up in May with such backers as the Saudi Arabian government. It began contributing to its earnings in earnest in April- September, lifting operating profit by 186 billion yen thanks to contributions including valuation gains on U.S. chipmaker Nvidia. SoftBank achieved growth in the 1990s as an investment company. It appeared to have morphed into a communications player with its 2006 purchase of the Japanese mobile unit of carrier Vodafone, but lately it has been leaning back toward its old ways. But as the tech giant reverts to a previous version of itself, its profits are increasingly vulnerable to volatile stock prices and interest rates. Japan releases video of crackdown on North Korean fishing boats The live stream sales through smartphone boom Subscribe today to continue enjoying NAR. • Unlimited access to asia.nikkei.com • Unlimited access to NAR mobile and tablet apps • Add delivery of NAR in print each week Redeemable only through the Subscribe button below Your subscription renewal could not be processed. Please update your payment information to continue enjoying the Nikkei Asian Review. Subscribe today to continue enjoying NAR. • Unlimited access to asia.nikkei.com • Unlimited access to NAR mobile and tablet apps • Add delivery of NAR in print each week Do you want to keep abreast of the issues in Asia? Sign up now for an individual subscription and continue enjoying the Nikkei Asian Review. * Your subscription period starts immediately after the expiration of your current subscription, and will be charged to your credit card accordingly. Your full access to the Nikkei Asian Review will be expired soon. * Your subscription period starts immediately after the expiration of your current subscription, and will be charged to your credit card accordingly. Subscribe today to enjoy the Nikkei Asian Review euronews provides breaking news articles from reuters as a service to its readers, but does not edit the articles it publishes. Articles appear on euronews.com for a limited time. 21/12/2017 English English Français Deutsch Italiano Español Português Русский Türkçe Ελληνικά Magyar فارسی العربية Huawei, Samsung, Ericsson in race to supply tech for new telecom services The three top carriers are all expected to kick start 5G services in the year ending March 2020, with their total investment to reach 500 billion yen annually for at least 10 years, creating a market worth 5 trillion yen. The technology in 5G involves connections that are 20 times faster and higher data capacity than current 4G that would support connections between a larger range of systems as part of the internet of things. In September, the company demonstrated technology that fits in with SoftBank Group Chairman and CEO Masayoshi Son's belief that, in the era of mobile 5G, there are big opportunities in technology that connects large systems though the internet of things. In a joint demonstration with SoftBank in Tokyo, the Chinese company had a robotic arm fixed on an air-hockey table play against a human opp on a national level. This entailed the development the branch store an between branch store and head office flow. the strong level of order intakes recorded in the previous terminals for use in their branches, and the new product family of the versatile industry pDa skeye.dart was received with great interest by the auto-iD market, as is evident in a number of orders. the skeye partner support center officially opened in autumn met with a positive response from partners and supports the expansion of indirect sales already under way. thanks to new orders, the skeye division expects sales revenues to increase in the course of the year. This presents a special challenge in supplying the Buchbauer headquarters with master data Bavaria, which is scheduled to be maintained as such with Ebus. In addition to this a company-wide corporate network is to be set up, as is a connection In the summer of 2008 the Bundeskartellamt examined and cleared subject to conditions a joint venture mutually important tenants might be terminated prematurely and successor tenants might only be found on worse conditions, after a delay or not at all, or important tenants might get into payment difficulties, so that HAMBORNER might thereby experience considerable loss of rent. Among the other tenants taking large amounts of space are Sprinkenhof AG, which rented new premises in Bergedorf for the District Council, and the large Its fruit spritzers proved a success in a small test market last year, and since April 2007 Bavaria Waldfrucht has been offering its new products The most important tenant of HAMBORNER by far at the moment is the Kaufland Group, with which HAMBORNER generated around 18% of its net rental income as at August 31, 2010, The Monopolies Commission concurs with the Federal Cartel Office in its did contravene competition law under the law in force during 2003, a ban would not have been enforceable in 2004 due to changes in the legal situation. the area of transparent solar cells as well as another in the traditional following commitments in order to avoid a prohibition of the merger: Around 400 retail outlets were to be sold before completion of the merger in order to prevent an increase in the market shares of the parties to the merger in those regional markets in which the merger raised competition concerns. Whether we will be able to exceed the very good figures of the same period last year, Beyond the discount segment and amidst the significant consolidation in the full-service grocery store and drugstore markets, the The parking lot fills rapidly, women, men, old and young, mothers with children, bicyclists, elderly married couples, to secure a stable market share, especially in the face of an almost reached limit on the branch network and an almost exhausted potential for growth in this market, which is not going to allow for any big changes of the market share of market leaders. VION Convenience has sold its distribution centre preservatives, than when apples have to travel half way around the world. was launched to map the workflow for incoming invoices. capacity to a offer a wider selection of goods, renting additional space at Concerning the disposal of spent nuclear fuel rods, the obligations recognized in the provisions comprise the contractual costs of finalizing reprocessing and the associated transports and The actual technological realization of the project commences on completion of the planning stage Depending on the requirements of the respective customer, Mhlbauer will provide the entire equipment, including the necessary raw materials for production and personalization of the electronic ID documents The overall volume of the project comprises production personalization systems On the one hand, these systems optically apply personal data on the document; on the other hand, they code the chip by storing biometric data Furthermore, Mhlbauer provides the technology for the complete data capturing and generates software-based MACD Momentum Relative Strength Index Rate of Change Volume Price Trend Money Flow Index On Balance Volume Vertical Horizontal Filter Positive Volume Index Negative Volume Index Slow Stochastic Fast Stochastic Europe is not just all about good education systems, next-generation innovations, and beautiful tourist destinations. The region is also about a compelling economy that has already been through the worst yet continues to remain resilient. It economy helps companies like Electricite de France SA to survive at the market. One of the main reasons behind its success is its competitive and growing equity market. The corporate sector is any economy’s hope, which is why Europe highly values good corporate governance. This is basically what lures investors in the European equity market. It also lures them to the companies like Electricite de France SA, with potential and good liquidity. Euronext is the leading stock exchange in Europe. It is situated in five different cities— Amsterdam, Brussels, Lisbon, London, and Paris, each of which have different indices. The leading indices include AEX, AMX, AScX, BEL 20, CAC 40, Euronext 100, Next 150, PSI 20, among others. France’s Euronext Paris, formerly known as Paris Bourse is the leading stock exchange. The top 40 stocks listed on it are weighed on the CAC 40. The companies are monitored based on market capitalization using a base value of 1,000. It is important not only to become one of CAC parts, like Electricite de France SA but to stay there. The components of the CAC 40 are reviewed by the Index Steering Committee quarterly, particularly every third Friday of each month of March, June, September, and December. If necessary, they are capped at 15% every review. Any changes made reflect not earlier than two weeks after the particular review date that they had been decided upon. The name of CAC 40 was derived from the former automation system of Euronext Paris, CotationAssistéeenContinu. The base value of 1,000 was set on December 31, 1987. Before, the components of the CAC 40 are measured based on total market capitalization. However, since December 1, 2003, the CAC 40 had shift to a free-float index. Using this model, stocks are quarterly tracked based on free-float market capitalization and share turnover over the past 12-month period. A total of 40 companies are selected from the top 100 companies on Euronext Paris to compose the CAC 40. The CAC 40 is an important indicator of investor sentiment not just in France but in all Europe. Along with other Euronext indices, it is closely watched by analysts and investors alike to predict the European economy. Europe is already a successful region and yet it is still full of growth potentials. One of them is Electricite de France SA. Many investors are investing in CAC 40 stocks and it is clear why—the CAC 40 makes up a crucial part of the European economy. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Developing and strengthening your networks The EDF Group operates in the Middle East through a number of companies, spread across the country. Reuters content is the intellectual property of Thomson Reuters or its third party content providers. Any copying, republication or redistribution of Reuters content, including by framing or similar means, is expressly prohibited without the prior written consent of Thomson Reuters. Thomson Reuters shall not be liable for any errors or delays in content, or for any actions taken in reliance thereon. "Reuters" and the Reuters Logo are trademarks of Thomson Reuters and its affiliated companies. Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. Connecting decision makers to a dynamic network of information, peopl The page you requested could not be found. Try refining your search, or use the navigation above to locate the post. Emirates is one of the world’s fastest growing airlines. Based in Dubai, Emirates connects people all over the world to a network of over 150 destinations. dnata is one of the world’s largest air services providers, offering ground handling, cargo, catering and travel services to more than 400 airlines in 84 countries on 6 continents. The world’s fastest growing airline, Emirates connects people to over 150 destinations. dnata is one of the world’s largest air services providers. Employee-led initiative focussed on changing lives around the world, through volunteering and fundraising. Ground handling and cargo services provider at 7 airports in Pakistan. Ground handling and cargo services provider in Canada. A multi-faceted organisation that develops security measures and strategies across the Emirates network. The new world class facility providing ab initio flight training. A global leader in modelling, simulation and training for civil aviation and defence. Leading cruise and stay holiday distributor with expertise in tour operating and retailing of cruises. One of the region’s leading educational institutes for aviation studies and a variety of other programmes. Partnership between dnata and City Sightseeing, tourist transportation operator, to showcase Dubai’s sights. Flight caterer to more than 120 airlines departing Dubai International Airport and Dubai World Central. Destination management specialists in the UAE and Oman, creating unique itineraries. Helps corporations manage their travel and provides support and emergency assistance to their travellers. Partnership with UK's largest hotel brands which recognises the demand for affordable rooms in Dubai. Provides Cash, Security and Manpower Services plus Integrated Facility Services around the globe. Specialises in the marketing, sales and distribution of beverages. Develops electronic distribution products and services for the travel industry. Ground handling operations in Milan, Italy Malpensa and Linate. Air Dispatch is the world’s leading independent provider of load control services. A travel franchise that inspires people to run their own successful business. Provider of global travel management services for offshore, marine and corporate clients. Serving travel agents in UK, providing flights, hotels, holidays and more. Serving travel agents in UAE, providing flights, hotels, holidays and more. Aircraft cabin cleaning across Australia and New Zealand. Offers thousands of air fares covering hundreds of routes, plus hotels and car hire options. A leading provider of travel and transportation solutions. Global leisure bedbank, specialising in the Middle East, Indian Ocean, Southeast Asia and the Mediterranean. Online cargo booking system that simplifies the movement of goods around the world via air cargo. Leading destination management company with a presence across 11 countries in Asia. Creating and delivering extraordinary experiences with full event management strategies in incentives. Find every business listed for Holding Companies in UAE. You may have typed the web address incorrectly, or the page that you were searching for may have been moved. All countriesChoosing the language will take you to desired site Additionally, a 404 Not Found error was encountered while trying to use an ErrorDocument to handle the request. Click a content type to see the kinds of filters available within it. Most filters have many criteria you can choose from, which change depending on your search term. You can search Yahoo sites like Sports, Finance, Shopping, Autos, and more, for Yahoo originals and content and results we've curated from around the Web. Choose between listings and articles on Yahoo Autos. Search the latest celebrity news available on Yahoo Celebrity. We apologize, but an error appears to have landed you on a deserted page. The most Find the best broker for your trading or investing needs A security's closing price on the preceding day of trading. Previous close can refer to the prior day's value of a stock, bond, commodity, futures or option contract, market index, or any other security. The start of trading on a securities exchange. The open on a trading exchange signals the start of an official day for the exchange, and that buy and sell transactions can commence for the business day. The difference between the low and high prices for a security or index over one day. The lowest and highest price at which a stock has traded in the previous 52 weeks. The ratio for valuing a company that measures its current share price relative to its per-share earnings. A measure of the volatility, or systematic risk, of a security or a portfolio in comparison to the market as a whole. The number of shares or contracts traded in a security or an entire market during a given period of time. A dividend is a distribution of a portion of a company's earnings, decided by the board of directors, to a class of its shareholders. Dividends can be issued as cash payments, as shares of stock, or other property. A dividend yield indicates how much a company pays out in dividends each year relative to its share price. The amount of money brought into a company by its business activities. It is the top line or gross income figure from which costs are subtracted to determine net income. The ratio for valuing a company that measures its current share price relative to its per-share earnings. An equity valuation metric used to compare a company's per share market price to its per share amount of free cash flow. A valuation ratio that compares a company’s stock price to its revenues. A profitability ratio calculated as net income divided by revenue, or net profits divided by sales. A company's total sales revenue minus its cost of goods sold, divided by the total sales revenue, expressed as a percentage. Operating margin is a measurement of what proportion of a company's revenue is left over after paying for variable costs of production. It is calculated by dividing operating income by net sales. An indicator of how profitable a company is relative to its total assets. It is calculated by dividing annual earnings by total assets. The amount of net income returned as a percentage of shareholders equity. The amount of net income returned as a percentage of shareholders equity. The amount of money brought into a company by its business activities. It is the top line or gross income figure from which costs are subtracted to determine net income. The ratio for valuing a company that measures its current share price relative to its per-share earnings. An equity valuation metric used to compare a company's per share market price to its per share amount of free cash flow. A valuation ratio that compares a company’s stock price to its revenues. A profitability ratio calculated as net income divided by revenue, or net profits divided by sales. A company's total sales revenue minus its cost of goods sold, divided by the total sales revenue, expressed as a percentage. Operating margin is a measurement of what proportion of a company's revenue is left over after paying for variable costs of production. It is calculated by dividing operating income by net sales. An indicator of how profitable a company is relative to its total assets. It is calculated by dividing annual earnings by total assets. The amount of net income returned as a percentage of shareholders equity. The amount of net income returned as a percentage of shareholders equity. Strike Price Near The Money In The Money Out Of Money All Type Historical Prices Dividends Only Splits Only Enbridge Inc is a Canada-based energy transportation and distribution company. The Company is engaged in delivering energy. It operates through five segments: Liquids Pipelines, Gas Distribution, Gas Pipelines and Processing, Green Power and Transmission by David Bianco, Chief Investment Strategist Economic and financial market projections Fund overview, prices, ratios and fund facts Fund Overview, prices, ratios and fund facts Fund Overview, prices, ratios and fund facts Fact sheets, presentations, sales ideas and more Potential protection from shifting markets Fact sheets, presentations, sales ideas and more Information and analysis for mutual funds Investments in mutual funds involve risk. Stocks may decline in value. Bond investments are subject to interest-rate, credit, liquidity and market risks to varying degrees. Credit risk refers to the ability of an issuer to make timely payments of principal and interest. Investing in derivatives entails special risks relating to liquidity, leverage and credit that may reduce returns and/or increase volatility. Investing in foreign securities, particularly those of emerging markets, presents certain risks, such as currency fluctuations, political and economic changes, and market risks. There are additional risks associated with investing in commodities, high-yield bonds, aggressive growth stocks, non-diversified/concentrated funds and small- and mid-cap stocks which are more fully explained in the prospectuses. Please read the prospectus for more information. Nothing contained herein is fiduciary or impartial investment advice that is individualized or directed to any plan, plan participant, or IRA owner regarding the advisability of any investment transaction, including any IRA distribution or rollover. Deutsche Asset Management represents the asset management activities conducted by Deutsche Bank AG or any of its subsidiaries. Will shares of Enel Americas S.A. (:ENIA) hold onto their early gains? The stock is gapping up 8.18% before market open touching $10.94 on a recent bid. Many investors may have noticed that when the stock market has been running bullishly hot for quite some time, market tops can be a very busy place. Trading interest may be noticeably higher when the good times are rolling. This can be tricky because often times, prices may become inflated and somewhat overvalued. Traders will need to pay much more attention to what is going on at the tops of these bull runs. When interest is heightened, traders who got in at much better prices may be looking to unload the winners for quick profits. Doing the proper research can help clear out some of the fog that comes with an oversaturated market. Chartists will most likely be paying attention to price moves and trying to spot the next series of trends that develop. Spotting a trend earlier than the crowd may help the trader sell before the big drop or buy before the big rise. Learning how opportunities unfold and present themselves in the stock market may take a lot of time and effort to master. Professional traders are typically a few moves ahead of the novice and relatively naive trader. Getting to that next level should be on the mind of any dedicated trader or investor. Learning from past mistakes can make a huge difference in the future of the trader's profits and psyche. ** News Corp is a network of leading companies in the worlds of diversified media, news, education, and information services. Overview Profile Financials Income Statement Balance Sheet Cash Flow Research & Ratings Historical Prices Options Advanced Charting A company's net income for the trailing twelve month period expressed as a dollar amount per fully diluted shares outstanding. Market Capitalization Reflects the total market value of a company. Market Cap is calculated by multiplying the number of shares outstanding by the stock's price. For companies with multiple common share classes, market capitalization includes both classes. Shares Outstanding Number of shares that are currently held by investors, including restricted shares owned by the company's officers and insiders as well as those held by the public. Public Float The number of shares in the hands of public investors and available The collective rating of 2.1 for FedEx Corporation (NYSE:FDX) also leans strongly towards the neutral end of the spectrum. Of the 29 analysts surveyed by Reuters that track FDX 7 of them rate its stock a hold. The other 22, though not evenly; between analysts who think you should buy FedEx Corporation versus those who think you should sell it. A 21 analysts rate it as either a buy or a strong buy, while1 believe that investors should either steer clear of FDX or, if they already own its stock, sell it. AllStockNews provide quality information for free in a convenient place and format. You do not need to look for us – the news portal “AllStockNews” meets the reader every morning on the way to work in the metro, at traffic intersections, in cafes and business centers. ETE been riding up and down and making diverse level of tendency on its effort toward active momentum. Company has conspicuous measure of stock oscillations; average true range may be heating up this temperature with value of 0.56. ATR is an exponential moving average (consist of 14 trading days) of the True Ranges that is explaining range of a day's trading is high-low. Most of traders have the same opinion that volatility shows clear cycles and relying on this belief, ATR can be used to set up entry signals. The ATR breakout systems are frequently used by short-term traders to time entries. Taking short look on returns of the firm, net profit margin recorded as 22.80% while operating profit margin was 4.80%, whereas price to sale ratio stands at 0.46 and it indicates how much investor paid for a share compared to the sales a company generated per share. A higher ratio means that the market is willing to pay for each dollar of annual sales. A higher P/S ratio means that the market is willing to pay for each dollar of annual sales and a better benchmark is to compare with industry average. StockMarketStop focused on covering the most important business and finance news in US and world market. Complete the form below to receive the latest headlines and analysts' recommendationsfor Energy Transfer Equity LP with our free daily email newsletter: Taking Your Financial Future To New Heights To evaluate a picky trading instrument, an investment sector or the market as a whole is termed as Stock Analysis. Stock analysts try to figure out the future activity of an instrument, sector or market. Stock analysis is mainly of two types: one is fundamental and the other is technical. One can easily perform a fundamental analysis by having an eye on data from sources counting financial records, economic reports, company assets and market share. Technical analysis focuses on the study of past market action to predict future price movement. The relative strength index (RSI), developed by J. Welles Wilder, is a technical indicator used in the analysis of financial markets. It is intended to chart the current and historical strength or weakness of a stock or market based on the closing prices of a recent trading period. The indicator should not be confused with relative strength. The RSI is classified as a momentum oscillator, measuring the velocity and magnitude of directional price movements. Momentum is the rate of the rise or fall in price. The RSI computes momentum as the ratio of higher closes to lower closes: stocks which have had more or stronger positive changes have a higher RSI than stocks which have had more or stronger negative changes. The stock received analysts’ mean target price of $20.44. This is the projected price level of a financial security stated by an investment analyst or advisor. Shareholders can make better decisions if they focus on target prices, which convey more information for evaluating the potential risk/reward profile of a stock. However, analysts’ mean recommendation for this stock stands at 2.00. Analyst recommendations as stated on FINVIZ are rated on a 1 to 5 scale. 1 is equivalent to a buy rating, 3 a hold rating, and 5 a sell rating You need to enable JavaScript in order to see the Charts. Reuters content is the intellectual property of Thomson Reuters or its third party content providers. Any copying, republication or redistribution of Reuters content, including by framing or similar means, is expressly prohibited without the prior written consent of Thomson Reuters. Thomson Reuters shall not be liable for any errors or delays in content, or for any actions taken in reliance thereon. "Reuters" and the Reuters Logo are trademarks of Thomson Reuters and its affiliated companies. This question is for testing whether or not you are a human visitor and to prevent automated spam submissions. This question is for testing whether or not you are a human visitor and to prevent automated spam submissions. Our divisions divisions Infra and Offshore Wind are participating. Thanks to our vast experience, we can offer you an integrated solution perfectly tailored to your objectives. Our commitment? To provide you with an effective response that reflects both our understanding of your area of business. Use Solution Finder to look for a solution adapted to your needs. Our divisions divisions Infra and Offshore Wind are participating. Complete the form below to receive the latest headlines and analysts' recommendationsfor Engie with our free daily email newsletter: ENGIE SA engages in power, natural gas, and energy services businesses. The company operates through North America, Latin America, Africa/Asia, Benelux, France, Europe excluding France & Benelux, Infrastructures Europe, GEM & LNG, E&P, and Other segments. It engages in the generation and sale of power through nuclear, thermal, and renewable energy sources; and seawater desalination activities, as well as offers engineering services in the areas of energy, hydraulics, and infrastructure. The ±600 kVCC Madeira Transmission Line, known as Linhão do Madeira, is the world’s longest High Voltage Direct Current (HVDC) transmission line, with 2,385 kilometers. It crosses Brazil from north to southest, connecting Porto Velho Collector Substation in the state of Rondônia to Araraquara-2 Substation in the state of São Paulo. This magnificent transmission line was placed into commercial operation on November 26th, 2013. Europe select your country and language Africa select your country and language Latin America select your country and language Middle East select your country and language Engineering solutions for a sustainable future Need advice for your project? Have questions about our services? Contact us today, to find out what solutions we can offer for your needs. Stay in touch with our latest news and events Last month, the Embassy of Belgium and Tractebel organised a special workshop on Energy Transition in a Changing World at Fairmont Nile City, Cairo. A joint venture with the participation of Lahmeyer International, a company of Tractebel, supports the development of a new irrigation project on the Nzoia River. We have moved to our new headquarters, located in the heart of the northern Brussels business district. Want to know more about the Tractebel universe? We use cookies on our website, but only to provide you with a better service. All dates last day last week last month last 3 months last year Lucas is based in Brazil. He joined Renewables Now to expand coverage of the Ibero-American market, a highly attractive destination for green energy investment. Renewables Now is an independent one-stop shop for business news and market intelligence for the global renewable energy industry. Gain unlimited access to news, analysis, company profiles and more Nobody helps commercial, industrial, or institutional buyers of electricity better understand the risks that come with buying electricity in a deregulated market quite like ENGIE Resources. And nobody understands our customers better than we do. ENGIE Resources is a licensed retail electricity provider offering electricity plans and related services to indust Last week's oil production cut announced by OPEC has really put in a solid floor for oil stocks. Some of the second tier and offshore drillers and exploration companies even saw their shares rally by 15% to 30% in just a day. The major producers and largest companies have not participated as much due to the laws of size. What is amazing is that some of these stocks have kept rallying even in the face of what might be an overbought chart pattern. These are some of Monday's top oil and gas analyst upgrades where the rating, the price target or both were raised: Other key oil and gas related analyst calls with higher price targets and/or formal analyst upgrades were seen as follows: Merrill Lynch also came out favorably on many other key oil and gas stocks. Their view is that the immediate reaction to OPEC's first intended cut in eight years is that Brent and NYMEX crude are trading back near $50 and this is a directional recovery for oil. That recovery is to be underpinned by an accelerated rebalancing of oil markets and the prospect of renewed earnings momentum. Merrill Lynch reiterated its Buy ratings as follows: # Oil Companies Switch Their Approach To The Climate Change Debate Over the past few years, global efforts to address climate change issues and reduce carbon emissions have ramped up, leaving big oil companies to defend their highly criticized practices. Now, those companies are taking a new position on the issue in an effort to ensure that their operations can survive through what appears to be a shifting tide in the industry. In his view, carbon risks will eventually translate into legal risks, something that will decrease shareholder value. For that reason, many pension funds are expected to begin divesting holdings with companies that deal in fossil fuels like coal, which are associated with a high degree of pollution. While energy companies have been defensive on the issue in the past, many CEOs are beginning to change their firms' views in order to better position their businesses for the shifting public perception. Many expect that the new body will suggest increased reliance on natural gas as it is seen as one of the least environmentally damaging fossil fuels. Last Thursday, Shell CEO Ben van Beurden said his firm was working to come up with a viable strategy to reduce emissions and address climate change, suggesting that the industry is repositioning itself to contribute to preventing climate change rather than denying it. Shell Stock: Key Market Performance Metrics in 2Q17 PART 5 OF 11 Individual Investor Business Executive Wirehouse Financial Advisor RIA Institutional Investor Moving averages have the ability to be used as a powerful indicator for technical stock analysis. Following multiple time frames using moving averages can help investors figure out where the stock has been and help determine where it may be possibly going. The simple moving average is a mathematical calculation that takes the average price (mean) for a given amount of time. Currently, the 7-day moving average is sitting at 32.93. Investors may be trying to decide if stocks will make new highs before the year is out, and whether or not the bull market will celebrate its 9th anniversary next year. The tricky part is prognosticating the short term picture. Investors may not be comfortable enough to go all in, but they may not want to get bearish given the solid economic backdrop. Will there be a big breakout given the strength of earnings and economic growth? Will investors just become numb to the headlines and decide to focus on the positive economic picture? It is always wise to remember that the market can have a correction at any time for any reason. If the political landscape gets even more dysfunctional, then it may be enough of a driver to spur a correction. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before It looks like nothing was found at this location. Maybe try one of the links below or a search? Archives Select Month December 2017 November 2017 October 2017 September 2017 August 2017 July 2017 June 2017 May 2017 April 2017 March 2017 February 2017 Founded in 1993 by brothers Tom and David Gardner, The Motley Fool helps millions of people attain financial freedom through our website, podcasts, books, newspaper column, radio show, and premium investing services. Wordpress Hashcash needs javascript to work, but your browser has javascript disabled. Your comment will be queued in Akismet! NY Stock News is a community of entrepreneurs dedicated to investment and study of the economic changes in the world both in the stock market as different currencies. We are dedicated to providing high-quality content for our thousands of users. always committed to creating articles that help our users properly informed and able to make decisions quickly in everything that has to do with money and business. 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The companies and people profiled on Corporation Wiki are displayed for research purposes only and do not imply an endorsement from or for the profiled companies and people. Data inaccuracies may exist. No warranties, expressed or implied, are provided for the business data on this site, its use, or its interpretation. Enter your email address below to get the latest news and analysts' ratings for your stocks with our FREE daily email newsletter: Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. Global Partners Enterprises LLC provides frozen food products. This error means that the file or directory does not exist on the server. Create the file or directory and try the request again. Theories by Christopher Stokes. Time Space, and Matter, Quantum Physics Sorry, the page you were looking for in this blog does not exist. You are banned from this site. Please contact via a different client configuration if you believe that this is a mistake. Hourly moving averages for EPD indicate a Strong Buy, while hourly technical indicators suggest a Strong Buy. NY Stock News is a community of entrepreneurs dedicated to investment and study of the economic changes in the world both in the stock market as different currencies. We are dedicated to providing high-quality content for our thousands of users. always committed to creating articles that help our users properly informed and able to make decisions quickly in everything that has to do with money and business. Past performance is not indicative of future results. The requested document was not found on this server. 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Below is a timeline charting the history of The Economist Group. * Chris Stibbs, previously chief finance officer and managing director of the Economist Intelligence Unit, becomes Group chief executive on July 18th, succeeding Andrew Rashbass. * The World in… series is launched, offering forecasts of the year ahead written by Economist journalists and prominent figures from the spheres of politics, business and the arts * The Group acquires CFO, a controlled-circulation business magazine for senior financial executives * The Group acquires Business International, which merged with Economist Intelligence Unit in 1987 * The Economist embarks on a major drive in the US, creating a huge circulation and advertising breakthrough * Andrew Knight becomes editor of The Economist. He was responsible for introducing science and technology pages * The launch of a fortnightly edition of The Economist in Spanish is announced. Aimed at the Latin American market, it closed early in 1970 * Completion of the Economist Complex in London’s St James’s, commissioned in 1959. The newspaper's landmark headquarters were designed by Modernistarchitects Peter and Alison Smithson * Economist Conferences, a division of Economist Intelligence Unit, is formed and launches government roundtables * The Economist's circulation reaches 55,175 * The Economist is sold by the Wilson Trust to Financial Newspaper Proprietors Limited and "an influential group of individual shareholders". The division of ownership was designed to ensure the maintenance of its editorial independence. * WT Layton is appointed editor. His editorship was of profound importance to the newspaper, and he was probably the person to whom it owes most thanks for its survival and continued independence. The Economist May 16 1846″ by Staff of "The Economists Help businesses seek out and capitalise new opportunities, particularly in emerging markets Conferences, training and research on cash management, treasury and risk The premier political news and information provider covering Capitol Hill Access Proxy Papers, Special Reports, Policy Guidelines, and Season Reviews. Access your meetings, research, custom recommendations and ballots. Although the Form F-1 is only an initial filing and does not represent the final IPO prospectus, the information contained therein does shed some light on how Ferrari’s governance structures will likely be set up immediately before and after the public offer. Many publications have discussed the importance of companies looking to list shares on a stock exchange to not forget about the governance structures and best practice standards to which they are expected to adhere. As per Form F-1, FCA is looking to spin off the Ferrari unit through several transactions that will conclude in fall 2016. The planned offerings will allow Piero Ferrari, the son of founder Enzo, to retain his 10% stake in the Company and Exor, the largest shareholder in FCA, to hold approximately 24% of Ferrari’s common shares. The free float in Ferrari will be 66%. Just like FCA and CNH, Ferrari will operate a loyalty voting program under which shareholders holding their shares from at least three years will receive special voting shares which essentially give these holders double voting rights. Following Ferrari’s separation from FCA, the only two shareholders eligible for the special voting shares are Exor and Piero Ferrari. Accordingly, Exor will hold approximately 35.8% of the Ferrari voting rights and Piero Ferrari 14.5% of the voting rights. The result is that the Agnelli family and Piero Ferrari will together be able to dictate proceedings at Ferrari immediate Insider Trading is buying and selling of a security by a person who has access to material information related to a security that is not available to general public. It can be both illegal and legal. For instance, insider trading is illicit when the trader has special information, which is not available to other shareholders. Revenue growth shows increase or decrease in sales over time. It is used to find out how fast a business is expanding. The average revenue per share growth rate of Express Scripts Holding Company during the past 12 months was 6.9 percent. Express Scripts Holding Company was covered by a number of analysts recently, 3 rated the stock as Buy, 5 rated Outperform, 9 rated Hold, 3 gave an Underperform and 0 rated sell. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: [TRADE IDEAS REVIEW – IS THIS THE BEST STOCK SCANNER? Trade Ideas is arguably one of the top scanning tools available on the market right Trade Ideas Pro helps traders find the best setups in the market right NOW Scottrade and E*TRADE license Trade Ideas proprietary technology for their premium trading platforms. We have fully automated trading available through Lightspeed and Interactive Brokers. Get the Next Big Winner in your inbox Before the Bell Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Enter your email address below to get the latest news and analysts' ratings for Express Scripts Holding Company with our FREE daily email newsletter: Wordpress Hashcash needs javascript to work, but your browser has javascript disabled. Your comment will be placed in moderation! # Express Scripts Holding Company Announces Second Quarter 2017 Earnings Conference Call Express Scripts puts medicine within reach by practicing pharmacy smarter – taking bold action, delivering specialized care, creating innovative solutions and leveraging data insights - to make better health more affordable and accessible. Headquartered in St. Louis, Express Scripts provides integrated pharmacy benefit management services, including network-pharmacy claims processing, home delivery pharmacy care, specialty pharmacy care, benefit-design consultation, drug utilization review, formulary management and medical and drug data analysis services. Express Scripts also distributes a full range of biopharmaceutical products and provides extensive cost-management and patient- care services. The subject who is truly loyal to the Chief Magistrate will neither advise nor submit to arbitrary measures. Data Update Unchecking box will stop auto data updates Price movement based on the high, low and last over the given period. Express Scripts Holding Company operates as a pharmacy benefit management (PBM) company. It operates in two segments, PBM and Other Business Operations. The PBM segment offers clinical solutions, specialized pharmacy care, home delivery and specialty pharmacy, retail network pharmacy administration, benefit design consultation, drug utilization review, drug formulary management, administration of a group purchasing organization, and consumer health and drug information services. This segment also provides Medicare, Medicaid, health insurance marketplace products etc. The Other Business Operations segment distributes pharmaceuticals and medical supplies, including injectable and infusible pharmaceuticals and medications to treat specialty and rare/orphan diseases. This segment also provides consulting services, such as design, implementation, and project management for pharmaceutical and biotechnology manufacturers to collect scientific evidence to guide the use of medicines. Corporate earnings are provided from Zacks Investment Research, including Income Statements, Balance Sheets, Cash Flow Statements, and Statement of Retained Earnings. Analyst Ratings At the heart of the philosophy of Post Analyst – news coverage on the principles of the highest quality standards. During its more than 20-year history, the company has established itself as a reliable and responsible supplier of business news and market analysis. Key employees of our company are professionals in the field of business, finance and stock markets. On our site you can always find daily updated business news from around the world. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell XOM on New York Consolidated 82.94USD 18 Dec 2017 ExxonMobil Corp and BHP Billiton Ltd have agreed to end a nearly 50-year-old gas marketing joint venture in Australia, bowing to pressure from the nation's competition watchdog amid concerns about gas supply and soaring prices. Dec 18 The Australian Competition & Consumer Commission (ACCC) said on Monday that BHP and Exxon Mobil would separately market their respective shares of gas produced from their Gippsland Basin joint venture from 2019. ANCHORAGE, Alaska The state of Alaska will receive hundreds of millions of dollars in a settlement with oil companies over the value of North Slope crude oil shipped through the Trans-Alaska Pipeline (TAP), officials announced. ANCHORAGE, Alaska, Dec 15 The state of Alaska will receive hundreds of millions of dollars in a settlement with oil companies over the value of North Slope crude oil shipped through the Trans-Alaska Pipeline (TAP), officials announced. Exxon Mobil Corp and Petróleo Brasileiro SA, Brazil's state-controlled oil producer also known as Petrobras, said on Thursday they had formed an alliance to develop energy projects around the world. Dec 14 Exxon Mobil Corp and Petróleo Brasileiro SA, Brazil's state-controlled oil producer also known as Petrobras, said on Thursday they had formed an alliance to develop energy projects around the world. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Complete the form below to receive the latest headlines and analysts' recommendationsfor General Electric with our free daily email newsletter: Checking in on some valuation rankings, Exxon Mobil Corporation (NYSE:XOM) has a Value Composite score of 36. Developed by James O'Shaughnessy, the VC score uses five valuation ratios. These ratios are price to earnings, price to cash flow, EBITDA to EV, price to book value, and price to sales. The VC is displayed as a number between 1 and 100. In general, a company with a score closer to 0 would be seen as undervalued, and a score closer to 100 would indicate an overvalued company. Adding a sixth ratio, shareholder yield, we can view the Value Composite 2 score which is currently sitting at 33. Watching some historical volatility numbers on shares of Exxon Mobil Corporation (NYSE:XOM), we can see that the 12 month volatility is presently 11.156300. The 6 month volatility is 9.866300, and the 3 month is spotted at 8.229800. Following volatility data can help measure how much the stock price has fluctuated over the specified time period. Although past volatility action may help project future stock volatility, it may also be vastly different when taking into account other factors that may be driving price action during the measured time period. The FCF Yield 5yr Average is calculated by taking the five year average free cash flow of a company, and dividing it by the current enterprise value. Enterprise Value is calculated by taking the market capitalization plus debt, minority interest and preferred shares, minus total cash and cash equivalents. The average FCF of a company is determined by looking at the cash generated by operations of the company. The Free Cash Flow Yield 5 Year Average of Exxon Mobil Corporation (NYSE:XOM) is 0.036877. Sele Facebook normally requires users to be at least 13 years old. The new app gives it a chance to win brand loyalty from younger children at a time when it faces competition for teenagers from other social media platforms such as Snapchat. There already are a handful of other apps that children can use with parental consent, and kids can communicate with each other using texting on cellpones. Facebook said research showed young children were already using technology on a regular basis - but on apps built for teens and adults, raising concern among parents that their children might be communicating with strangers. At the same time, parents were willing to let their children aged 6 to 12 use social media as long as there was strict parental control. Facebook Messenger Kids requires parents to set up an account and approve their children's contacts. The stand-alone app on children's devices can be controlled by a parent's Facebook account that will allow kids to use video chat and send photos, videos or text messages to friends approved by their parents. Monday's unveiling was billed as a preview because so far it is only available in the United States and only on iOS, or Apple operating systems. The app was 18 months in development, Svensson said. Facebook said it consulted with 1,200 parents plus online security and child development specialists, including the National Parent-Teacher Association, the Yale Center for Emotional Intelligence, Connect Safely, Center on Media and Child Health, and Sesame Workshop. Reporting by Daniel Trotta; Editing by Jonathan Oatis Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Earlier this month, JPMorgan analyst David Karnovsky discussed the opportunity for WWE to thrive in an age of video consumption that involves more outlets and formats than ever before. "With unique entertainment assets and global fan appeal, we believe WWE is well positioned to monetize its video content amid a fragmenting media landscape of television networks, distributors, and technology platforms all seeking differentiation," Karnovsky said. Facebook, Inc. provides various products to connect and share through mobile devices, personal computers, and other surfaces worldwide. The company has market cap of $516.92 billion. The Company's solutions include Facebook Website and mobile application that enables people to connect, share, discover, and communicate each other on mobile devices and personal computers; Instagram, a mobile application that enables people to take photos or videos, customize them with filter effects, and share them with friends and followers in a photo feed or send them directly to friends; Messenger, a messaging application to communicate with people and businesses across platforms and devices; and WhatsApp Messenger, a mobile messaging application. It has a 34.47 P/E ratio. The firm also offers Oculus virtual reality technology and content platform, which allow people to enter an immersive and interactive environment to play games, consume content, and connect with others. Enter your email address below to get the latest news and analysts' ratings for your stocks with our FREE daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Complete the form below to receive the latest headlines and analysts' recommendationsfor Facebook with our free daily email newsletter: Facebook, Inc is focused on building products that enable people to connect and share through mobile devices, personal computers and other surfaces. The Company's products include Facebook, Instagram, Messenger, WhatsApp and Oculus. Facebook enables people to connect, share, discover and communicate with each other on mobile devices and personal computers. After all, Instagram was only 18 months old, and hadn't generated a dime in revenue. What it had done, however, was quickly gather Examples from the Web for Fannie Mae Expand British Dictionary definitions for Fannie Mae Expand (in the US)an informal name for the Federal National Mortgage Association, a private company that buys and sells mortgage debt Word Origin and History for Fannie Mae Expand Online Etymology Dictionary, © 2010 Douglas Harper Cite This Source Learn the correct uses of these two commonly confused homophones. What mistaken pronunciation gave this character its name? People invent new words all the time, but which ones actually make it? In corporate bankruptcy, a situation in which a court or regulator appoints a custodian to administer all assets and debts. This custodian is known as a receiver; his/her duty is to pay off as many debts as possible as cheaply as possible. One obvious way to do this is to liquidate the company, but this is not always done. The receiver may restructure the company to put it on a path toward solvency. In the United States, different financial regulators have the authority to decide whether receiver ships are necessary. The Office of Thrift Supervision may do this for savings and loans; the Office of the Comptroller of the Currency for national banks. In any federally-chartered savings and loan or bank, the FDIC must be appointed receiver. 1\. A private, shareholder-owned company created by Congress in 1938 to bolster the housing industry during the depression. Fannie Mae facilitates homeownership by adding liquidity to the mortgage market when it purchases loans from lenders who use the funds received to make additional loans. Fannie Mae finances mortgage purchases by issuing its own bonds or by selling mortgages it already owns to financial institutions. The firm's common stock trades as FNM on the New York Stock Exchange. Formerly called Federal National Mortgage Association. See also quasi-public corporation. 2\. A security issued by this company that is backed by insured and conventional mortgages. Monthly returns to holders of Fannie Maes consist of interest and principal payments made by homeowners on their mortgages. Specifically, the corporation buys mortgages that meet its standards from mortgage lenders around the country. It then packages those loans as debt securities, which it offers for sale, providing the investment marketplace with interest-paying bonds. The money Fannie Mae raises by selling these bonds pays for purchasing more mortgages. Lenders use the money they realize from selling mortgages to Fannie Mae to make additional loans, making it possible for more potential homeowners to borrow at affordable rates. Because lenders want to ensure their mortgage loans are eligible for purchase, most adopt Fannie Mae guidelines in evaluating mortgage applicants. One of a group of financial services organizations created by the government. Some are owned by the federal government, some are owned by private individuals,and some are owned by corporations that use their services.All of them enjoy exceptionally low loan rates and exceptionally high sales prices for their bonds and other debt instruments because of the implicit backing of the U.S.government.They include A derivative whose value is derived from unpaid mortgages. This entitles the owner to a claim on the principal and interest payments on the particular mortgages backing the security. MBSs pay an interest rate that is usually related to the interest rates the homeowners are paying on their mortgages. The equivalent of the coupon on a mortgage-backed security is a percentage of the interest and principal paid on the mortgages backing the security. An obvious risk to an MBS is the possibility that interest rates may decline, causing homeowners to refinance their mortgages. This provides capital to MBS holders, but it comes at a time when purchasing more MBSs would yield less due to the decline in interest rates. More complicated versions of MBSs include the collateralized mortgage obligation and the mortgage derivative. These attempt to USA Commerce Daily knows how managing information determines success in the modern world. People who are really looking for information about business, companies and latest stock news – USA Commerce Daily is the right place. USA Commerce Daily does not gather only pleasant news. It covers everything that is really important. This paper still provides own investigations on the high level. Local and International events are given with careful and complete analysis. USA Commerce Daily is here to grab all the latest – hottest news and popular interview and bring them to you in a concise way. Sign up to StockTwits to save a watchlist for easy access to your favorite stocks Market Data by Xignite and BATS BZX Real-Time Price # FedEx Stock Puts Buyers Brace for a Rare Earnings Retreat Data from the housing sector has been strong Bed Bath & Beyond reports earnings after the close tomorrow AAPL stock is lower after a rare downgrade Schaeffer's Investment Research, Inc. is dedicated to providing subscribers advantages in options trading and investing. Our independent market research services create profitable opportunities for investors at every level. Over the past three months, C.H. Robinson Worldwide, Inc. insiders have been net buyers, dumping a net of -26,472 shares. This implies that insiders have been feeling relatively bearish about the outlook for CHRW. Insider activity and sentiment signals are important to monitor because they can shed light on how “risky” a stock is perceived to be at it’s current valuation. Knowing this, it makes sense to look at beta, a measure of market risk. CHRW has a beta of 0.48 and therefore an below average level of market volatility. FedEx Corporation insiders have sold a net of -56,494 shares during the past three months, which implies that the company’s top executives have been feeling bearish about the stock’s outlook. Finally, FDX’s beta of 1.37 indicates that the stock has an below average level of market risk. Economy and Money Authors gives investors their free and unbiased view of Financial Markets and on what happening in Stock Market. Our team certainly analyze tons of Stocks every day and provide their fair opinion on them. We are always looking over financial statements, company’s earning, analyst upgrades/downgrades, joint ventures and balance sheets to keep our reader up to date. Ares Commercial Real Estate Corporation, a specialty finance company, originates and invests in commercial real estate loans and related investments in the United States. The company has market cap of $382.46 million. It provides a range of financing solutions for commercial real estate owners and operators. It has a 11.85 P/E ratio. The firm originates senior mortgage loans, as well as subordinate financings, mezzanine debt, and preferred equity. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell FedEx Corp. engages in the provision of a portfolio of transportation, e-commerce, and business services. It operates through the following segments: FedEx Express, TNT Express, FedEx Ground, FedEx Freight, FedEx Services, and Other. The FedEx Express segment consists of domestic and international shipping services for delivery of packages, and freight. The TNT Express segment comprises of international express transportation, small-packaging ground delivery, and freight transportation. The FedEx Ground segment focuses on small-package ground delivery services, and day-certain service to any business address in the United States, and Canada. The FedEx Freight segment offers less-than-truckload freight services across all lengths of haul. The FedEx Services segment provides sales, marketing, information technology, communications, customer service, technical support, billing and collection services, and certain back-office functions. The company was founded by Frederic Complete the form below to receive the latest headlines and analysts' recommendationsfor Flex with our free daily email newsletter: The requested page has been blocked by the content filter because it is violation of the multiple clicks usage policy set by the administrator Would you like BusinessVibes to send this message to similar companies in this industry? Boost this company’s visibility by sharing it with your contacts Flextronics upgraded to buy at Goldman Sachs MarketWatch This action might not be possible to undo. Are you sure you want to continue? Flex.view V3 1 Help Manual 5000 0001 0040 E will be available on The information on this Website is not reliable and not intended to provide tax, legal, or investment advice. Nothing contained on the Website shall be considered a recommendation, solicitation, or offer to buy or sell a security to any person in any jurisdiction. see newer messages or go to most recent Sign up to become a contributing member of the community. Please check the URL for proper spelling or try one of the options below: Enter up to 25 symbols separated by commas or spaces in the text box below. These symbols will be available during your session for use on applicable pages. Flash Quote Summary Quote Interactive Charts Default Setting New regulations require our trading account holders to self certify where they are resident for tax purposes. © 2017 Interactive Investor Services Limited. All Rights Reserved. Interactive Investor Services Limited is authorised and regulated by the Financial Conduct Authority. You are banned from this site. Please contact via a different client configuration if you believe that this is a mistake. Our servers have seen too many requests from you recently. If you feel this block is in error, please contact us using the form below. Other hedge funds and other institutional investors also recently added to or reduced their stakes in the company. Toronto Dominion Bank raised its stake in shares of Boston Scientific Corporation by 56.7% in the first quarter. Toronto Dominion Bank now owns 367,924 shares of the medical equipment provider's stock worth $9,150,000 after buying an additional 133,121 shares during the period. Koch Industries Inc. acquired a new stake in shares of Boston Scientific Corporation during the first quarter worth approximately $307,000. Bellevue Group AG raised its stake in shares of Boston… These are some of the media headlines that may have effected Accern Sentiment's analysis: News coverage about Valley National Bancorp (NYSE:VLY) has trended somewhat positive on Friday, Accern Sentiment reports. The research firm identifies negative and positive news coverage by monitoring more than twenty million news and blog sources in real time. Accern ranks coverage of companies on a scale of negative one to positive one, with scores closest to one being the most favorable. Valley National Bancorp earned a media sentiment score of 0.19 on Accern's scale. Accern also… Other equities research analysts have also recently issued reports about the company. Liberum Capital reaffirmed a sell rating and issued a GBX 100 ($1.30) price target on shares of KAZ Minerals PLC in a research note on Wednesday, March 29th. Citigroup Inc. reaffirmed a buy rating on shares of KAZ Minerals PLC in a report on Monday, February 20th. J P Morgan Chase & Co reaffirmed an overweight rating on shares of KAZ Minerals PLC in a report on Friday, April 28th. Jefferies Group LLC cut their price objective on… Several other hedge funds also recently made changes to their positions in the stock. World Asset Management Inc increased its position in Allegion PLC by 20.7% in the first quarter. World Asset Management Inc now owns 10,291 shares of the scientific and technical instruments company's stock worth $779,000 after buying an additional 1,768 shares during the last quarter. Dimensional Fund Advisors LP boosted its stake in Allegion PLC by 1.9% in the fourth quarter. Dimensional Fu Some individual investors may rely heavily on Wall Street analyst opinions when conducting their own stock research. Focusing in on shares of Ford Motor Company (NYSE:F), we have seen that the average broker rating is currently 2.87. This average rating follows a numerical scale where a 1 would signify a Strong Buy rating, and a 5 would indicate a Strong Sell rating. Out of the sell-side analysts polled by Zacks Research, 2 have given the stock a Strong Buy or Buy rating. There are many factors that may influence stock price action. One of the most influential factors is company earnings. Company earnings reports can be extremely important for investors. Earnings reports have the ability to let investors know how well or poorly a company has been performing. Investors may try to capitalize on trading around earnings announcements. This can be a very tricky venture and may be quite risky. Studying stock price movements around earnings reports can sometimes be confusing. Often times a company will post better than expected numbers but the stock will drop in price. On the other side, shares may see a bounce even after disappointing results. Analysts try to project what numbers the company will post, but they may not be accurate for a variety of reasons. Following analyst estimates around earnings reports may be helpful, but it may be wise to proceed with caution if only going on what the analysts are saying. Zooming in on the current quarter EPS consensus estimate for Ford Motor Company (NYSE:F), we see that the current number is 0.44. This EPS estimate is using 15 Wall Street analysts polled by Zacks Research. Last quarter, the company stated a quarterly EPS of 0.43. Sell-side analysts have the task of examining companies and providing estimates relating to future results. These estimates carry a lot of weight on the Street, and earnings hits or misses revolve around these numbers. Sometimes these predictions are very close to the actual reported number, and other times they are not. Many investors will be closely watching which way analyst estimates are being adjusted right before earnings. This may provide some insight on how good or bad the numbers for the quarter are likely to be. Investors might want to take a look at their holdings after the earnings reports to make sure that nothing extremely out of the ordinary after combing through the results. Following shares of Ford Motor Company (NYSE:F), we can see that the average consensus target price based on contributing analysts is currently $13. Wall Street analysts often provide price target projections on where they believe the stock will be headed in the future. Because price target projections are essentially the opinions of covering analysts, they have the ability to vary widely from one analyst to another. Navigating the equity markets can seem daunting at times. Finding ways to identify the important data can make a big difference in sustaining profits into the future. As we move closer to the end of the year, investors will be watching to see which way the momentum shifts and if stocks are still primed to go higher. Investors might choose to rely heavily on analyst research and corresponding target predictions, or they may choose to use them as a guide to supplement their own research. > Ford’s increases were driven by a good month for trucks and SUVs, with the Explorer up nearly 25 percent and the F-Series posting a nearly 1 percent gain compared to November 2016. GM was hurt by declining fleet sales, along with very weak performance from its Canyon pickup and Yukon SUV. Those two models saw sales declines around 26%. 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BREAKING: The news comes amid a report that he settled workplace misconduct accusations with at least four staffers. After burning for 13 days, the Thomas Fire stands at 269,000 acres. Officials say it could become the largest wildfire in state history. The woman reported to CNBC executives in 1999 that Matthews made inappropriate remarks about her in front of others, the news network sai​d. If you constantly have your cell phone close to your body, you should read this. Taxpayers footed the bill for the settlement, which Hastings said he wasn't aware of until last Friday. Ron Villemaire of Bedford wanted to see the new “Star Wars” movie before passing away; volunteers, including EMTs, made sure it happened. by Tony Schinella, patch national staff | 16 hrs ago Cory Iverson, 32, died while battling the third largest wildfire in California history. by Feroze Dhanoa, patch national staff | 10 hrs ago Miami Beach first responders put out a fire at a single mother's South Beach apartment and then brought Christmas back to the family. Republicans are gearing up to push through the latest version of their tax overhaul plan next week. Here are the latest details of the bill. A grand jury has released a scathing 236-page report investigating hazing and excessive alcohol consumption at Penn State fraternities. by Kara Seymour, patch national staff | 3 days ago Procter & Gamble and Kellogg’s withdraw their support of USA Gymnastics amid claims it ignored claims of sexual assault by Larry Nassar. What started as a simple request from a soldier turned into yet another incredible act of generosity from the NFL guy who can't stop giving After a nearly yearlong back and forth, the bank in question will issue a new bank draft for over half a million dollars by Feroze Dhanoa, patch national staff | 3 days ago Trump's nominee faced a number of questions about relevant experience by a Republican Senator, but repeatedly came up lacking. by Ben Feuerherd, patch national staff | 3 days ago Andrea Ramsey said the 2005 lawsuit claim “is a lie” and part of a “whisper” campaign during a watershed moment on sexual misconduct. The Royal Family announced Prince Harry and Meghan Markle’s wedding date on Twitter. by Ben Feuerherd, patch national staff | 3 days ago Former President Obama stopped by the community center in Northeast Washington for about half an hour on Thursday. by Ben Feuerherd, patch national staff | 3 days ago Academy Sports & Patient-Centered Care for Chronic Kidney Disease. Fresenius Medical Care North America is a major provider of kidney dialysis services and renal care products. We provide the highest quality standards in kidney dialysis care and products in the industry to meet the needs of our patients and affiliated physicians. Lawsuits for cardiac arrest, heart attacks and death from Fresenius Granuflo, NaturaLyte dialysis treatments. Learn more on Fresenius dialysis settlements. The passionate professionals at Fresenius, the global leader in dialysis healthcare, are always looking for ways to make the world a better place for everyone. Fresenius Dialysis Lawsuit. As a result of Fresenius dialysis products, individuals may have faced a risk of heart attacks and sudden death. Lawsuits reviewed nationwide. DialysisCenters.org is an organization offering the public help in finding a dialysis center in your area. You can also look for dialysis centers when you travel. FMCNA Help Desk staff are available Monday through Friday, 6AM to 7PM ET, and Saturday, 6AM to 2:30PM ET Fresenius Dialysis Machine, You Can Buy Various High Quality Fresenius Dialysis Machine Products from Global Fresenius Dialysis Machine Suppliers and Fresenius ... Fresenius Medical Care is now hiring for 674 jobs. Click to see additional information about this company and recommended jobs. Updated stock quote for FMS - including FMS stock price today, earnings and estimates, stock charts, news, futures and other investing data. At this Website listen to the newest Medical Health News, Medical News and Medicine News. We dont spam our loyal customers , you can unsubscribe anytime Innovatives Benchmarking mit EuCliD® - Fresenius Medical Care CAR INTERIOR MATERIAL TESTING - Institut Fresenius Informationsbroschüre MONET - Fresenius Medical Care Prometheus® Lieferprogramm - Fresenius Medical Care Fresenius Medical Care Holdings, Inc. Median Salary by Years Experience More Chartsby Years Experienceby State or Provinceby Cityby Industryby Gender How much does Fresenius Medical Care Holdings, Inc. pay? Fresenius Medical Care Holdings, Inc. pays its employees an average of €66,070 a year. Salaries at Fresenius Medical Care Holdings, Inc. range from an average of €41,805 to €112,602 a year. Fresenius Medical Care Holdings, Inc. employees with the job title Senior Director of Strategy make the most with an average annual salary of €174,402, while employees with the title Hemodialysis Technician make the least with an average annual salary of €27,303. Tell us about your current job and your skillset, and we’ll let you know how much employers are paying in your area. * Claris Law Sites Claris Marketing Injury Board Radius Of Influence Living Safer Search for acronyms, abbreviations, definitions and topics You are banned from this site. 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Pretražite sveADVOKATI, ADVOKATSKE KANCELARIJEAGREGATIAKUPUNKTURAAMBASADEAPARTMANIAPOTEKEAUTO GAS PUMPEAUTOBUSKE STANICEAUTOBUSKI PREVOZ PUTNIKAAVIO KARTE JEFTINEBATERIJE I PUNJAČIBENZINSKE PUMPEBIBLIOTEKEBILJNE APOTEKEBOJLERI PRODAJA, PROIZVODNJABOLNICEBRAVARIBURAD PROIZVODNJA PRODAJA BAČVE KACEBUTICIČARAPECENTRIRANJE TRAPA-Centriranje trapa ZemunCIGLANEDEMIT FASADEDERMATOLOŠKE ORDINACIJEDOMOVI ZDRAVLJADRVENA STOLARIJADUŠECIELEKTROMOTORIERGELE KONJAESTETSKA, PLASTIČNA HIRURGIJAFIZIKALNA TERAPIJAGARAŽNA VRATAGINEKOLOŠKE ORDINACIJEGRADJEVINSKA BRAVARIJAG Our apologies, the content you requested cannot be located. News Corp is a network of leading companies in the worlds of diversified media, news, education, and information services. Alert me to websites indicated as potentially harmful. Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. 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The co-founder of Bitcoin.com, one of the world’s largest sites devoted to the leading virtual currency, has sold all his bitcoins and recommends people stay away from it for the moment due to high risk and look for alternatives. Facebook is making a big marketing drive in Germany just as the country starts to implement tough regulations designed to clamp down on online hate speech. Three keys behind the healthcare giant's tremendous year in 2017 that could be critical for next year also. Want to make a nice bonus even nicer? Crank up your bonus check by using it for one of these purposes. The scene at the East Coast’s largest mall on a recent Friday morning would seem to fly in the face of the doomsday narrative surrounding U.S. retail centers. A steady stream of holiday shoppers walked the lacquered halls, browsing stores from Gap to Gucci. By noon, a line was snaking out of an outpost of the Shake Shack burger chain. The development on New York's Seneca Lake and those who desire to live there are part of a growing interest in downsized and clustered housing. David West and John Davie have become the first private homeowners in the UK to swap their homes permanently following a property viewing - here's how it all fell into place Using experiential marketing to promote your business can offer customers a more pleasurable experience with your product or service, creating a more loyal fanbase in the process. The McLaren Formula One team finished second-to-last in the standings this year but it is on track to accelerate up the standings in 2018 thanks to a switch to highly regarded Renault engines. The team's partnership with technology giant NTT Communications will help it make the most of Vestas and Gas Natural Fenosa today sealed an agreement to build 86 MW of wind energy across five new wind parks in Spain. By using our website, you agree to our use of cookies. 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We take no responsibility for the accuracy of the translation. # Gas Natural Fenosa plans on keeping its Colombian subsidiary Electricaribe Gas Natural Fenosa has stated its intention to invest in its Colombian subsidiary, Electricaribe at a meeting in Madrid with IndustriALL affiliate, Sintraelecol. Electricaribe, an electricity distribution and marketing company that operates in northern Colombia, was privatized in 2000 and bought by the Spanish company Gas Natural Fenosa. The meeting conducted a full analysis of Sintraelecol’s situation. The union representatives said there was too much subcontracting and too many temporary workers and pointed out that it was costing the company more to employ temporary workers than to employ workers directly. They also highlighted the low levels of investment in technology and said that this contributed to the company’s poor public image. Gas Natural Fenosa management said the company planned to invest in Electricaribe and maintained that shareholders wanted to develop the subsidiary, as long Even so, Russian President Vladimir Putin denies the very existence of a crisis and maintains his support for Alexei Miller, the chief executive officer since 2001. Gazprom's situation is serious not only because it is Russia's biggest company by market value, but because Putin is its real chairman. Where Gazprom goes, so goes Russia and the Putin government. At the heart of Gazprom's mismanagement lies extreme inertia; reluctance to absorb new information; corruption and outlandish arrogance. Its managers are used to exercising Soviet-style monopoly over consumers, not having realized that the market has taken over. The company has traditionally varied prices by countries for opaque reasons. For example, Lithuania pays 15 percent more for Gazprom gas than neighboring Latvia. When consumers behave inappropriately in its eyes, Gazprom cuts off supplies, as it did to Ukraine and much of Eastern Europe in January 2006 and 2009. As a result, these dismayed customers have reduced their dependence on Gazprom, by cutting consumption, building converters and storage, and developing alternative supplies. Nor has the Gazprom management understood the importance of the European Union. Last September, the European Commission launched a case against Gazprom, accusing it of dividing the continental markets by hindering the free flow of gas across member states, preventing the diversification of gas supply and imposing unfair prices on its customers by linking the price of gas to oil prices. It may take years for a verdict, yet Gazprom will probably be fined billions of euros for these long-lasting malpractices. Its whole business model is at risk. Its main clients, the large European gas-distribution companies, have already lost lesser cases against the European Commission. Putin has revealed his incomprehension at the case, objecting that the European Union subsidizes the Eastern European economies. "Now it seems that someone in the EU has decided to shift part of the burden, some of the subsidies, to us," he said. On a parallel track, the European Union has adopted its third energy package, which prohibits one company from both distributing gas and owning the pipelines. The Kremlin has called this ordinary antitrust policy "confiscation," but in Europe, Gazprom has to obey EU law and will probably be forced to divest. Gazprom is losing out on the European market. Its share of the 27 EU countries' natural-gas imports has fallen from a peak of 47 percent in 2003 to 34 percent in 2011. The two main beneficiaries are Norway's Statoil ASA and Qatar, which adjust their prices to market conditions and increasingly sell at lower spot prices. Gazprom's sales are falling most in other ex-Soviet states—by 19 percent in 2012 alone—because its methods there are particularly rough and politicized. Ukraine used to be its biggest customer, but since the company's apparent objective has been to force Ukraine into the protectionist Customs Union of Russia, Belarus, and Kazakhstan, Ukraine has minimized its purchases from Gazprom. Until 2009, Gazprom benefited from plentiful captive gas from Central Asia, mainly Turkmenistan. But the pipeline exploded in April of that year, after Gazprom suddenly closed the flow from Turkmenistan during a supply surplus caused by the global financial crisis. Turkmenistan gave up on Gazprom and opted for the swift construction of a pipeline to China. With its large reserves, Turkmenistan can supply much of the Chinese market, while Gazprom has lost both cheap supplies from Central Asia and access to China. All this speaks of incompetence, but what really irritates shareholders is the company's enormous waste and corruption. This takes various forms, such as asset stripping. The most egregious form is excessive capital spending. Rather than reducing capital investment, however, Putin comes up with ever more expensive projects. Last October, he decided that Gazprom should develop the giant virgin Chayadinsk field in Yakuti Registered business address: 2941 Fairview Park Dr #100, Falls Church, VA 22042, USA United States of America ISIN Violations of Political Rights in Mozambique Enter your email address below to get the latest news and analysts' ratings for General Dynamics with our FREE daily email newsletter: Wordpress Hashcash needs javascript to work, but your browser has javascript disabled. Your comment will be placed in moderation! Phrase not found in the Dictionary and Encyclopedia. All content on this website, including dictionary, thesaurus, literature, geography, and other reference data is for informational purposes only. This information should not be considered complete, up to date, and is not intended to be used in place of a visit, consultation, or advice of a legal, medical, or any other professional. Investingbizz is an online news company focused on covering the most recent business and finance news in US and world market. We are committed to covering stories that matter to our readers including breaking news which can help reader to understand the current business and financial markets. The information on this Website is not reliable and not intended to provide tax, legal, or investment advice. Nothing contained on the Website shall be considered a recommendation, solicitation, or offer to buy or sell a security to any person in any jurisdiction. see newer messages or go to most recent Sign up to become a contributing member of the community. You are banned from this site. Please contact via a different client configuration if you believe that this is a mistake. Receive weekly email updates summarizing what contributors have added to the History Commons database # General Dynamics Mission Systems Launches TechScout Outreach Program for Small Businesses TechScout will announce opportunities to which ISN participants can submit ideas to address the technical challenges that the military, first responders and other General Dynamics clients face. General Dynamics said the ISN virtual network utilizes an open collaboration model that aims to drive engagement by small business partners as well as provide them access to resources. ExecutiveBiz is dedicated to covering the government contracting sector from the perspective of the executive. Our writers and researchers follow the political and business trends associated with contracting to find those who matter most to those who make decisions ExecutiveBiz is dedicated to covering the government contracting sector from the perspective of the executive. Over the past three months, Rockwell Collins, Inc. insiders have been net buyers, dumping a net of -492,374 shares. This implies that insiders have been feeling relatively bearish about the outlook for COL. Insider activity and sentiment signals are important to monitor because they can shed light on how “risky” a stock is perceived to be at it’s current valuation. Knowing this, it makes sense to look at beta, a measure of market risk. COL has a beta of 0.73 and therefore an below average level of market volatility. General Dynamics Corporation insiders have sold a net of -528,512 shares during the past three months, which implies that the company’s top executives have been feeling bearish about the stock’s outlook. Finally, GD’s beta of 0.74 indicates that the stock has an below average level of market risk. Economy and Money Authors gives investors their free and unbiased view of Financial Markets and on what happening in Stock Market. Our team certainly analyze tons of Stocks every day and provide their fair opinion on them. We are always looking over financial statements, company’s earning, analyst upgrades/downgrades, joint ventures and balance sheets to keep our reader up to date. For information regarding the content of this press release please contact the media relations contact listed above directly. It looks like nothing was found at this location. Maybe try one of the links below or a search? Archives Select M The collective rating of 2.6 for Mallinckrodt Public Limited Company (NYSE:MNK) also leans strongly towards the neutral end of the spectrum. Of the 17 analysts surveyed by Reuters that track MNK 10 of them rate its stock a hold. The other 7, though not evenly; between analysts who think you should buy Mallinckrodt Public Limited Company versus those who think you should sell it. A 6 analysts rate it as either a buy or a strong buy, while1 believe that investors should either steer clear of MNK or, if they already own its stock, sell it. AllStockNews provide quality information for free in a convenient place and format. You do not need to look for us – the news portal “AllStockNews” meets the reader every morning on the way to work in the metro, at traffic intersections, in cafes and business centers. Stock News Journal was founded in 1997 as an idea in January 1998 as a company. Our first objective is to provide latest financial information in simple words, to make it understandable to everyone. The second is to provide knowledge and training items, to ensure that our visitors over time have the largest number of cognitive tools to consciously decide how to invest their savings. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Earlier this month, Moody’s downgraded GE to A2 from A1 due to “severe deterioration” in the financial performance of the company’s power segment. That agency believes the underperformance there will last through at least 2019. Once an industrial conglomerate with presences in the finance and television industries, GE has seen its past moves from back to haunt it amid high debt and pension obligations, along with weakening cash flow. It's been forced to sell off a number of business units in the past several years in order to streamline operations and raise cash. Layoffs have also commenced, with several thousand more job losses expected in coming quarters. The company enjoyed many years of success -- at least from a share price perspective -- under legendary CEO Jack Welch. Welch went on a shopping spree starting in the early 80s and continued through the early 2000s that saw it buy a major bank and broadcasting giant NBC. In retrospect, those moves proved foolhardy, adding many layers of complexity and spiking pension obligations even more. Now, GE is a train wreck, and there's no easy way to fix it. The mistakes of the past have come back to haunt the former powerhouse, eroding both its own legacy and those of its once-respected former CEOs. Long only, value, dividend investing, momentum Back on October 30th, I wrote my latest article on GE. I went over the earnings release from October 20th, plus the replacement of Jeffrey Immelt as CEO. I was not alone in predicting that GE was going to cut the dividend, and I projected a price to pay based on a 6 cent a quarter cut in the dividend. I suggested that investors wait for either the price to go below $20, or the announcement of the dividend cut. The dividend cut announcement came first. To calculate a price to pay for GE based on the value of the dividends I expect it to pay me, I will need to look at the company presentation to get the data to make an estimate of what the dividend will be over the coming years. Below I will present the slides from the company presentation that I used to make that estimation. The main point I take from the slide above is that the Power segment has some serious issues. I had thought that before, but the slide above gives some numbers to that general feeling. There is a big step down in profit and not all of it is due to Alstom. Until the segment stops shrinking, I don't see any chance of a dividend increase. The slide above looks at what GE expects from Power in the coming year. While there are some signs of a turn around, the improvement in FCF conversion, the segment is st Most of the investors recently have been curious over the performance of General Motors Company (NYSE:GM) stock. Many analysts use price trends and patterns to predict future performance, and we can glean some important insights about GM by examining the chart. Of course, these surface-level price movements don’t tell us much about the direction that GM may be headed in the future. In order to predict this, technical analysts look at momentum indicators, which measure the speed and magnitude of these price movements. The idea is that as momentum slows, it may signal the approach of key support or resistance levels and a reversal of recent trends. Two such indicators are the RSI (Relative Strength Index) and the Stochastic %k Oscillator, which fluctuate on a scale of 0 to 100. A reading above 70 indicates that a stock is overvalued, and a reading below 30 implies that it is undervalued. The 20-day RSI for GM is 49.33%, which suggests that the stock is not particularly expensive or cheap, and not predisposed to a reactive price movement based on this measure. The 20-day Stochastic %k measure, which sits at 40.67%, tells a similar story, and suggests that GM currently trades in neutral territory. Analysts use volume trends to assess the level of conviction behind a stock’s price changes. When volumes suddenly increase above normal levels, it can be a sign that investors feel very strongly in one way or the other about the future direction of a stock, or may even have access to inside information. General Motors Company (GM) average trading volume of 13,377,271 during the past month is 1.46% above its average volume over the past year, indicating that investors have been more active than usual in the stock in recent times. Absolute price performance isn’t the only thing analysts consider when predicting future performance: volatility matters as well. Beta, which measures the stock’s volatility relative to the overall market, is a simple but effective metric for assessing risk. Economy and Money Authors gives investors their free and unbiased view of Financial Markets and on what happening in Stock Market. Our team certainly analyze tons of Stocks every day and provide their fair opinion on them. We are always looking over financial statements, company’s earning, analyst upgrades/downgrades, joint ventures and balance sheets to keep our reader up to date. Before trading, trader, investor or shareholder must have an eye on stock’s historical performance. Analysts review historical return data when trying to predict future returns or to estimate how a security might react to a particular situation, such as a drop in consumer demand. Historical returns can also be useful when estimating where future points of data may fall in terms of standard deviations. Analyzing historical data can give some perception of how a security or market has reacted to various different variables, from regular economic cycles to sudden world events. Shareholders looking to interpret historical returns should keep one caveat in mind: you can't assume that the future will be like the past. The older the historical return data is, the more likely it is to be less useful when predicting future returns. Historical return data for GM stock is described below: Hot Stocks Point Staff includes Robert Ebelling, Rene P. Todd, Robert McCormick, Patricia Myles and Frank Redding. Hot Stocks Point Staff believes that there are emerging and growing companies across various industry sectors with sizeable hidden value. Market disruptive discovery and innovation often occurs in small to mid-size companies that are either misunderstood or underrepresented. So they focus on identifying these companies and uncovering their stories before the rest of the market to ensure that you receive the full story – every single day. Our mission is to provide unmatched news and insight on newsworthy and momentum stocks to potential traders looking to execute the best possible Enter your email address below to get the latest news and analysts' ratings for George Weston Limited with our FREE daily email newsletter: George Weston Limited is a holding company engaged in food processing and distribution business. The Company, through its two operating segments, Weston Foods and Loblaw, holds cash, short-term investments and a direct investment in Choice Properties Real Estate Investment Trust (Choice Properties). The Weston Foods operating segment includes a fresh bakery business in Canada, and frozen, artisan style bakery and biscuit businesses throughout North America. Wordpress Hashcash needs javascript to work, but your browser has javascript disabled. Your comment will be placed in moderation! Your aggregate position in this market will be margined in the following tiers: Please note: we have tried to ensure that the information here is as accurate as possible, but it is intended for guidance only and any errors will not be binding on us. Settlement DFBs settle on the Last Dealing Day at the closing market bid/offer price of the share, plus or minus half the IG spread. It’s free to open an account, takes less than five minutes, and there’s no obligation to fund or trade. Plus news and opinion from our expert analysts With trading opportunities 24 hours a day Seamless functionality with our multi-device platform Get 100+ technical indicators, plus price alerts on the move It’s free to open an account, takes less than five minutes, and there’s no obligation to fund or trade. Our charges are clear and transparent, so you’ll always know what fees to expect. Use integrated IG charts and access Autochartist packages. Get fast, reliable execution and the best available prices. **Spread bets and CFDs are leveraged products and can result in losses that exceed deposits. The value of shares, ETFs and ETCs bought through a share dealing account, a stocks and shares ISA or a SIPP can fall as well as rise, which could mean getting back less than you originally put in. Please ensure you fully understand the risks and take care to manage your exposure.** The information on this site is not directed at residents of the United States, Belgium or any particular country outside the UK and is not intended for distribution to, or use by, any person in any country or jurisdiction where such distribution or use would be contrary to local law or regulation. Complete the form below to receive the latest headlines and analysts' recommendationsfor George Weston Limited with our free daily email newsletter: George Weston Limited is a holding company engaged in food processing and distribution business. The Company, through its two operating segments, Weston Foods and Loblaw, holds cash, short-term investments and a direct investment in Choice Properties Real Estate Investment Trust (Choice Properties). The Weston Foods operating segment includes a fresh bakery business in Canada, and frozen, artisan style bakery and biscuit businesses throughout North America. Complete the form below to receive the latest headlines and analysts' recommendationsfor George Weston Limited with our free daily email newsletter: George Weston Limited is a holding company engaged in food processing and distribution business. The Company, through its two operating segments, Weston Foods and Loblaw, holds cash, short-term investments and a direct investment in Choice Properties Real Estate Investment Trust (Choice Properties). The Weston Foods operating segment includes a fresh bakery business in Canada, and frozen, artisan style bakery and biscuit businesses throughout North America. The Canadian Press Published Thursday, January 19, 2017 7:58AM EST Last Updated Thursday, January 19, 2017 11:40AM EST Luc Mongeau has been appointed president of Weston Foods, one of Canada's largest bakery companies. Sarah Davis, who was chief administrative officer at Loblaw, will become president at the business. Paviter Binning, who had been CEO of George 1. Maybe you would like to learn more about one of these? At the heart of the philosophy of Post Analyst – news coverage on the principles of the highest quality standards. During its more than 20-year history, the company has established itself as a reliable and responsible supplier of business news and market analysis. Key employees of our company are professionals in the field of business, finance and stock markets. On our site you can always find daily updated business news from around the world. Stock News Journal was founded in 1997 as an idea in January 1998 as a company. Our first objective is to provide latest financial information in simple words, to make it understandable to everyone. The second is to provide knowledge and training items, to ensure that our visitors over time have the largest number of cognitive tools to consciously decide how to invest their savings. Stock News Journal was founded in 1997 as an idea in January 1998 as a company. Our first objective is to provide latest financial information in simple words, to make it understandable to everyone. The second is to provide knowledge and training items, to ensure that our visitors over time have the largest number of cognitive tools to consciously decide how to invest their savings. * IBD Screen Center Access six valuable screens that show you top stocks in different categories. * My Stock Lists Get customized stock lists to track your portfolio, watch lists and more! Investor's Business Daily provides exclusive stock lists, investing data, stock market research, education and the latest financial and business news to help investors make more money in the stock market. All of IBD's products and features are based on the CAN SLIM® Investing System developed by IBD's Founder William J. O'Neil, who identified the seven common characteristics that winning stocks display before making huge price gains. Each letter of CAN SLIM represents one of those traits. © 2017 MarketSmith, Incorporated. Charts provided by MarketSmith are used by IBD under license agreement. MarketSmith is a registered trademark of MarketSmith, Incorporated. It looks like nothing was found at this location. Maybe try a search? © Copyright 2017: Lombardi Publishing Corporation. All rights reserved. No part of this document may be used or reproduced in any manner or means, including print, electronic, mechanical, or by any information storage and retrieval system whatsoever, without written permission from the copyright holder. Dear Reader: There is no magic formula to getting rich. Success in investment vehicles with the best prospects for price appreciation can only be achieved through proper and rigorous research and analysis. We are 100% independent in that we are not affiliated with any bank or brokerage house. Information contained herein, while believed to be correct, is not guaranteed as accurate. 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Enter your email address below to get the latest news and analysts' ratings for Gilead Sciences with our FREE daily email newslette You are being directed to ZacksTrade, a division of LBMZ Securities and licensed broker-dealer. ZacksTrade and Zacks.com are separate companies. The web link between the two companies is not a solicitation or offer to invest in a particular security or type of security. ZacksTrade does not endorse or adopt any particular investment strategy, any analyst opinion/rating/report or any approach to evaluating indiv idual securities. Copyright 2017 Zacks Investment Research At the center of everything we do is a strong commitment to independent research and sharing its profitable discoveries with investors. This dedication to giving investors a trading advantage led to the creation of our proven Zacks Rank stock-rating system. Since 1988 it has more than doubled the S&P; 500 with an average gain of +25% per year. These returns cover a period from 1988-2016 and were examined and attested by Baker Tilly Virchow Krause, LLP, an independent accounting firm. Zacks Rank stock-rating system returns are computed monthly based on the beginning of the month and end of the month Zacks Rank stock prices plus any dividends received during that particular month. A simple, equally-weighted average return of all Zacks Rank stocks is calculated to determine the monthly return. The monthly returns are then compounded to arrive at the annual return. Only Zacks Rank stocks included in Zacks hypothetical portfolios at the beginning of each month are included in the return calculations. Zack Ranks stocks can, and often do, change throughout the month. Certain Zacks Rank stocks for which no month-end price was available, pricing information was not collected, or for certain other reasons have been excluded from these return calculations. Additionally, a 404 Not Found error was encountered while trying to use an ErrorDocument to handle the request. * ASHTEAD: British industrial equipment hire group Ashtead Group Plc launched a share buyback programme and hiked its annual results forecast, helped by hurricane clear-up activity in the United States. * BHP: Samarco Mineração SA, a joint venture between Brazilian miner Vale and Anglo-Australian BHP Billiton , on Monday received two waste system permits in a small step toward resuming operations halted after a November 2015 tailings mine dam collapsed, killing 19 people. * The UK blue chip index closed 0.7 points higher on Monday, as a weaker pound, rising oil prices and growing confidence in the financial sector helped pushed British shares higher and well ahead of their European peers. * Domestic Oppression and Human Rights Violations Complete the form below to receive the latest headlines and analysts' recommendationsfor Glencore with our free daily email newsletter: Glencore plc is an integrated producer and marketer of commodities, such as metals and minerals, energy products, agricultural products and Corporate and other. The Metals and minerals segment is engaged in copper, zinc/lead, nickel, ferroalloys, alumina/aluminum and iron ore production and marketing. Complete the form below to receive the latest headlines and analysts' recommendationsfor General Electric with our free daily email newsletter: Funds offer an easy and convenient way to invest; popular with novice and experienced investors alike. Our free resources can give you the confidence you need to make the most of your money. The selling price currently displayed is higher than the buying price. This can occur temporarily for a variety of reasons; shortly before the market opens, after the market closes or because of extraordinary price volatility during the trading day. Recent dividends paid or declared by Glencore plc: This is not a recommendation, it represents the consensus view of a basket of brokers. If fewer than 5 brokers it may not be a valid consensus. HL might not concur and takes no responsibility. The London Stock Exchange does not disclose whether a trade is a buy or a sell so this data is estimated based on the trade price Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: [TRADE IDEAS REVIEW – IS THIS THE BEST STOCK SCANNER? Trade Ideas is arguably one of the top scanning tools available on the market right Trade Ideas Pro helps traders find the best setups in the market right NOW Scottrade and E*TRADE license Trade Ideas proprietary technology for their premium trading platforms. We have fully automated trading available through Lightspeed and Interactive Brokers. Get the Next Big Winner in your inbox Before the Bell Stock News Journal was founded in 1997 as an idea in January 1998 as a company. Our first objective is to provide latest financial information in simple words, to make it understandable to everyone. The second is to provide knowledge and training items, to ensure that our visitors over time have the largest number of cognitive tools to consciously decide how to invest their savings. And why shouldn't it be? GS stock and the broader financial sector are a touch overbought following such a large gain and therefore deserving of a pause. This morning's slide in GS is confirming yesterday's reversal candle and leads me to believe we could be in for some choppy sideways action for a spell. At the same time, demand for Goldman stock options is running hot. Its implied volatility rank recently lifted to 44% which is one of the highest readings seen this year. And that means option sellers are being paid handsomely for their wares. A neutral outlook and higher implied volatility create an attractive opportunity for selling an iron condor. This strategy involves entering a bull put and a bear call spread simultaneously with the hope that the underlying remains in a range. 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Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Subscribe to receive links to Goldman Sachs financial information by email. The Board of Directors and management of Goldman Sachs have long recognized the importance of corporate governance practices that help ensure an environment of effective oversight and strong accountability. As one of our key Business Principles states: “Our assets are our people, capital and reputation, and if any of these is ever diminished, the last is the most difficult to restore.” View our proxy materials for our Annual Meeting of Shareholders which was held on April 28, 2017. At Goldman Sachs, we view our debt investors, preferred shareholders, bank creditors and counterparties as critical stakeholders in the firm. We are committed to providing information and further improving our relationships with each of our important constituents. 200 West Street, 29th Floor New York, NY 10282 For all other inquiries Computershare Shareowner Services LLC We provide a wide range of financial services to a substantial and diversified client base that includes corporations, financial institutions, governments and individuals. Founded in 1869, the firm is headquartered in New York and maintains offices in all major financial centers a the entire wiki with video and photo galleries find something interesting to watch in seconds Industry | real estate, property development, construction, property investment, real estate financing Founded | 1992 Headquarters | Shanghai, China Area served 1\. [Ticker symbol](/wiki/Ticker_symbol) – A ticker symbol or stock symbol is an abbreviation used to uniquely identify publicly traded shares of a particular stock on a particular stock market. A stock symbol may consist of letters, numbers or a combination of both, ticker symbol refers to the symbols that were printed on the ticker tape of a ticker tape machine. Stock symbols are unique identifiers assigned to each security traded on a particular market, for example, AAPL is for Apple Inc. OODH is for Orion DHC, Inc. and HD is for Home Depot, a stock symbol can consist of letters, numbers, or a combination of both, and is a way to uniquely identify that stock. The symbols were kept as short as possible to reduce the number of characters that had to be printed on the ticker tape, the allocation of symbols and formatting convention is specific to each stock exchange. In the US, for example, stock tickers are typically between 1 and 4 letters and represent the name where possible. In Europe, most exchanges use three-letter codes, for example Dutch consumer goods company Unilever traded on the Amsterdam Euronext exchange has the symbol UNA, while in Asia, numbers are often used as stock tickers to avoid issues for international investors when using non-Latin scripts. For example, the bank HSBCs stock traded on the Hong Kong Stock Exchange has the ticker symbol 0005, symbols sometimes change to reflect mergers. Prior to the 1999 merger with Mobil Oil, Exxon used a spelling of the company XON as its ticker symbol. The symbol of the firm after the merger was XOM, symbols are sometimes reused, in the US the single-letter symbols are particularly sought after as vanity symbols. For example, since Mar 2008 Visa Inc. has used the symbol V that had previously used by Vivendi which had delisted. To fully qualify a stock, both the ticker and the exchange or country of listing needs to be known, on many systems both must be specified to uniquely identify the security. This is often done by appending the location or exchange code to the ticker, although stock tickers identify a security, they are exchange dependent, generally limited to stocks and can change. These limitations have led to the development of other codes in financial markets to identify securities for settlement purposes, the most prevalent of these is the International Securities Identifying Number. An ISIN uniquely identifies a security and its structure is defined in ISO6166, Securities for which ISINs are issued include bonds, commercial paper, stocks, and warrants. The ISIN identifies the security, not the exchange on which it trades, for instance, Daimler AG stock trades on twenty-two different stock exchanges worldwide, and is priced in five different currencies, it has the same ISIN on each, though not the same ticker symbol. ISIN cannot specify a particular trade in this case, and another identifier, following the introduction of the Sequence trading platform in 1996, EPICs were renamed Tradable Instrument Display Mnemonics, but they are still widely referred to as EPICs. Stocks can also be identified using their SEDOL number or their ISIN, in the United States, modern letter-only ticker symbols were developed by Standard & Poors to bring a national standard to investing 2\. [Shanghai Stock Exchange](/wiki/Shanghai_Stock_Exchange) – The Shanghai Stock Exchange, is a stock exchange that is based in the city of Shanghai, China. It is one of the two stock exchanges operating independently in the Peoples Republic of China, the other being the Shenzhen Stock Exchange. Shanghai Stock Exchange is the worlds 5th largest stock market by market capitalization at US$3.5 trillion as of February 2016, the current exchange wa * Yes, I would like to receive the Legal Suite newsletter This field is for validation purposes and should be left unchanged. It looks like nothing was found at this location. Maybe try one of the links below or a search? 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Faithful to its status as a cooperative banking institution, the Group accompanies its customers in the realization of their different projects and develops long- lasting relationships with them, thereby contributing 20% to the drive to finance the French economy. More and more range of products and services bring new requirements for network infrastructure; therefore, BPCE has to accelerate their digital transformation. This time, BPCE has decided to renew their branch n Additionally, a 404 Not Found error was encountered while trying to use an ErrorDocument to handle the request. Click a content type to see the kinds of filters available within it. Most filters have many criteria you can choose from, which change depending on your search term. You can search Yahoo sites like Sports, Finance, Shopping, Autos, and more, for Yahoo originals and content and results we've curated from around the Web. Choose between listings and articles on Yahoo Autos. 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Company ReviewsInterview QuestionsCompany Overview Lubricant Basic Info was last modified: November 6th, 2017 by Kixx Australia PC Mobile Decimal Fract Alert me to websites indicated as potentially harmful. This is a single user license, allowing one specific user access to the product. The report will be emailed to you. The report is sent in Excel file format. * > The Research and Markets’ customer support team provided me with timely and immediate responses and delivered exactly the information that I was looking for – great job. Thank you very much. I would recommend them to anybody who is looking for market research data. * > Great customer service and super responsive. I was having issues with my payment method but Claire in customer service was super responsive to help several times until the issue was entirely resolved. Great job * > The team at Research and Markets are first rate. 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This report presents you with enough key data you may be concerned about, such as production, sales, inventory, import and export as well as market share and investment in China. You can find the detailed data based on a monthly basis by product type, manufacturers, and region, etc. Also new energy vehicles, energy efficient vehicles and second- hand vehicles market data and information are covered in it. The biggest highlight is that all the data in its original status is presented in Excel format for your convenient use. The report allows you to study China’s Automobile market for automobile manufacturers, upstream and downstream companies, investment companies and consulting agencies. The data comes from first-hand data which is monitored for some years, China Association of Automobile Manufacturers, Industrial and Commercial Bureau, Tax Bureau, National Statistics Bureau, Automobile Manufacturers and Automobile Resellers. 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While we attempt to pinpoint how this happened, please use the essay search engine below to search over 100 essays on Brainia.com Select the product you need help with and find a solution Account Answers Aviate Celebrity Digital Magazines Extensions Finance Flickr Groups Homepage Mail Messenger Mobile Movies Music My Yahoo News Newsroom Postmaster Search Shopping Smart Contacts Sports Subscription Services TV Weather Yahoo View BrightRoll DSP Business Email Commerce Central Domains Merchant Solutions Small Business Stores Web Hosting Search app for Android Search app for iOS Search for Desktop Search for mobile Web Learn what SafeSearch is and how to adjust its settings. Learn Alert me to websites indicated as potentially harmful. Hanwha Q CELLS Co. Company Profile Hanwha Q CELLS Co, Ltd., formerly Hanwha SolarOne Co, Ltd., is a global solar energy company engaged in the manufacturing of solar modules, and the development and management of downstream solar farms. It manufactures a range of photo voltaic (PV) cells and PV modules at its manufacturing facilities in China and Malaysia using manufacturing process technologies, including those developed at its research and development facilities in Germany. Name or partial nameCountryAll countriesArgentinaAustraliaBelgiumBrazilCanadaCayman IslandsChileChinaCzech RepublicDenmarkFinlandFranceGermanyGreeceGuernseyHong KongHungaryIcelandIndiaIndonesiaIrelandIsle of ManIsraelItalyJapanMalaysiaMexicoNetherlandsNew ZealandNorwayPolandPortugalRussiaSingaporeSouth AfricaSouth KoreaSpainSwedenSwitzerlandTaiwanThailandTurkeyUnited Arab EmiratesUnited KingdomUnited StatesSecurity typeAll typesEquitiesETFsFundsIndicesSearch All content on FT.com is for your general information and use only and is not intended to address your particular requirements. 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Chairman of the Board & Secretary of the Party, China International Energy Sources Group Co, Ltd President of China Huayang Economic and Trade Group Co., Ltd. and Vice Chairman of China Chamber of International Commerce European Investment Bank Representative to China and Mongolia Extraordinary State Councillor for the Council of State, Netherlands; former CEO, APG Group Former Director General, European Affairs Department, MOFCOM Vice President and Chief Representative, BASF China CEO, Duferco International Trading Holdings Chief Executive Officer, US-China Clean Energy Forum Chairman, Cavendish Group, Vice Chairman NIBC Bank, and Chairman Hemingway Corporate Finance Secretary General, The Global Foundation Investor Relations, Asia Idinvest Partners Director of French Department, Peking University Director General of Department of 21st-century Maritime Silk Road Coordinated Promotion Chief Foreign Affair and Business Desk Correspondent, Ta Kung Pao Daily Deputy Director General of International Cooperation Department, SGCC (State Grid Corporation of China ) Vice President The Investment Consulting Special Committee of IAC Looks like this page is missing. Choose one of the links below and get back to planning your vacation. HBIS, formed from the combination of former Tangsteel Group Ltd and Hansteel Group Ltd on June 30, 2008, is a major steel producer in China. HBIS joined WorldAutoSteel officially as of 1 January 2016. “We are pleased to welcome HBIS to our team of steel engineering experts whose focus is addressing vehicle application of the most technologically advanced steels in the world, Advanced High-Strength Steels,” said Cees ten Broek, Director, WorldAutoSteel. “With members comprising some of the largest steel manufacturers globally, WorldAutoSteel represents the strength of the steel industry’s commitment to pre-competitive research and development in this unprecedented global partnership.” Through its global partnerships, WorldAutoSteel combines existing best practice as well as the latest and future in automotive steel development around the world to help customers solve the demands for safer, lighter vehicles that lower emissions and are affordable to manufacture. This is made possible through the support and intellectual inputs of all its members to create the broadest knowledge base and intellectual insight. Will Electric Cars Take Us Back to the Future? Electric vehicles are poised to dominate global markets in the next few decades. What impact will they have on how we live our lives? Creative Capital Delivers Future of eCommerce To meet the rising demands of online shopping and the internet economy, XPO Logistics tapped Morgan Stanley for ways to finance its global growth. As the firm marks its key anniversaries in Paris, London and Frankfurt, CEO James Gorman and President Colm Kelleher look back over the past 50 years. We're sorry, but the Web page you requested was not found. If you arrived here by following a link from another website, please notify the webmaster of that site. Sign up to get Morgan Stanley Ideas delivered to your inbox. Would you like to help us improve our coverage of topics that might interest you? Tell us about yourself. Technology Economic Trends Industry Trends Emerging Markets Investment Strategies Investor Financial Professional Journalist Student Other Th Complete the form below to receive the latest headlines and analysts' recommendationsfor HCA with our free daily email newsletter: HCA Healthcare, Inc, formerly HCA Holdings, Inc, is a holding company. The Company, through its subsidiaries, owns and operates hospitals and related healthcare entities. As of December 31, 2016, the Company operated in two geographically organized groups, including the National and American Groups. As of December 31, 2016, the National Group included 84 hospitals, which were located in Alaska, California, Florida, southern Georgia, Idaho, Indiana, northern Kentucky, Nevada, New Hampshire, South Carolina, Utah and Virginia. Complete the form below to receive the latest headlines and analysts' recommendationsfor HCA with our free daily email newsletter: HCA Healthcare, Inc, formerly HCA Holdings, Inc, is a holding company. The Company, through its subsidiaries, owns and operates hospitals and related healthcare entities. As of December 31, 2016, the Company operated in two geographically organized groups, including the National and American Groups. As of December 31, 2016, the National Group included 84 hospitals, which were located in Alaska, California, Florida, southern Georgia, Idaho, Indiana, northern Kentucky, Nevada, New Hampshire, South Carolina, Utah and Virginia. You are banned from this site. Please contact via a different client configuration if you believe that this is a mistake. Individual Investor Business Executive Wirehouse Financial Advisor RIA Institutional Investor Continental Gold Inc., together with its subsidiaries, acquires, explores for, evaluates, and develops gold resource properties in Colombia. The company has market cap of $587.24 million. It holds the rights to develop and explore 1 advanced-stage gold project, as well as explore 3 early-stage projects in Colombia covering an area of approximately 76,870 hectares. It currently has negative earnings. The companyÂ’s flagship project is the Buriticá project comprising 24 concessions covering an area of 29,812 hectares and 42 concession applications totaling an area of 40,153 hectares located to the northwest of Medellín in the Antioquia Department in north-western Colombia. Enter your email address below to get the latest news and analysts' ratings for your stocks with our FREE daily email newsletter: [Business DirectoryInformation on every company and professional organization MarketBeat empowers retail investors to make better trading decisions by providing real-time financial data and objective market analysis. Whether you’re looking for analyst ratings, corporate buybacks, dividends, earnings, economic reports, insider trades, IPOs, SEC filings or stock splits, MarketBeat has the objective information you need to analyze any stock. Get analysts' upgrades, downgrades and new coverage delivered to your email inbox with our free daily newsletter: Backlinks from other websites and blogs are the lifeblood of our site and are our primary source of new traffic. If you use our historical data on your site or blog, we ask that you provide attribution via a "dofollow" link back to this page. 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We have provided a few examples below that you can copy and paste to your site: Name or partial nameCountryAll countriesArgentinaAustraliaBelgiumBrazilCanadaCayman IslandsChileChinaCzech RepublicDenmarkFinlandFranceGermanyGreeceGuernseyHong KongHungaryIcelandIndiaIndonesiaIrelandIsle of ManIsraelItalyJapanMalaysiaMexicoNetherlandsNew ZealandNorwayPolandPortugalRussiaSingaporeSouth AfricaSouth KoreaSpainSwedenSwitzerlandTaiwanThailandTurkeyUnited Arab EmiratesUnited KingdomUnited StatesSecurity typeAll typesEquitiesE Rory Ronan and the nine-member team responsible for the Trimark Diversified Income Class have a bottom-up investment style that focuses more on fundamentals than the macro-economic situation. However, while they do expect the economy to be sluggish for some time to come, that doesn't mean they are rushing into defensive names. The fund's lead manager and his team look for companies with strong moats or competitive advantages that will be sustainable over a long period of time. They also spend a lot of time thinking about what could go wrong with a business or what could change. Ronan highlights the focus on companies that generate a lot of free cash flow, are able to grow their dividends, and have excess cash to reinvest in the business or make acquisitions. He places a big emphasis on balance sheets and return on invested capital throughout the economic cycle. Ronan aims to keep the portfolio very well diversified across sectors, which is accomplished by going outside of Canada for exposure to technology, health care and consumer staples. The 30% limit for foreign names is roughly split between the United States and Europe. Ronan is seeing opportunities almost across the board on a sector basis -- some in more traditionally defensive areas and some in more cyclical sectors. **Why do you like it?** As one of the big three global beer brewers, Heineken has a strong franchise in Europe. It is also a very good way to get exposure to emerging markets, Ronan notes, highlighting its dominant presence in Nigeria and recent acquisition of Mexico 's FEMSA. "Beer companies generate a lot of free cash flow, they have high returns on invested capital, the ability to pay out nice dividends and grow them over time, and they are pretty stable businesses," the manager says. He highlights significant opportunities for Heineken in the next couple of years, including lowering its cost base in Europe and integrating recent acquisitions. Get the latest news in your mailbox as it happens Calculate your monthly mortgage payments Compare payments and other costs associated with getting a new mortgage Begin the process of finding out how much you can borrow See how much you have left to save and where your money is being spent See how much your investment savings could be worth What will it take to help reach your savings goals Compare currencies from across the globe Calculate what it will take you to save one million dollars Claudia Cattaneo: There’s plenty on the horizon to suggest the energy transition is going sideways American corporate taxes, among the highest in the world, are being cut to Canada’s lower rates The problem can be remedied by simply replacing the phone's battery The government's proposed “income sprinkling” rules are not the most complex in the history of Canadian tax, but they are among the most absurd You must verify your email address before signing in. 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And we are not related to any other website According to CRI, characterized by high energy costs and mass pollution, the rubber industry faces upgrading of industrial structure in coming years. On August 7, 2016, Ministry of Industry and Information Technology of the People's Republic of China and Ministry of Finance jointly issued the Action Plan on Reduction of Volatile Organic Compounds (VOC) in Key Industries. The tire industry and the shoemaking industry were the focused industries to reduce VOCs. It was regulated that in 2018, green products with low VOCs or non-VOCs would take up over 40% of total tire production. In order to cope with industrial upgrading and international trade barriers, China has initiated the shift of the tire industry to Southeast Asia. In general, given the advantages of cost and industry chains and strong domestic demand, the tire industry in China will continue to grow in the next few years. The report is composed of two parts: the first part is enterprise profiles and the second part is the operation status of these enterprises in the recent decade (presently 2006 to 2016, we will update it to the latest as time goes by). TPP to negatively impact Brazil agriculture: official Business operators in China optimistic about six industries in 2016-2020 B&R oil gas cooperation to focus on six fields, key projects to initiate China likely to unveil soil pollution prevention action plan in 2016 Energy Materials Manufacturing Consumer Products and Services Health CareFinance TechnologyUtilities Real Estate Stocks Bonds Currencies Futures Commodities SH-HK Stock Connect ###### All financial data and news content of this website is of a general nature, is intended as a source of general information only and is not intended to constitute a recommendation or opinion in relation to any investment decision. 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Get access to exclusive reports by answering the questions below. \-- Please Select United Kingdom France Afghanistan Albania Algeria American Samoa Andorra Angola Anguilla Antigua and Barbuda Argentina Armenia Aruba Australia Austria Azerbaijan Bahamas Bahrain Bangladesh Barbados Belarus Belgium Belize Benin Bermuda Bhutan Bolivia Bosnia and Herzegovina Botswana Brazil British Virgin Islands Brunei Darussalam Bulgaria Burkina Faso Burundi Cambodia Cameroon Canada Cape Verde Cayman Islands Central African Republic Chad Chile China Chinese Taipei Colombia Comoros Congo Costa Rica Cote d'Ivoire Croatia Cuba Curacao Cyprus Czech Republic Democratic Republic of the Congo Denmark Djibouti Dominican Republic Ecuador Egypt El Salvador Equatorial Guinea Eritrea Estonia Ethiopia Falkland Islands Faroe Islan Copyright © 2016 Quadriga Media Berlin GmbH Consumer goods market is an ever growing industry. This industry is evolving with time and with better technology and innovation there are new and advanced products coming to the market. Bharat book o.. Bharat book presents comprehensive market analysis and research reports on energy and utilities industry. Energy and utility market deals with various types of energy sources which are available aroun.. Food and Beverage Market is the most thriving industry in the world. This market is not only growing rapidly but with technological advancement food and beverage industry is forming new and better pro.. Industry and manufacturing most of the time goes hand in hand. An establishment or unit bringing in any kind of raw material and producing them into finished products with help of power driven machine.. Life sciences is a subject that studies the field of science which involves the scientific examination of living organisms such as microorganisms, plants, animals, and human beings, as well as related.. The service industry is a compilation of sectors wherein companies or institutions are rendering services to the consumers in profiteering or non profiteering basis. This ranges from transportation, p.. With the eve of the new millennium, technology and media has become an integral part of any business house. It has become a tool for the growth and development of any business. With the revolution in .. Additionally, a 404 Not Found error was encountered while trying to use an ErrorDocument to handle the request. Sue Mortifoglio, Marketing Communications Manager Heraeus Holding Gmbh specializes in medical products. Our medical products include pacemaker components, hypotubes, X-ray components, surgical instrumentation, guide wires, pins, steerable instrument, coatings, core wires, strips, rods, and micro components. Our surgical instruments are used in arthroscopic surgery, endoscopy, endourology, fracture management, and bone fixation applications. We also provide biopsy devices, catheters, cutting forceps and drill guides. | DER TECHNOLOGIE PRESSESERVICE FÜR JOURNALISTEN UND MEINUNGSMACHER Head Office Heraeusstrasse 12-14 63450 Hanau, Germany Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. Heraeus Holding GmbH operate as a holding company. The Company, through its subsidiaries, produces precious metals, materials and technologies, sensors, biomaterials, and medical products, as well as dental, quartz glass, and specialty light sources. Heraeus Holding operates worldwide. Eine Hypnotic Instant Induction bedeutet hypnotisieren in sekundenschnelle. Instant Inductions und Rapid Inductions sind erlernbar instant-induction.de Instant Inductions Rapid Wer hier memothek.de Click Annoncenmarkt Nixwiehin Suchportal HostedNotes ist ein managed EMailService auf der Basis von Lotus Notes/Domino der activelink GmbH aus hostednotes.de Hosting Hosted Notes Wer hier homepageclick.de Click Annoncenmarkt Nixwiehin Suchportal Wer hier shoppingclick.de Click Annoncenmarkt Nixwiehin Suchportal iceSite: professional websites with integrated content editor Die BusinessWebsite die Sie selber ndern icesite.de IceSite Content Management System WELDING PEAK welding tables high precision smartest price MANUFACTURED IN GERMANY | weldingpeak.de Welding Peak WELDING PEAK Wer hier contactinternet.de Click Clickmarkt Suchportal Mobile Messe Prsentations systeme Roll Up Banner Faltdisplays Theke Display Rollup Werbe theke LPF Grafik designgalaxy.de Display Rollup Faltdisplay Werbetheke LFP Mobile Messe Prsentations systeme Roll Up Banner Faltdisplays Theke Display Rollup Werbe theke L Serving the 21st Century Design Engineer ABB and Hewlett Packard have created a service the combines OT and IT technology. One is mainly technical: Industrial plants often have a great number of different OT systems and different interfaces in their networks, creating high volumes of diverse data, and putting high demands on data acquisition, analytics engines, and networks. This requires specifically designed IT systems which firstly integrate OT and IT functions like data acquisition, analytics, and control based on standard IT technology; and secondly are optimized to run at the edge, i.e. close to the industrial equipment, to deliver the required speed, security and reliability which is required by OT systems. Because transferring the sensor data to remote data centers or clouds costs too much time (latency), is too unsecure and unreliable – and there is simply not enough bandwidth to do that. Another main reason why many industrial customers don’t capture the value of their industrial data is a lack of combined OT/IT expertise. We recently did a survey among 350 managers in industrial companies where we asked what the biggest obstacles are for being successful with Industrial IoT. And most managers ranked “lack of qualified staff” as their number one obstacle. This is because converged OT/IT solutions require new technology architectures, new processes, new management procedures for which many companies don’t have the skills yet. Solving those two problems – with regards to technology and expertise – is exactly the rationale of the ABB/HPE partnership. Two of the leading OT and IT companies join forces to create the technology solutions and provide the expertise required to capture the value of industrial data and create intelligent plants to drive efficiency, flexibility, and innovation. For example, an oil and gas company might want to deploy an ABB Ability condition monitoring solution on an IT system which is running in a secure edge datacenter on an oil rig in order to be able to analyze more and richer datasets to increase the accuracy and reliability of predictions. But at the same time, that customer has to transfer selected analysis results to his core data center or the cloud to enable intelligent planning of on-site maintenance schedules across several oil rigs. Hybrid IT platforms enable that choice, but also enable the consistency of applications and data across locations. Designing, implementing and servicing such solutions is a joint approach of ABB and HPE as it requires domain expertise both on the vertical OT side and the IT side. These systems are designed to run the complete circuit of data acquisition, analysis and control without involving remote datacenters or clouds – avoiding the latency, security and reliability problems involved with data communications to/from remote locations. The other meaning of secure is the protection of the data center against environmental influences like humidity, dust, or fire; and against failure of power or cooling systems. E.g. the secure edge data center features uninterruptible power supply and high redundancy for a fail-safe power supply of the rack; early fire detection including smoke extraction system; and automated extinguishing of fire in the IT rack. Finally, secure means the IT security which comes with the embedded HPE systems, this can include Firmware protection, proactive network access control including policy management, device discovery and closed-loop, policy- based attack response; and behavioral analytics. Comments will not function properly without Javascript enabled. The Continuing Education Center offers engineers an entirely new way to get the education they need to formulate next-generation solutions. Now you can earn IEEE Professional Development Hours by attending CEC courses. Need to take some weight off? With some circuitry know-how, a magnet, and a Hall Effect sensor you can build you own electromagnetic levitation devic We could not find the page that you have requested. You can switch off notifications anytime using browser settings. Select Portfolio and Asset Combination for Display on Market Band # Sensex, Nifty fall most in 6 weeks as oil rally stokes inflation fears Choose your reason below and click on the Report button. This will alert our moderators to take action Foul languageSlanderousInciting hatred against a certain communityOthers HPCL is the first Indian oil company to have started marketing lubes in Myanmar and has chosen commercial hubs of Yangon and Mandalay. India is pushing for supplying fuel to Myanmar to meet rising demand. Following the lifting of sanctions, Myanmar is looking at foreign companies to cater to fuel and infrastructure requirements arising out of a dramatic surge in consumption. Its three ageing state-owned refineries with a combined capacity of around 2.5 million tonnes are running substantially below capacity and are able to meet only a part of the fuel requirement. Indian oil companies see an opportunity in this and have been exploring supply of petroleum products, LPG, wax and petrochemicals. Oil Minister Dharmendra Pradhan in late February visited Myanmar to explore opportunities there to supply refined oil products as well as highlight interest of Indian upstream companies to take part in the forthcoming bidding in Myanmar's oil and gas blocks. ANZ ADI ARD SortUpVotedNewestOldestDiscussedDown Voted We have sent you a verification email. To verify, just follow the link in the message The requested document was not found on this server. Access to case studies expires six months after purchase date. Hindustan Petroleum (HPCL), confronted in 2003 with an urgent need to change how it operated externally, adopted a highly innovative approach to communicating internally. This case, set in 2010, presents an overview of the new, more interactive model of employee communication that HPCL introduced as part of its effort to adapt to increased market competition during the early 21st century. (HPCL, previously a wholly state-owned company within a state- controlled industry, had begun to operate in an increasingly privatized environment.) At the center of the new model was a series of "vision workshops"--structured conversations in which employees at all levels of the company took part in developing strategic and organizational visions for their regional offices, for their business units, and for the company as a whole. The case also discusses HPCL's use of digital technology to enhance employee communication; its leaders' increased emphasis on direct, "one-to-one" interaction with employees; and some of the consequences (both external and internal) of this more conversational model of organizational communication. As of 2010, HPCL was a Fortune Global 500 company, with more than 11,000 employees and with annual revenues of more than $23 billion. The question that company leaders now faced was whether HPCL's novel approaches to communicating with employees were appropriate to its next stage of internal development and external growth. Summaries and excerpts of the latest books, special offers, and more from Harvard Business Review Press. Note: Quantity pricing discounts will be reflected at Checkout, prior to submitting your order. If you need to make additional copies to distribute, please purchase copyright permission. Note: Some of our products are available in other languages besides English, for example a “Spanish PDF” format means you will receive a PDF in the Spanish language. A security code is added protection against credit card fraud. It is a 3 or 4 digit number appearing on the front or back of your credit card. See examples below. If you have a promotion code, please enter it below. This promotion code field is case sensitive so please type all capital letters. Fuel retailers Indian Oil , HPCL and Bharat Petroleum are expanding network of liquified petroleum gas (LPG) dealerships by appointing m Due to regulatory restrictions regarding the distribution of financial research, this report is restricted to a specific region or investor type. 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SELECT YOUR LOCATION TO FIND GREAT DEALS SELECT YOUR LOCATION TO FIND GREAT DEALS SELECT YOUR LOCATION TO FIND GREAT DEALS CANADABromont, QuebecCookstown, OntarioOttawa, OntarioSaint-Sauveur, QuebecUNITED STATESAtlantic City, New JerseyBlowing Rock, North CarolinaBranson, MissouriCharleston, South CarolinaColumbus, OhioCommerce, GeorgiaDaytona Beach, FloridaDeer Park, New YorkFoley, AlabamaFort Worth, TexasFoxwoods/Mashantucket, ConnecticutGonzales, LouisianaGrand Rapids, MichiganHershey, PennsylvaniaHilton Head, South CarolinaHouston, TexasHowell, MichiganJeffersonville, OhioLancaster, PennsylvaniaLocust Grove, GeorgiaMebane, North CarolinaMyrtle Beach - Hwy 17, South CarolinaMyrtle Beach - Hwy 501, South CarolinaNags Head, North CarolinaNational Harbor/Washington DCOcean City, MarylandPark City, UtahPhoenix/Glendale, ArizonaPittsburgh, PennsylvaniaRehoboth Beach, DelawareRiverhead, New YorkSan Marcos, TexasSavannah, GeorgiaSevierville, TennesseeSouthaven, MississippiTerrell, TexasTilton, New HampshireWilliamsburg, Iowa Be the first to know. Sign up for tips, trends and exclusive offers Preferred Center Preferred CenterCANADABromont, QuebecCookstown, OntarioOttawa, OntarioSaint-Sauveur, QuebecUNITED STATESAtlantic City, New JerseyBlowing Rock, North CarolinaBranson, MissouriCharleston, South CarolinaColumbus, OhioCommerce, GeorgiaDaytona Beach, FloridaDeer Park, New YorkFoley, AlabamaFort Worth, TexasFoxwoods/Mashantucket, ConnecticutGonzales The page you were looking for may have been removed. You may have typed the wrong URL in the address bar. Although unlikely, there could have been a technical error on our site. ## Largest capital family controlling seven listed companies is Hainan Province Cihang Foundation launched by HNA Group “Capital family” refers to two or more listed companies controlled by the same actual controller. The largest capital family turns out to be Hainan Province Cihang Foundation launched by HNA Group. Following that is Guo Guangchang, the chairman of Fosun International, who controls five listed firms, while Lu Guanqiu, reportedly the richest person in Zhejiang province, as well as Wang Wenxue, control four publicly listed companies respectively. The report also said that there are another 101 “capital families” that are state-owned and controlled by the central or local State-owned Assets Supervision and Administration Commission. Incorporated in 1996, Hna-Caissa Travel Group Co.,Ltd. is mainly engaged in providing travel and tourism related services locally and internationally. It offers travel, business travel, incentive travel, international cooperation and exchange, international conference and exhibition, air and online services as well as tourism e-commerce services. If you need regular and ongoing access to company information, you should consider a subscription to the full EMIS service. EMIS company profiles are part of a larger information service where that combines company, industry and country data and analysis for over 125 emerging markets on a unique information platform. Enter your email address below to get the latest news and analysts' ratings for your stocks with our FREE daily email newsletter: Abiding by the business theory of “professionalization, high quality, innovation and efficiency”, Hna-Caissa is dedicated to provide the customers with the most trustworthy modern outbound travel service and a new experience of healthy food from the air to the ground. Hna-Caissa is committed to be a modern tourism enterprise of professionalization and efficiency, and the pacemaker of modern tourism. Caissa international travel agency has more than 6000 high-end tourism products at the service of people from more than 100 countries and territories. By inheriting the advanced ideas of the international tourism market and giving full play of its overseas preponderance, Caissa has become a unique business brand of China’s outbound tourism market and a leading outbound tourism service provider in China. It has already established branches in some global core cities, such as London, Paris, Hamburg, Los Angeles, and has more than 30 subsidies in port cities and core business cities in China, such as Beijing, Guangzhou, Shanghai, Chengdu, Shenyang. Many special tourism products it developed have got broad attention of the market. Caissa is also awarded as “the Travel Agency of the Year” by the Travel Magazine and “Consumer Rest Assured Brand of the National Market” by the Consumer Protection Foundation. As the first SKYTRAX five-star food provider in China, one of the largest providers of China’s high-speed rail catering service and the standard setting body of China’s railway catering service industry, Hna-Caissa’s food catering business is equipped with advanced technologies and innovative ideas. Hna-Caissa is proficient at the integrated operation of tourism resources, precise in meeting consumers’ demand and seeking to promote the quality of its services. Relying on Hainan Airlines Group’s resources in airlines, hotels and finance and combined with its own operation experience in airport destination and catering, Caissa’s business mode, in which business relations are closely tied and resources are fully shared, and core competence have taken shape. As the leading integrated service provider in China’s outbound tourism market, we will offer the customers with first-class internationalized servi Complete the form below to receive the latest headlines and analysts' recommendationsfor Home Depot with our free daily email newsletter: Home Depot declared that its Board of Directors has initiated a stock buyback plan on Wednesday, December 6th that authorizes the company to repurchase $15.00 billion in outstanding shares. This repurchase authorization authorizes the home improvement retailer to buy shares of its stock through open market purchases. Stock repurchase plans are generally a sign that the company's leadership believes its stock is undervalued. USA Commerce Daily knows how managing information determines success in the modern world. People who are really looking for information about business, companies and latest stock news – USA Commerce Daily is the right place. USA Commerce Daily does not gather only pleasant news. It covers everything that is really important. This paper still provides own investigations on the high level. Local and International events are given with careful and complete analysis. USA Commerce Daily is here to grab all the latest – hottest news and popular interview and bring them to you in a concise way. # Home Depot and these other Dow stocks are the best bets for December, history shows Buying Home Depot, General Electric, Nike and Goldman Sachs in December has been a good trade, history shows. Below are two charts showcasing the 10 best Dow stocks in December, on average, the last 30 years. To be sure, past performance doesn't equal future results and historical pattern alone is not typically reason enough to buy a stock. The Home Depot was highly electronic on their invoicing, but their back-end dispute resolution process was entirely manual and paper intensive. They manually processed boxes and boxes of paper every day. The high costs associated with paper – imaging, scanning, data entry, mail room costs, duplicates – presented a huge challenge. Stock News Journal was founded in 1997 as an idea in January 1998 as a company. Our first objective is to provide latest financial information in simple words, to make it understandable to everyone. The second is to provide knowledge and training items, to ensure that our visitors over time have the largest number of cognitive tools to consciously decide how to invest their savings. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Have Watchlists? Log in to see them here or sign up to get started. Create a list of the investments you want to track. Visit a quote page and your recently viewed tickers will be displayed here. Home Depot sets new $15 bln stock repurchase program Led by CEO Craig Menear, insider sales of stock surged this year, along with the retailer's stock price. Among the companies with shares expected to trade actively in Friday's session are Amazon.com, Caterpillar, Alexion Pharmaceuticals, 3M, United Continental and American Outdoor. Among the companies with shares expected to trade actively in Wednesday's session are Apple, Alphabet, Home Depot, DaVita and Walgreens Boots Alliance. Ahead of an analyst meeting Wednesday, Home Depot said it would launch a $15 billion share buyback program and pledged to accelerate investments in its business as the retail landscape continues to change. The software maker ranks fourth for employee engagement and development in the Drucker Institute's Management Top 250 ranking. This weekend is the year's busiest for Christmas-tree shopping and some retailers are running out already. A perfect storm of problems, agricultural and economic, has led to a lack of supply of live trees, and prices are soaring as a result. Sayfullo Saipov, who has been accused of killing eight people in a Halloween terrorist attack in lower Manhattan, pleaded not guilty in federal court. As a retailer of pots and pans and other kitchenware, Al Lechter was old- school and his s Honda Motor Co Ltd (ADR) reported earnings per share of 83 cents during its fiscal third quarter of 2017. The automobile company reported earnings per share of 61 cents in the fiscal third quarter of 2016. Analysts were expecting HMC to report earnings per share of 49 cents during the fiscal third quarter of the year. Choose A Page About Us Press Center Resources Advisory Services Free Newsletters Free Reports Contact Us Advertise With Us Employment Privacy Terms and Conditions Disclosures and Disclaimers Media Sites Sitemap Financial Market Data powered by FinancialContent Services, Inc. All rights reserved. Nasdaq quotes delayed at least 15 minutes, all others at least 20 minutes. WARNING: This report was reported by Dispatch Tribunal and is the sole property of of Dispatch Tribunal. If you are reading this story on another publication, it was stolen and republished in violation of US and global copyright & trademark laws. Honda Motor Co., Ltd. develops, makes and markets motorcycles, automobiles and power products across the world. The Company's divisions include Motorcycle Business, Automobile business, Financial services business, and Power product and other businesses. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell # List of Most Stolen Vehicles Led by Honda Accord > While Honda Accords and Civics dominate this annual list, they are older, pre-“smart key” production models. Since the introduction of smart keys and other anti-theft technology, Honda thefts have fallen precipitously. As the list of top 25 most stolen 2016 model year vehicles shows, there were only 493 thefts of Accords last year. > Technology is working, but complacency can defeat it. While thefts are down dramatically since their all-time high in 1992, thousands of vehicles continue to be stolen each year because owners leave their keys or fobs in the vehicles and that invites theft. New age car technology has proven at least one of its advantages. If you are an active reader of our blog, you know that we have discussed the struggles retail companies have faced over the past few years. While the biggest challenge has come from the boom in E-commerce growth, these struggles have occurred for various reasons and have effected many different types of companies. As result, some of the brands that we have become very familiar with may be disappearing in 2017. Here are a few examples: During September of 2014 Yik Yak was the third most downloaded iOS application in the United States. For those unfamiliar, Yik Yak is a message board application that uses location-based information to allow users to post messages anonymously that can be read by other nearby users. Similar to many other social media applications, Yik Yak found its early success on college campuses where users could post about events, important (or not so important news / information), or just general gossip around the school. Although the application once displayed signs of growth, by April 2016 it had fallen outside of the top 1,000 downloaded iOS applications. Further, their chief technology officer left around that time, and in December Yik Yak laid off nearly 60% of its total workforce. There has been no official announcement yet, but the once booming application does not show signs of making a miraculous comeback and at this rate may not make it through 2017. It seems that for some brands 2017 will be a harsh reminder of how competitive markets can be across all lines of business. While some brands seem to find success repeatedly, standing the test of time, many others fall by the wayside and eventually fold under pressure. As an investor, it is important to pay attention to these trends. Staying informed may even lead to triumphant returns in the future, whether it is through taking long positions in thriving companies or short positions in those comin A certain stock price rally by itself may not be sufficient evidence when making important investing decisions. To understand whether buying a stock at a higher price is justified by its long-term return potential, it is necessary to keep the finger on the pulse of underlying fundamentals. Following the latest data may help investors make the tough portfolio decisions. Investors may also want to set personal financial goals to help ensure that they are staying on the proper track. Financial professionals may be debating if global economic growth appears to be in a modest uptrend. This may have investors scrambling to study if developing markets are indeed growing with developed markets. This year could end up being the first year in a while where this has happened. The longer the bull market run, the tougher the investing decisions might be for the stock picker. Advance Auto Parts, Inc. provides automotive replacement parts, accessories, batteries, and maintenance items for domestic and imported cars, vans, sport utility vehicles, and light and heavy duty trucks. The company has market cap of $7.37 billion. The firm offers batteries and battery accessories, belts and hoses, brakes and brake pads, chassis and climate control parts, clutches and drive shafts, engines and engine parts, exhaust systems and parts, hub assemblies, ignition components and wired, radiators and cooling parts, starters and alternators, and steering and alignment parts. It has a 20.94 P/E ratio. It also offers AC chemicals and accessories, air fresheners, antifreeze and washer fluids, electrical wires and fuses, electronics, hand and specialty tools, lighting products, performance parts, sealants, adhesives and compounds, tire repair accessories, vent shades, mirrors and exterior accessories, washes, waxes and cleaning supplies, and wiper blades, as well as floor mats, seat covers, and interior accessories. Enter your email address below to get the latest news and analysts' ratings for your stocks with our FREE daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Your weekly roundup of hot topics in the exciting world of fintech. • The Daily Analysts Ratings email will be received daily between 7am and 10am. • The Market in 5 Minutes email will be received daily between 7am and 8am. • The Fintech Focus email will be received every Friday between 2pm and 5pm. Complete the form below to receive the latest headlines and analysts' recommendationsfor Honeywell International Inc. with our free daily email newsletter: Honeywell International Inc is a technology and manufacturing company. The Company operates through four segments: Aerospace, Home and Building Technologies, Performance Materials and Technologies, and Safety and Productivity Solutions. The Company's Aerospace segment supplies products, software and services for aircraft and vehicles that it sells to original equipment manufacturers (OEMs) and other customers. HON indeed has a lot to explore for the stakeholder, as looked at the specific technical indicators that showcase the instant and chronological performances of the stock. Through the help of financial ratio analysis we can determine firm's upshot and its return to its investors. As the profitability measures are important to company managers and owners alike. Starting from first part of this ratio analysis; 'Margins', and the profit margin can answer importantly to find consistent trends in a firm's earnings, the HON has positive 12.90% profit margin that indicates every dollar of sales a firm actually keeps in earnings, and the larger number indicates improving and vise worse. And its sub part Gross profit margin standing at figure of 32.10%, while the firm has operating profit margin of 16.90%. Barrett gives us an insight into the latest Energy and basic material news hitting the business and financial markets in Wall Street. He has been an independent financial adviser for over 10 years in the market and in You are banned from this site. Please contact via a different client configuration if you believe that this is a mistake. # iPhone 5 helps some, not all, Asia Apple suppliers Customers crowd in to the Shanghai Apple Store at the 2010 launch of the iPhone 4. “There’s no major surprise on iPhone 5 with most speculations turning out to be correct,” said Kevin Chang, analyst at Citigroup. Apple shares ended Wednesday’s U.S. trading session higher after a late surge which some analysts also attributed to the firm outlining an aggressive plan to roll out its new phone to 240 wireless carriers in 100 countries by the end of the year. Chang at Citi said that, given Apple’s plans to launch the iPhone 5 in over 30 countries before end-September, he believes that previous market concern about issues at panel suppliers “is mostly overdone.” But despite the muted share move on Thursday, several analysts saw Hon Hai as a key beneficiary of the new iPhone. Barclays analyst Kirk Yang said that “with the launch of iPhone 5 today by Apple, we reiterate our bullish view on Hon Hai.” “As Hon Hai will start recognizing iPhone 5 sales/profits starting in September, we look for monthly sales, but more importantly operating margins, to improve in the third quarter and with a much larger bounce in the fourth quarter, as we believe the iPhone shipment consensus for the fourth quarter is simply too conservative.” Chang at Citi said Hon Hai is likely the biggest beneficiary of the iPhone 5 launch in the Asian technology-hardware sector. “Besides the high-margin iPhone assembly, we believe that Hon Hai will also make much higher margins from components due to Apple’s migration from ceramic glass to aluminum casing,” the Citi analyst said. Asia’s iPhone retailers, meanwhile, offered a mixed picture. In terms of reaction to the phone itself, Nomura analysts said that Apple’s switch to the new casing to cut the phone’s weight didn’t represent a breakthrough in component technology. The iPhone 5’s “actual hardware specifications do not exceed those of existing competing devices,’ the analysts said. “We thought that iPhone 5 might bring it further forward, beyond the shadow of iPhone 4S, yet this doesn’t appear to us to be the case this time. Ironically, even iPhone 4S seems to have become a competitor of iPhone 5,” the analyst said. Dividend investing, dividend growth investing, growth at reasonable price, value A high turnover ratio tells the number of times its stock holdings have switched from one company to another. While sometimes it is necessary to switch from weaker stocks to stocks with momentum, a higher ratio generally implies more incurring expenses. EEM’s turnover ratio of 23% is acceptable. While EEM might have had a few periods of glorious past, its past performance may not speak much about the future. Here, we will look at the ETF’s portfolio to help readers understand the possible growth potentials of the ETF. The acronym “BRIC” has been widely used in the first decade of 2000 to represent four of the world’s fastest growing emerging markets at that time, Brazil, Russia, India, and China. These four countries were the main driving engines generating decent return for EEM investors in that decade. However, in the 2010s, these four countries parted ways. Russia has been hit hard by the landslide of crude oil price back in 2015 and is slowly recovering. Brazil, like other Latin American countries, went into recession in 2016. Although its economy seems to have picked up a bit this year, but it has recently been hit by a political scandal that causes some turbulence to the country’s economy. India’s economy plunged in 2016 and had since saw lackluster momentum in 2017. China’s economy continued to grow in the 2010s. However, its growth rate has since slowed down from its peak (although the current growth rate is still better than most other countries). Because the stocks from the BRIC The stock has actually made sharp losses in the past year, as the company has gathered a -20.17% return in the past twelve months. But even with this move, there is still plenty of room for the company to come back from a longer term perspective, and especially if we look to recent lows for the company as well. USA Commerce Daily knows how managing information determines success in the modern world. People who are really looking for information about business, companies and latest stock news – USA Commerce Daily is the right place. USA Commerce Daily does not gather only pleasant news. It covers everything that is really important. This paper still provides own investigations on the high level. Local and International events are given with careful and complete analysis. USA Commerce Daily is here to grab all the latest – hottest news and popular interview and bring them to you in a concise way. Equity Clock provides free stock research and analysis on individual equities in the market to aid your stock investing picks. Is your time up? Helmerich & Payne's stock was purchased by a variety of institutional investors in the last quarter, including Capital International Investors, Thornburg Investment Management Inc., Neuberger Berman Group LLC, Bank of New York Mellon Corp, Meag Munich Ergo Kapitalanlagegesellschaft MBH, Van ECK Associates Corp, Ameriprise Financial Inc. and Precocity Capital LP. Company insiders that have bought Helmerich & Payne stock in the last two years include John W Lindsay and Thomas A Petrie. View Insider Buying and Selling for Helmerich & Payne. MarketBeat empowers retail investors to make better trading decisions by providing real-time financial data and objective market analysis. Whether you’re looking for analyst ratings, corporate buybacks, dividends, earnings, economic reports, insider trades, IPOs, SEC filings or stock splits, MarketBeat has the objective information you need to analyze any stock. Get analysts' upgrades, downgrades and new coverage delivered to your email inbox with our free daily newsletter: Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Complete the form below to receive the latest headlines and analysts' recommendationsfor Transocean Partners with our free daily email newsletter: A number of key analysts, polled by FactSet, shared their views about the current stock momentum. The forecast of 3 surveyed investment analysts covering the stock advises investors to Buy stake in the company. At present, 2 analysts call it Sell, while 14 think it is Hold. Recently, analysts have updated the overall rating to 3.21. 1 analysts recommended Overweight these shares while 9 recommended Underweight, according to FactSet data. Latest analyst recommendations could offer little help to investors. The stock is a Buy among 1 brokerage firms polled by Factset Research. At present, 4 analysts recommended Holding these shares while 0 recommended sell, according to FactSet data. 0 analysts call it Underweight, while 0 think it is Overweight. Recently, investment analysts covering the stock have updated the mean rating to 2.6. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Select a credit card product by: --- Card Type | Credit Score | Card Issuer Select an offer: 0% APR Credit CardsAirline Credit CardsBalance Transfer Credit CardsBusiness Credit CardsCash Back Credit CardsCharge CardsCharge Cards for BusinessEMV Smart ChipsGas Cards & Auto RewardsHome Improvement Rewards Credit CardsHotel Credit CardsInstant Approval Credit CardsLow Interest Credit CardsNo Annual Fee Credit CardsNo Foreign Transaction Fee Credit CardsPoints Rewards Credit CardsPrepaid & Debit CardsReward Credit CardsStudent Credit CardsTop 10 Best Credit Car Technical Analysis is the forecasting of future financial price movements based on an examination of past price movements. Technical indicators, collectively called "technicals", are distinguished by the fact that they do not analyze any part of the fundamental business, like earnings, revenue and profit margins. Technical indicators are used immensely by active traders in the market, as they are intended mainly for analyzing short-term price movements. To a long-term shareholder, most technical indicators are of little value, as they do nothing to shed light on the underlying business. The most effective uses of technicals for a long-term shareholder are to assist identify good entry and exit points for the stock by analyzing the long-term trend. Risk management is a fundamental process used to make investment decisions. The process involves spotting the amount of risk involved and either accepting or mitigating the risk linked with an investment. Some common measures of risk are standard deviation, beta, value at risk (VaR) and conditional value at risk. Standard deviation gauges the dispersion of data from its projected value. The standard deviation is used in making an investment decision to measure the amount of historical volatility, or risk, linked with an investment relative to its annual rate of return. It represents how much the current return is deviating from its predictable historical normal returns. For example, a stock that has a high standard deviation experiences higher volatility, and therefore, a higher level of risk is associated with the stock. After a recent check, **HSBC Holdings plc, (NYSE: HSBC)’s** last month price volatility comes out to be 0.74% which for the week stands at 0.69%. Volatility is one of those things which for many retail shareholders means very little, but it's the basis on which stocks and are traded and the sentiment in markets is also assessed. High volatility can make entering or an exit a stock expensive, it can also exacerbate price increases and potential profits to the upside and downside. Developed by J. Welles Wilder, the Average True Range (ATR) is an indicator that gauges volatility. As with most of his indicators, Wilder designed ATR with commodities and daily prices in mind. Commodities are normally more volatile than stocks. They were are often subject to gaps and limit moves, which occur when a commodity opens up or down its maximum allowed move for the session. A volatility formula based only on the high-low range would fail to capture volatility from gap or limit moves. Wilder created Average True Range to capture this “missing” volatility. It is important to remember that ATR does not provide an indication of price direction, just volatility. In this Oct. 24,2017 photo, the logo of Toshiba Corp., is seen at the venue for the company's stockholders' meeting in Chiba near Tokyo. Toshiba and Western Digital have resolved a dispute that was preventing the embattled Japanese electronics giant from selling its flash memory unit to raise cash to stay afloat. The companies said Wednesday, Dec. 13, 2017, that the deal allows Western Digital to participate in future investments in their joint venture. That clears the way for a consortium led by Bain Capital to buy Toshiba Memory Corp. Kyodo News via AP Ren Onuma In this Oct. 24,2017 photo, the logo of Toshiba Corp., is seen at the venue for the company's stockholders' meeting in Chiba near Tokyo. Toshiba and Western Digital have resolved a dispute that was preventing the embattled Japanese electronics giant from selling its flash memory unit to raise cash to stay afloat. The companies said Wednesday, Dec. 13, 2017, that the deal allows Western Digital to participate in future investments in their joint venture. That clears the way for a consortium led by Bain Capital to buy Toshiba Memory Corp. Kyodo News via AP Ren Onuma Toshiba Corp. and its joint venture partner Western Digital have made peace over the embattled Japa Eric Xu, Huawei Rotating CEO, remarked, "In 2016, Huawei maintained its strategic focus and achieved solid growth. As humanity continues to explore and make new breakthroughs in the digital world, digitization and increasing intelligence present huge business opportunities for all industries, and are also paving the road for new growth for the ICT industry.We will stay customer-centric and will support digitaltransformation in all industries, in order to create value for our customers and to grow sustainably." Financial statements in the 2016 Annual Report are audited independently by KPMG. # New Huawei investment to speed up hiring in Ottawa, Markham, Waterloo The company said this means jobs initially announced in November 2014 will be coming faster to an expanded research facility in Ottawa. The funding will also speed up hiring at new research facilities in Markham and Waterloo. “Most of our hiring will happen within the next 24 months,” said Huawei’s vice-president of corporate affairs Scott Bradley, adding that the additional investment increases the company’s number of “job years” by 33 per cent. Mr. Bradley said no specific job numbers were available for each location because it depends on where the talent is available. “We could find a great wireless engineer. He or she could be based in Waterloo and they want to stay in Waterloo, they can be based in Waterloo,” he said. But by the time all the hiring is complete, Mr. Bradley said about 55 per cent to 65 per cent of the workers would be in Ottawa. Huawei currently employs just over 300 people in Ontario, 250 of those at its Kanata office. The research facilities will focus on advanced communications research initiatives, including 5G networks and related technologies such as cloud computing, data analytics, enterprise applications and mobility security. Huawei announced its investment as Ontario Premier Kathleen Wynne toured the Chinese firm’s Canadian headquarters in Markham. The province is augmenting the first instalment of $212 million with $16 million from the Jobs and Prosperity Fund. “Ontario has a vibrant innovation ecosystem that we’ve been proud to be a part of for the past six years, so we’re incredibly excited about expanding our research and development facilities in the province,” Huawei CEO Ken Hu said in a statement. “Our Canadian research team is helping to drive pioneering projects around the world, and this accelerated investment in the province of Ontario reflects our confidence in Ontario and the talent of Ontario’s skilled ICT workforce.” The couple “plunked down 100 grand” to buy a 20-ton container of honey without having a clue where they’d store it or who would buy it. Search TechCrunch Search TechCrunch Search Search You are about to activate our Facebook Messenger news bot. Once subscribed, the bot will send you a digest of trending stories once a day. You can also customize the types of stories it sends you. Click on the button below to subscribe and wait for a new Facebook message from the TC Messenger news bot. # Fyusion is bringing 3D vision technologies to a device near you “Fyusion’s vision is that our fyuse 3D spatial photography format will become ubiquitous, and the de-facto standard for representing a certain kind of 3D spatial data for consumers at scale,” Radu Rusu, Fyusion’s chief executive, wrote to me in an email. “Beyond the fyuse format itself, live 3D Visual Understanding in the camera has been a core capability that got baked into the format since day one, taking advantage of experience in 3D Point Cloud processing and robotics — whether the camera is a smartphone or head mounted device that we’re likely to all be wearing in a few years’ time, or a personal robot. We would like to enable all computers, from smartphones to robots to take advantage of fyuse and 3D Visual Understanding soon.” To achieve that goal, the company has raised $22 million from the global ventur Data is a real-time snapshot *Data is delayed at least 15 minutes Global Business and Financial News, Stock Quotes, and Market Data and Analysis Enter your email address below to get the latest news and analysts' ratings for your stocks with our FREE daily email newsletter: Get the Next Big Winner in your inbox Before the Bell The GOP tax bill is looming this week as Congress will vote to either pass or reject the tax overhaul that will lower taxes for corporate America. Economists and analysts have issued warnings regarding the bill, which could increase federal debt and slash spending on social programs, thus creating a larger divide between rich and poor in the U.S. The UK-based Advertising Standards Authority may investigate the e-commerce retailer as it has received a number of complaints regarding the premium service failing to deliver items on time. With its one-day delivery option, Amazon claims you can order as late as Friday for Christmas delivery. CSX had some unfortunate news regarding the company boss Saturday. The railroad transportation company confirmed that president CEO Hunter Harrison died at the age of 73 over the weekend. The company confirmed the boss's death in a statement. "Hunter's burning passion, genuine humanity, and success helping countless connect with their fullest potential inspired a profound personal loyalty and devotion," CSX board member Paul Hilal said in a statement. Hilal added that Harrison has a unique genius that helped him build a legacy of historic proportions. He then sent out a message of consolation to the late CEO's family. A merger between the two companies would be another example of consumer health care assets combining with an insurance provider in order to offer an all-in- one experience for consumers. Choose A Page About Us Press Center Resources Advisory Services Free Newsletters Free Reports Contact Us Advertise With Us Employment Privacy Terms and Conditions Disclosures and Disclaimers Media Sites Sitemap Financial Market Data powered by FinancialContent Services, Inc. All rights reserved. Nasdaq quotes delayed at least 15 minutes, all others at least 20 minutes. Former Aetna CEO Richard Huber discusses President Trump's decision to sign an executive order on Thursday that would expand health care options. Complete the form below to receive the latest headlines and analysts' recommendationsfor MGM Resorts International with our free daily email newsletter: MGM Resorts International declared that its board has initiated a stock buyback plan on Tuesday, September 5th that authorizes the company to buyback $1.00 billion in outstanding shares. This buyback authorization authorizes the company to reacquire up to 5.3% of its stock through open market purchases. Stock buyback plans are usually an indication that the company's leadership believes its stock is undervalued. At the heart of the philosophy of Post Analyst – news coverage on the principles of the highest quality standards. During its more than 20-year history, the company has established itself as a reliable and responsible supplier of business news and market analysis. Key employees of our company are professionals in the field of business, finance and stock markets. On our site you can always find daily updated business news from around the world. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Stock News Journal was founded in 1997 as an idea in January 1998 as a company. Our first objective is to provide latest financial information in simple words, to make it understandable to everyone. The second is to provide knowledge and training items, to ensure that our visitors over time have the largest number of cognitive tools to consciously decide how to invest their savings. The best measure of a company is its profitability, for without it, it cannot grow, and if it doesn’t gro News Corp is a network of leading companies in the worlds of diversified media, news, education, and information services News Corp is a network of leading companies in the worlds of diversified media, news, education, and information services STX Offshore & Shipbuilding Co. said Friday it will lay off about a third of its workforce and sell a yard in France, as the Korean shipbuilder aims to stay above water by restructuring. STX, which filed for receivership in May, is the country’s fourth largest shipyard. It is a unit of conglomerate STX Corp., which is active in shipping, construction and energy around the world. Deal worth 1tn won for engineering group and French partner Doosan will work with the French partner to design and build the 1,510-megawatt facility, slated for completion by the end of November 2019. The plant for state-owned Saudi Aramco will sit in eastern Saudi Arabia near the industrial city of Jubail. This marks Doosan's first Saudi Arabian power plant order since 2010, when it won a roughly 4 trillion won contract for a total of 2,800MW of generating capacity. The company has since landed projects for power plants in Egypt and desalination facilities in Iran. Annual orders exceeded 10 trillion won at one point. But as its South Korean and Chinese business slowed, the company logged an operating loss of 27.3 billion won for the year ended December 2015. Doosan expects orders to reach 9 trillion won this year if it also wins Indian business in negotiations. Operating profit recovered to 637.3 billion won in the nine months through September. Hyundai Heavy, which also recorded an operating loss last fiscal year, announced this month its participation in a 5 trillion won Saudi state-led shipyard project involving Saudi Aramco and other parties. Elsewhere in the Middle East, Hyundai Heavy won a recent order to build containerships for Iran. Japan releases video of crackdown on North Korean fishing boats The live stream sales through smartphone boom Subscribe to get unlimited access to all articles. Subscribe today to continue enjoying NAR. • Unlimited access to asia.nikkei.com • Unlimited access to NAR mobile and tablet apps • Add delivery of NAR in print each week Redeemable only through the Subscribe button below Your subscription renewal could not be processed. Please update your payment information to continue enjoying the Nikkei Asian Review. Subscribe today to continue enjoying NAR. • Unlimited access to asia.nikkei.com • Unlimited access to NAR mobile and tablet apps • Add delivery of NAR in print each week Do you want to keep abreast of the issues in Asia? Sign up now for an individual subscription and continue enjoying the Nikkei Asian Review. * Your subscription period starts immediately after the expiration of your current subscription, and will be charged to your credit card accordingly. Your full access to the Nikkei Asian Review will be expired soon. * Your subscription period starts immediately after the expiration of your current subscription, and will be charged to your credit card accordingly. Subscribe today to enjoy the Nikkei Asian Review # Iran targets tanker company listing to fund fleet modernization Iran plans to list its national tanker company to raise badly needed cash to upgrade its massive fleet and replace older vessels, as the middle east country prepares for an aggressive return to the global oil market. The country emerged from years of economic isolation last weekend after crippling sanctions were lifted in return for Tehran complying with steps to curb its nuclear ambitions. Iran has one of the world's biggest tanker fleets, but many of the ships are ageing and require valid insurance, testing, inspection and certification, known as ship classification, to be able to ply international waters again. Nasrollah Sardashti, the commercial director of the National Iranian Tanker Company (NITC), said his company was in talks with all leading insurance and classificat Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell You are banned from this site. Please contact via a different client configuration if you believe that this is a mistake. News Corp is a network of leading companies in the worlds of diversified media, news, education, and information services You are banned from this site. Please contact via a different client configuration if you believe that this is a mistake. # Kia labor defeat bodes ill for South Korean corporations Geopolitical risks for companies intensifying, warns central bank chief The Seoul Central District Court ordered Thursday that Kia pays 422.3 billion won ($374.8 million) to 27,000 workers because the company had excluded bonuses from their regular salaries between 2008 and 2011. But Kia said that it would set aside 1 trillion won as provision, assuming that the ruling could eventually be applied to all its employees and the period was expanded beyond 2011. The BOK said rising exports in the semiconductor and shipbuilding sectors helped. The central bank said retail sales also increased 0.2% in July from a month ago on the back of demand for smartphones and computers. Japan releases video of crackdown on North Korean fishing boats The live stream sales through smartphone boom Subscribe to get unlimited access to all articles. 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Your full access to the Nikkei Asian Review will be expired soon. * Your subscription period starts immediately after the expiration of your current subscription, and will be charged to your credit card accordingly. Subscribe today to enjoy the Nikkei Asian Review But Lee is not a director or a shareholder of Samsung Fine Chemicals. Nor is he a director at Samsung Electronics. As a member of a chaebol founding family, he wields a brand of power that goes beyond that accorded by titles. And it is this kind of power that helped expedite decision-making on massive investments and drive the growth of these industrial giants. Beijing calls the shots in corporate China Japan releases video of crackdown on North Korean fishing boats The live stream sales through smartphone boom Subscribe to get unlimited access to all articles. 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Your full access to the Nikkei Asian Review will be expire The Complete List of South Korea GDRs trading in the London, Singapore and Luxembourg exchanges and on the Portal are shown below in a table: Archives Select Month December 2017 November 2017 October 2017 September 2017 August 2017 July 2017 June 2017 May 2017 April 2017 March 2017 February 2017 January 2017 December 2016 November 2016 October 2016 September 2016 August 2016 July 2016 June 2016 May 2016 April 2016 March 2016 February 2016 January 2016 December 2015 November 2015 October 2015 September 2015 August 2015 July 2015 June 2015 May 2015 April 2015 March 2015 February 2015 January 2015 December 2014 November 2014 October 2014 September 2014 August 2014 July 2014 June 2014 May 2014 April 2014 March 2014 February 2014 January 2014 December 2013 November 2013 October 2013 September 2013 August 2013 June 2013 May 2013 April 2013 March 2013 February 2013 January 2013 December 2012 November 2012 October 2012 September 2012 August 2012 June 2012 May 2012 April 2012 March 2012 February 2012 January 2012 December 2011 November 2011 October 2011 September 2011 August 2011 July 2011 June 2011 May 2011 April 2011 March 2011 February 2011 January 2011 December 2010 November 2010 October 2010 September 2010 August 2010 July 2010 June 2010 May 2010 April 2010 March 2010 February 2010 January 2010 December 2009 November 2009 October 2009 September 2009 August 2009 July 2009 June 2009 May 2009 April 2009 March 2009 February 2009 January 2009 December 2008 November 2008 October 2008 September 2008 August 2008 July 2008 June 2008 May 2008 April 2008 March 2008 February 2008 January 2008 December 2007 October 2007 For Informational Purposes Only.Information posted on this site do not constitute investment advice in any way to buy or sell a security. 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Get analysts' upgrades, downgrades and new coverage delivered to your email inbox with our free daily newsletter: Push Bid Intraday Bid 1 Woche 1 Monat 3 Monate 6 Monate 1 Jahr 3 Jahre max Complete the form below to receive the latest headlines and analysts' recommendationsfor General Electric with our free daily email newsletter: International Business Machines (IBM) currently has a 1 month MA of 153.23. Investors may use moving averages for various reasons. Some may use the moving average as a primary trading tool, while others may use it as a back-up. Investors may keep an eye out for when the stock price crosses a particular moving average and then closes on the other side. These moving average crossovers may be used to help spot momentum shifts, or possible entry/exit points. A cross below a certain moving average may signal the start of a downward move. On the flip side, a cross above a moving average may suggest a possible uptrend. Investors may be focused on many different time periods when studying moving averages. Currently, the stock has a 100 day MA of 148.16. Investors are frequently focused on stock price support and resistance levels. The support is a level where a stock may see a bounce after it has fallen. If the stock price manages to break through the first support level, the attention may shift to the second level of support. The resistance is the opposite of support. As a stock rises, it may see a retreat once it reaches a certain level of resistance. After a recent check, the stock's first resistance level is 153.52. On the other side, investors are watching the first support level of 151.75. Investors may also want to take a longer-term look at company shares. According to the most recent data, International Business Machines (IBM) has a 52-week high of 182.79 and a 52-week low of 139.13. Staying on top of longer- term price action may help provide investors with a wider range of reference when doing stock analysis. It may be tricky for some investors to decide the right time to buy or sell a stock. Professionals may seem like they have it all figured out, and amateurs may feel like they are treading water. Nobody wants to feel like they are stranded on the platform just as the last train has departed the station. Sometimes extreme market movements can leave investors with that sinking feeling. Veteran traders may have spent many years monitoring market ebbs and flows. Knowing when to take profits or cut losses can be a tough skill to master. Get Market Moving Picks in your inbox Before the Bell Get Market Moving Picks in your inbox Before the Bell Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: You are being directed to ZacksTrade, a division of LBMZ Securities and licensed broker-dealer. ZacksTrade and Zacks.com are separate companies. The web link between the two companies is not a solicitation or offer to invest in a particular security or type of security. ZacksTrade does not endorse or adopt any particular investment strategy, any analyst opinion/rating/report or any approach to evaluating indiv idual securities. Copyright 2017 Zacks Investment Research At the center of everything we do is a strong commitment to independent research and sharing its profitable discoveries with investors. This dedication to giving investors a trading advantage led to the creation of our proven Zacks Rank stock-rating system. Since 1988 it has more than doubled the S&P; 500 with an average gain of +25% per year. These returns cover a period from 1988-2016 and were examined and attested by Baker Tilly Virchow Krause, LLP, an independent accounting firm. Zacks Rank stock-rating system returns are computed monthly based on the beginning of the month and end of the month Zacks Rank stock prices plus any dividends received during that particular month. A simple, equally-weighted average return of all Zacks Rank stocks is calculated to determine the monthly return. The monthly returns are then compounded to arrive at the annual return. Only Zacks Rank sto You can shop confidently as your online payments are processed using PCI DSS compliant secure payment gateways on our website. Idemitsu Kosan Co., Ltd. (Idemitsu) is a diversified company which explores, produces, refines, and sells oil and gas, lubricants, and petroleum products. Apart from petroleum products, the company also manufactures agricultural chemicals, agricultural materials, and other chemicals. It explores, develops and extracts coal, geothermal resources, and other mineral resources. Idemitsu develops, manufactures, and sells functional electronic materials and computer software; as well designs, installs, fabricates, and sales various machinery, equipment, and devices for chemical-industrial and environmental-protection uses. It has operations in East Asia, South East Asia, Australia, North and South America, Europe and Russia, and South West Asia, Middle East and Africa. Idemitsu is headquartered in Tokyo, Japan. Access elaborate information on the company's recent financial deals that enable you to understand the key deals which have shaped the company \- Detailed information on major recent deals includes a summary of each deal, deal type, deal rationale, deal financials and Target Company's key financial metrics and ratios. Gain key insights into the company for academic or business research \- Key elements such as break up of deals into categories and information on detailed major deals are incorporated into the profile to assist your academic or business research needs. Table of Contents Table of Contents 2 List of Tables 4 List of Figures 5 Idemitsu Kosan Co., Ltd., Oil & Gas, Deals By Year, 2011 to YTD 2017 6 Idemitsu Kosan Co., Ltd., Oil & Gas Deals By Type, 2011 to YTD 2017 7 Idemitsu Kosan Co., Ltd., Oil & Gas, Deals By Region, 2011 to YTD 2017 8 Idemitsu Kosan Co., Ltd., Oil & Gas, Deals By Sector, 2011 to YTD 2017 9 Idemitsu Kosan Co., Ltd., Oil & Gas, Deals Summary, 2011 to YTD 2017 10 Idemitsu Kosan Co., Ltd., Oil & Gas, Deal Details 11 Asset Purchase 11 Idemitsu Petroleum Norge Acquires Additional 25% Interest In PL 090 F and PL 090 G Licenses Offshore Norway From ExxonMobil 11 Partnerships 12 Idemitsu Kosan To Form Joint Venture With Kuwait Petroleum To Distribute Petroleum Products In Vietnam 12 Qatar Petroleum To Form Joint Venture With Total, Idemitsu, Cosmo, Marubeni And Mitsui 12 Idemitsu Kosan And AltaGas To Form Joint Venture 14 Merger 15 Idemitsu Kosan And Showa Shell Postpone Merger 15 Debt Offering 17 Idemitsu Kosan Completes Public Offering Of 1.01% Bonds Due 2019 For US$128 Million 17 Idemitsu Kosan Completes Public Offering Of 0.62% Bonds Due 2017 For US$128 Million 17 Asset Transactions 18 GDF Suez Acquires Additional 10% Stake In PL420 License Located Offshore Norway From Idemitsu Petroleum 18 Acquisition 19 Idemitsu Kosan Completes Acquisition Of 31.3% Stake In Showa Shell Sekiyu From Shell For US$1.29 Billion 19 Idemitsu Kosan Acquires Freedom Energy, Petroleum Products Distributor 21 Idemitsu Kosan Co., Ltd. - Key Competitors 22 Key Employees 23 Locations And Subsidiaries 24 Head Office 24 Other Locations & Subsidiaries 24 Recent Developments 27 Financial Announcements 27 Nov 01, 2016: Idemitsu Kosan Announces Consolidated Financial Results For The Second Quarter Of Fiscal Year 2016 27 Aug 02, 2016: Idemitsu Provides Consolidated Financial Results For The First Quarter Of Fiscal Year 2016 30 May 10, 2016: Idemitsu Kosan Provides Consolidated Financial Results For The Fiscal Year 2015 34 Feb 02, 2016: Idemitsu Announces Consolidated Financial Results For The Third Quarter Of Fiscal Year 2015 39 Other Significant Developments 41 May 15, 2017: Idemitsu Kosan Announcement of Changes in Representative Directors And Other Officers, And Selection Of Candidates For Outside Directors And Substitute Outside Audit & Supervisory Board Member 41 Jan 17, 2017: Statoil secures development approval for Utgard and Byrding fields 43 Dec 26, 2016: Marubeni Commencement Of Laffan Refinery 2 Produ Investors may be searching for high quality stocks to add to the portfolio. There may be various company characteristics that attract added attention. Many investors will be looking for a company that is a leader in their respective field with strong sales growth. Many investors will also look for companies with a solid management team that have proven track records. Investors that invest in individual stocks are most likely expecting the company to prosper and grow in the future. Expectations are typically that future earnings will be higher, and thus the stock price is expected to rise as well. There is rarely any substitute for hard work and dedication, and this is typically true when following the stock market as well. Keeping track of all the information available can be a daunting task. However, putting in those few extra hours on stock homework may prove to be the difference between a winning portfolio and a losing one. Investors may be looking for the next positive catalyst to create a solid breakout. Some may be wondering when the party will end, and it remains to be seen if excess and profit-taking rotation may create any pullbacks in the upcoming quarter. Investors may have to make a decision whether to ease-up or stay aggressive. Investors may also be closely watching winners and losers, especially in the technology sector. Understanding and researching the space may be highly important when managing the investment portfolio. The key for investors will be to try and locate the winners in the space and find the companies that are either creating new technology or adapting to it rapidly. **New Delhi, Dec 18:** Days after UIDAI action against Bharti Airtel, state- owned oil companies have started writing to the Sunil Mittal-led firm, asking it to transfer back the LPG subsidy that was credited to its payments bank accounts. The country's largest mobile operator has been accused of opening 'Payments Bank' account of its subscribers without seeking their "informed consent". Bharti Airtel, which also operates this new category of banks, has been allegedly using Aadhaar numbers of mobile subscribers to open their accounts, which led the subsidy to flow to the latest bank account linked to the biometric ID. The subsidy that government pays to households for buying the cooking gas has got credited to these payments bank accounts, leading to inconvenience to users many of whom did not know that their entitlement was not coming to their regular bank account but going an account which they had not applied for. Taking a lead, Hindustan Petroleum Corp Ltd (HPCL) has written to Airtel asking it to revert the subsidy to the customers' earlier bank account or transfer them same to the oil companies. In a statement, HPCL said oil marketing companies and the oil ministry have been getting a large number of complaints from LPG consumers on not receiving LPG subsidy amounts into their earlier bank accounts for the past few weeks. "In many cases across the three oil marketing companies (Indian Oil Corp, Bharat Petroleum Corp Ltd and HPCL) where the Aadhaar linking of LPG consumers has got changed in the NPCI mapper to Airtel Payments Bank and hence the LPG subsidy is getting sent to the new bank account in the Airtel Payments Bank," it said. National Payments Corporation of India (NPCI) is an umbrella organisation for all retail payments in India. "HPCL has written to Airtel Bank and requested that the subsidy amounts of these consumers be immediately either transferred back to the customer's earlier bank account or to the respective OMC's," the statement said. Over Rs167.7 crore LPG subsidy of 37.21 lakh LPG consumers has so far been deposited in Airtel Payments Bank accounts. National biometric ID issuing authority UIDAI had on Saturday temporarily barred Airtel from using Aadhaar to authenticate mobile phone connections and opening new payment bank accounts. To check diversions, the government pays subsidy equivalent to buying 12 LPG We use our own and third party cookies in order to improve your experience and our services, by analysing browsing activity on our website. If you continue browsing, we will assume that you accept their use. You can find out more information or how to configure the settings here. News Corp is a network of leading companies in the worlds of diversified media, news, education, and information services. Overview Profile Financials Income Statement Balance Sheet Cash Flow Research & Ratings Historical Prices Options Advanced Charting A company's net income for the trailing twelve month period expressed as a dollar amount per fully diluted shares outstanding. Market Capitalization Reflects the total market value of a company. Market Cap is calculated by multiplying the number of shares outstanding by the stock's price. For companies with multiple common share classes, market capitalization includes both classes. Shares Outstanding Number of shares that are currently held by investors, including restricted shares owned by the company's officers and insiders as well as those held by the public. Public Float The number of shares in the hands of public investors and available to trade. To calculate, start with total shares outstanding and subtract the number of restricted shares. Restricted stock typically is that issued to company insiders with limits on when it may be traded. Dividend Yield The total number of shares of a security that have been sold short and not yet repurchased. Change from Last Percentage change in short interest from the previous report to the most recent report. Exchanges report short interest twice a month. Percent of Float Total short positions relative to the number of shares available to trade. Industria de Diseño Textil SA manufactures and sells clothing for men and women. Its activity includes retail distribution of clothing, footwear, accessories and household textile products through various commercial format stores aimed at different targeted sectors... Data is provided "as is" for informational purposes only and is not intended for trading purposes. SIX Financial Information (a) does not make any express or implied warranties of any kind regarding the data, including, without limitation, any warranty of merchantability or fitness for a particular purpose or use; and (b) shall not be liable for any errors, incompleteness, interruption or delay, action taken in reliance on any data, or for any damages resulting therefrom. Data may be intentionally delayed pursuant to supplier requirements. All of the mutual fund and ETF information contained in this display was supplied by Lipper, A Thomson Reuters Company, subject to the following: Copyright © Thomson Reuters. All rights reserved. Any copying, republication or redistribution of Lipper content, including by caching, framing or similar means, is expressly prohibited without the prior written consent of Lipper. Lipper shall not be liable for any errors or delays in the content, or for any actions taken in reliance thereon. Complete the form below to receive the latest headlines and analysts' recommendationsfor Inditex with our free daily email newsletter: Industria de Diseno Textil SA, known as Inditex SA, is a Spain-based company primarily engaged in the textile industry. The Company's activities include the design, confection, manufacturing, distribution and retail of men, women and children apparel, footwear and fashion accessories, as well as home furnishings and household textile products. Complete the form below to receive the latest headlines and analysts' recommendationsfor Inditex SA with our free daily email newsletter: Industria de Diseno Textil SA, known as Inditex SA, is a Spain-based company primarily engaged in the textile industry. The Company's activities include the design, confection, manufacturing, distribution and retail of men, women and children apparel, footwear and fashion accessories, as well as home furnishings and house Service Company, Others, Trade/Industrial Organisation Service Company, Others, Trade/Industrial Organisation --- Online find professional Banking Service from our reliable Banking Service Providers and Banking Service Suppliers. Search the free Banking Service from Professional Banking Service Providers / Company and get the latest prices through our trustable Banking Service Providers and Banking Service Suppliers now! Alert me to websites indicated as potentially harmful. The page you requested does not exist. 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Regional Sites: GlobalArgent © United Nations Economic Commission for Europe News Corp is a network of leading companies in the worlds of diversified media, news, education, and information services # Cleaning, service, maintenance and protection of industrial equipment and systems Extend the service life of your controllers and industrial systems by regular maintenance and cleaning. Faults can be prevented by frequent maintenance and a professional cleaning removes sediments and extends the service life of your system. Industrial and equipment cleaning makes high demands on the cleaning company and its employees. Thanks to our many years of experience, we have comprehensive and specialized know-how. We are also assist you with the conceptual design and the coordination of the whole project. Cleaning of electronics, circuit boards, equipment and system controls Execution of the work also as part of your maintenance organization Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. U.S. industrial production rose at a slower pace in November as factory output moderated following the biggest advance in more than seven years that reflected a hurricane-related surge, Federal Reserve data showed Friday. Three straight months of increased factory output show that manufacturing remains on solid ground amid steady consumer spending and strong gains in business investment. An improvement in overseas markets may also boost export demand in coming months. The latest advance in manufacturing production reflected a widespread increase in the output of durable goods, driven by primary metals. In a sign factories are putting more resources to use, capacity utilization at manufacturers climbed to 76.4 percent, the highest since May 2008. Total industrial production was driven by a 3 percent increase in oil and gas extraction as activity returned to normal levels following Hurricane Nate, the Fed said. Excluding the rebound in energy extraction, total industrial output would have been unchanged. # Subscribe to the FT to read: Financial Times US industrial production growth hits the brakes in November Keep abreast of significant corporate, financial and political developments around the world. Stay informed and spot emerging risks and opportunities with independent global reporting, expert commentary and analysis you can trust. Not sure which package to choose? Try full access for 4 weeks Be informed with the essential news and opinion All the essentials plus deeper insights and analysis FT Newspaper delivered daily plus unlimited digital access * The FT delivered to your home or office Monday to Saturday, including the FT Weekend paper and supplements United States Environmental Protection Agency # EPA Action Ensures that New Bedford Industrial Laundry Will Reduce Air Emissions In business since 1959, Clean Uniforms and More began operating at its Church Street location in May 1998. At that time, it installed new laundry equipment at the facility without installing air pollution control equipment and without applying for a permit that EPA maintains is required under the Clean Air Act's new source review provisions. The company rents uniforms, floor mats, towels, general linen supplies, etc. to its customers and then launders them as needed. Some of the towels are used by machine shops, furniture manufacturers and printing companies. When the dirty shop, furniture, and print towels are returned for laundering, they often contain volatile organic compounds (VOCs). These VOCs are released to the air as the towels are processed, washed, and dried. Under the agreement, Clean Uniforms and More will make a significant investment to put in place a Enter your email address below to get the latest news and analysts' ratings for your stocks with our FREE daily email newsletter: Please note you are now on the ING global corporate website. Choose your country for the login detail pages of your local bank. On the Products & Services page you will find login information about services in other countries. # ING has sold its stake in Dakota Access pipeline loan Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: [TRADE IDEAS REVIEW – IS THIS THE BEST STOCK SCANNER? 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Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell News Corp is a network of leading companies in the worlds of diversified media, news, education, and information services. Overview Profile Financials Income Statement Balance Sheet Cash Flow Research & Ratings Historical Prices Options Advanced Charting Data is provided "as is" for informational purposes only and is not intended for trading purposes. SIX Financial Information (a) does not make any express or implied warranties of any kind regarding the data, including, without limitation, any warranty of merchantability or fitness for a particular purpose or use; and (b) shall not be liable for any errors, incompleteness, interruption or delay, action taken in reliance on any data, or for any damages resulting therefrom. Data may be intentionally delayed pursuant to supplier requirements. All of the mutual fund and ETF information contained in this display was supplied by Lipper, A Thomson Reuters Company, subject to the following: Copyright © Thomson Reuters. All rights reserved. Any copying, republication or redistribution of Lipper content, including by caching, framing or similar means, is expressly prohibited without the prior written consent of Lipper. Lipper shall not be liable for any errors or delays in the content, or for any actions taken in reliance thereon. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell # How a South African company turned constraints into global strengths For a company that started out selling beer to miners in Johannesburg during the gold rush of the late 1800s, it’s been quite a journey. But how did a brewing company from a developing country rise to compete with the multinational brewing behemoths from the developed world? SAB’s path reflects the differences between multinationals from developed and emerging markets in terms of location choices, sequencing, time horizons and motivation. A two-phased expansion path emerges to explain the remarkable success story. The first pillar to SAB’s international expansion was a focus on developing markets. Coming from a developing country itself, the company would cope better with emerging market conditions than brewe Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: [TRADE IDEAS REVIEW – IS THIS THE BEST STOCK SCANNER? Trade Ideas is arguably one of the top scanning tools available on the market right Trade Ideas Pro helps traders find the best setups in the market right NOW Scottrade and E*TRADE license Trade Ideas proprietary technology for their premium trading platforms. We have fully automated trading available through Lightspeed and Interactive Brokers. Get the Next Big Winner in your inbox Before the Bell Complete the form below to receive the latest headlines and analysts' recommendationsfor Intel with our free daily email newsletter: Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. Intel Corporation designs, manufactures, and sells computer components and related products. The Company major products include microprocessors, chipsets, embedded processors and microcontrollers, flash memory, graphic, network and communication, systems management software, conferencing, and digital imaging products.Address 2200 Mission College Blvd Santa Clara, CA 95054-1549 United States Intel Corporation, INTC, technical, bullish, options, 40 delta call, TTM Technical Squeeze Here is a simple graphic, where the gray line is the daily stock price, the blue bars comprise the tight squeeze zone, and then we see the break out into a bearish move. Roughly speaking, this is the pattern that this technical indicator is attempting to identify and back-test. Please note that the executions and other statistics in this article are hypothetical, and do not reflect the impact, if any, of certain market factors such as liquidity and slippage. 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Select a credit card product by: --- Card Type | Credit Score | Card Issuer Select an offer: 0% APR Credit CardsAirline Credit CardsBalance Transfer Credit CardsBusiness Credit CardsCash Back Credit CardsCharge CardsCharge Cards for BusinessEMV Smart ChipsGas Cards & Auto RewardsHome Improvement Rewards Credit CardsHotel Credit CardsInstant Approval Credit CardsLow Interest Credit CardsNo Annual Fee Credit CardsNo Foreign Tran Continue reading the main story Share This Page Akbar al-Baker, the chief executive of Qatar Airways, has long been interested in a possible investment in a European passenger airline. Credit Christoph Schmidt/European Pressphoto Agency Qatar Airways, based in Doha, said it had no immediate plans to increase its holding, which is valued at roughly 1.1 billion pounds, or about $1.7 billion, and makes the carrier the largest individual shareholder of the International Airlines Group. The airline, which is the second largest of the three big Persian Gulf carriers by number of passengers after Emirates of Dubai, said it would consider taking a larger stake in the International Airlines Group “over time.” European Union rules cap ownership by foreign investors in airlines registered in the bloc at 49 percent. The investment in the International Airlines Group is the first by Qatar Airways in passenger airlines and follows a brief foray into the European cargo market when it bought a 35 percent stake in the Luxembourg state-owned airfreight operator Cargolux Airlines International in 2011, only to sell it back to the government in a dispute over strategy. Qatar Airways also considered acquiring a stake in Spanair, a Spanish subsidiary that is now defunct of Scandinavian Airlines, in 2012. "This is not surprising,” Chris Tarry, an analyst at Ctaira, a British aviation consultancy, said of Qatar’s investment in the International Airlines Group. “The Gulf airlines have a lot of ambition and money.” But analysts said Qatar Airways’ investment strategy appeared to be distinct from that of Etihad, which has invested in a number of money-losing carriers to form a so-called equity alliance of airlines. Etihad’s chief executive, James Hogan, has pursued a novel strategy aimed at turning around these weaker airlines with an eye to gaining access to millions of new passengers as well as an entry point into strategic European hubs like Berlin and Milan. Governments in Germany and Italy, however, have resisted granting landing rights to the Persian Gulf carriers in a bid to protect carriers like Lufthansa and Alitalia. You agree to receive occasional updates and special offers for The New York Times's products and services. He added that the personal friendship between Mr. Baker and Willie Walsh, the chief executive of the International Airlines Group, was likely to have played a crucial part in sealing the transaction. Mr. Strickland said that he was doubtful Qatar Airways would be planning similar investments in other airlines. “Mr. Baker has been clear that they were looking to invest in well-managed, financially stable airlines,” Mr. Strickland said. The International Airlines Group, which is the most profitable of Europe’s “big three” full-service airline groups, “is like the jewel in the crown,” he said. “I would not see them doing anything that would conflict with this.” Mr. Tarry of Ctaira said it remained unclear what additional benefits a stake in the International Airlines Group would grant Qatar Airways in the near future. In their brief statements, neither indicated whether the carrier would gain a seat on the board. “By investing in I.A.G., you are making a visible statement about your relationship and probably putting down a marker for the future,” Mr. Tarry said. “But in the short run, what does it give you over and above what you already get through the alliance, with no shareholding at all?” The Qatar Airways purchase was not expected to have any immediate effect on airline passengers. Through their Oneworld alliance membership, Qatar Airways, British Airways and Iberia passengers already share airline ticket codes and frequent-flier privileges across their networks; their business and first- class members have access to the others’ airport lounges. Shares in the International Airlines Group were up slightly in trading midday Friday. LATAM Airlines Group SA is a Chile-based company, w 紐約律師事務所Paul, Weiss, Rifkind, Wharton & Garrison LLP全球併購業務主管Scott Barshay稱,從某些角度看,中國企業是完美的買家,因為這些企業似乎目光長遠並且財力雄厚。他還說,毫無疑問,中資收購活動推高了資產價格。 Intesa Sanpaolo confirmed on Tuesday it was examining a possible tie-up with Generali, in its first comment since reports emerged at the weekend that it was interested in building a stake in Italy's biggest insurer. Among the options being reviewed, the most probable is a cash and share offer by Intesa on 60 percent of Generali, the paper said, adding that the bid would include a cash portion of 3 billion euros and a reserved cash call for around 12 billion euros. The daily newspaper added that UBS would advise Intesa on the operation, although the mandate had yet to be formalized. Intesa was not immediately available for comment, while UBS had no immediate comment. Symbol Description AAAC ASIA AUTOMATIVE AAACU Asia Automotv Acq Ut AAACW Asia Automotive Wt AAAE Aaa Energy Inc AAAGY ALTANA AG ADS AAALF Aareal Bank Ag Akt AAAOF AAA AUTO GROUP N.V. AABB ASIA BROADBAND INC AABVF Aberdeen International Inc AACAF AAC ACOUSTIC TECH AACIF ADANO CIMENTO SANAYI AACS American Comm Solut AADG Asian Dragon Group AAEHF ASIA ENVIRONMENT HDG AAERF AAER INC AAEX ACROSS AMER RL ES EX AAGH Asia Global Holdings AAHDF Acta Holding AAIAF Astral Media Inc Cl AAIR AVANTAIR INC AAIRU AVANTAIR INC UTS AAIRW AVANTAIR INC WTS AALA AMERALIA INC AAMA Asiamart Inc AAMTF Armada Mercantile Ltd AAMU American Ammunitn Nv AANAF Altana Ag AANCF Alliance & Lei Plc O AANI Amedia Networks Inc AANIE AMEDIA NETWORKS INC AANOF ASCIANO GROUP AANZF Alleanza Assicurazon AAPH American Petro-hunt AAPT ALL AMERICAN PET CO AAPTE ALL AMERICAN PET CO AAPU AMERICA ASIA PETROLEUM CORP AAQS AMERICAN ANTIQUITIES AARD Across America Real AASI AUSSIE APPAREL AASP All-amer Sportpark AATGF ATI AIRTEST TECH INC AATSF Aastra Technologies AATV AMERICAN ALTERNATIVE AAUFF ALTUS GRP INCOME FD AAUKF Anglo American Plc O AAURF ANGLO AUSTRALIAN RES AAXT AAMAXAN TRANSPORT GP ABAHF Abbastar Holdings Ltd ABAKF Aberdeen Asia Pacific Inc Inv ABBGF ABB GRAIN LTD ABCC Abc Dispensing Technologies ABCFF Abacus Mining & Exploration Cp ABCP Ambase Corp ABDNF Aberdeen Asset Mgmt ABDR AMBASSADOR FOOD NEW ABDS Allegro Biodiesel ABDZF ABODE MORTGAGE HOLDI ABEPF ABEW ABFIQ ABFOF ABGFF ABGLF ABGOF ABGSF ABHPF ABIDF ABIX ABKB ABKH ABLCF ABLDF ABLE ABLZF ABMBF ABNAF ABNS ABNYY ABOS ABOT ABPA ABPH ABPHE ABRCF ABSKF ABSO ABSSF ABSY ABTG ABTI ABTN ABTXQ ABVG ABVT ABVTW ABVTZ ABWAF ABWG ABZA ABZT ACAGF ACAH ACAL ACAMF ACAR ACBC ACBFF ACBM ACBP ACBT ACBV ACCA ACCKF ACCM ACCP Abitex Resources Inc Airbee Wireless Inc American Business Finl Svcs Abertis Infraestructuras Sa American Bonanza Gold Corp ARAWAK ENERGY LTD Agengoa Sa Ord Abg Sundal Collier Asa ATHABASCA POTASH INC ALBIDON LTD ABATIX CORP American Basketball American Bank Hl New A.B.C. LEARNING CTRS Ambri Ltd ABLE ENERGY INC Abb Ltd Zuerich Abcourt Mines Inc Cl Consolidated Abaddon Resources Inc Alliance Bancshs Ca ABN AMRO HLDG NV ADS Arbios Systems Inc Abot Mining Co Ida Cap Allegiance Bank (pa) Advanced Biophotonic ADVANCED BIOPHOTONIC ALBERTA CLIPPER ENER Absolut Resources Cp Absolute Entertainment Airboss Of America Cp New ABSOLUTESKY INC Ambient Corp Alpha Beta Technology Inc Alliance Bk & Tr Nc Agribiotech Inc FINANCIAL ACCESS TEC Abovenet Inc W/I Abovenet Inc Warrants Exp 9/8/2008 Abovenet Inc Warrants Exp 9/8/2010 ADITYA BIRLA MINERAL A B Watley Group Inc Abazias Inc Ablaze Technologies Inc ARCANDOR AG ACA CAPITAL HOLDINGS America Californiabk Acambis Plc Aegis Consumer Funding Group Albina Commty Bcp Or ALERT B& C CORPORATIO AUTO CLUB MARKETING American Comm Bcp In ACCOUNTABILITIES NEW ALL AMERICAN COFFEE GIBBS COTRUCTION I Amica Mature Lifesty American Custom Components Inc Access Pharmaceuticl ACCR ACCS ACCY ACDJ ACDQ ACDQU ACDQW ACDSF ACEAF ACEBF ACEC ACEJF ACEN AC It looks like nothing was found at this location. Maybe try one of the links below or a search? Archives Select Month December 2017 November 2017 October 2017 September 2017 August 2017 July 2017 June 2017 May 2017 April 2017 March 2017 February 2017 January 2017 December 2016 November 2016 October 2016 September 2016 A retail and business bank in UAE has partnered with the blockchain company Ripple to support instant cross-border payments to retail customers in India which is the world’s largest remittance receiver. We saw American Express partner with Ripple to use its technology to provide a way to send instant cross-border payments with lower transactions costs. The age of block-chain has now allowed conventional bank remittances to be replaced by instant… The country’s central bank and monetary authority of Singapore is moving forward to bring many regulations that will deal with retail payment services. This single legislation will also include bitcoin and cryptocurrency exchanges. With an announcement on Tuesday, the Monetary Authority of Singapore launched the second revision on its payments service bill, a regulatory network designed for payments that will propose to streamline the regulation of all payment services available… Dash has been setting new records in the past 10 days. It has extended its rally of a growing trend with a 20% surge yesterday. This surge has resulted in the price of Dash Coin to reach at $584 which represents a total of 70 percent increase from November 12 when its price was $346. The half of Dash’s trading volume was concentrated in one single region that is South… CNBC’s Mad Money host has just said that bitcoin and junk bonds are just bubbles with no real values and that the stock market is the only thing that is worth trading with ‘real and obvious value’. The former hedge fund manager, best-selling author and host of Mad Money, Jim Cramer said that he doesn’t understand why people believe the stock market is a dangerous and overvalued market. His valuable… We have seen a variety of decentralized platforms that are disrupting the internet like freelance portals, betting companies, lottery companies. New companies have been announcing ICO of all different types. So far, we haven’t seen anything in the legal space. This is about to change as a startup attempts to bring smart contracts for you for legal solutions. SmartOne, a new blockchain based marketplace is built for legal solutions and… The price of Ripple posted about a double digit increase in the trading price on Thursday following the announcement of the new partnership with the credit card giant American Express to process cross-border payments. As reported by HiTechFacts, American Express and Santander has partnered with Ripple, the infamous cryptocurrency with a stable price that is under $1. To create a blockchain payments channel between UK and US. Customers of these… Blockchain was always about enhancing existing systems and maximizing the potentials of old ideas that that have thrived over the years. The technology has evolved to bring home certain ideas which may not have been possible before now. A few years ago, the idea of owning a portion of cyberspace on the rules of real estate allocation would have been impossible. Today, this idea not only moves towards reality, but… Another advancement has strengthened the block-chain community. American Express and Santander have partnered with the financial technology firm and the famous cryptocurrency Ripple to speed up cross border payments between the United States and United Kingdom by using the block-chain technology. American’s business customers will be able to use the blockchain technology as all international payments that previously was done through FX International Payments platform will be routed through Ripple’s… Do you love to create your own content and the idea of making money from that content is attractive then you should try o A delay to the project in southern Johor state could deal a potential blow to the economy of the Southeast Asian nation as well as local oil and gas services firms hoping for work on the massive complex. A source familiar with Petronas' business strategy told Reuters the project had been complicated by a need to secure water supplies as well as cater for proposed international partners. Petronas had already put back the project from late 2016 to early 2017 in June and revised the final investment decision (FID) to the first quarter next year, citing state government problems in relocating villages and graves from the 2,000 hectare-site, five times the size of New York's Central Park. "As a result of the revised FID date, the RAPID refinery is scheduled to be ready for start-up in Q4 2017 and the remaining plants within the complex is scheduled to be commissioned in 2018," Petronas said in a statement to Reuters on Tuesday. This is at least six months later than market expectations after local media had cited Petronas CEO Shamsul Azhar Abbas in June as saying the start date for phase one of the RAPID project had been pushed back to early 2017. The complex is the largest single investment in Malaysia, and aims to grab a chunk of the $400 billion global market for specialty chemicals used in products from LCD televisions to diapers. "This massive project is getting more complicated as we move forward," said the source, who declined to be named as he was not authorized to speak to the media. "We will need to spend to secure the water supply and now parts of the project may need to be redesigned to cater for incoming project partners," he added. Petronas unveiled the Refinery and Petrochemicals Integrated Development (RAPID) project in May last year. The plan was to construct a 300,000 barrel per day refinery, which would supply naptha and liquid petroleum gas to the chemical plants and produce gasoline and diesel for European markets. Petronas has yet to award the engineering, procurement and construction jobs, although preparation work for the site started on October 18. The contracts for the refinery are expected to be awarded in November or December this year. Our apologies, the content you requested cannot be located. Our apologies, the content you requested cannot be located. The best of Reuters news delivered right into your email box absolutely free. Our apologies, the content you requested cannot be located. The best of Reuters news delivered right into your email box absolutely free. Creators Europe, Samsung Android Europe, EU Members, Eu Parliament, Former EU Currency, Ai SE Eu Te Pego, Dole ID Eu, Kniazev Eu, Dole has been struggling with volatile demand and low prices for bananas, its biggest-selling product. The sale of its worldwide packaged foods and Asia fresh produce businesses is set to result in a significant reduction in its $1.7 billion of net debt, as well as pay for restructuring costs. By contrast, Japanese trading houses are keen to diversify their profit streams away from energy and mining-related businesses and have stepped up overseas acquisitions thanks to a strong yen and flush reserves of cash. "Growth in the Japanese market will be slow, but there are growth opportunities in China, where Itochu has distribution networks like the Ting Hsin Group, as well as other Asian markets," said Akio Shibata, president of the Natural Resources Research Institute. Itochu will also gain control of plantations growing bananas and other fruits, canneries and processing factories in Asian countries, including China, South Korea, Philippines, Taiwan and Thailand. It will have exclusive rights to the DOLE trademark on packaged food products worldwide and on fresh produce in Asia, Australia and New Zealand. Tensions between Japan and China over disputed islands have sparked growing anti-Japan demonstrations but are unlikely to have a major impact on Itochu's plans to expand through its Dole assets as Itochu doesn't have What's a march through Bangkok led by Kamnan Suthep like? I had my first chance to witness one myself today and I brought my camera along. More than an hour before the first marchers appeared, local residents, many of whom had already been out for two hours, were peering into the distance for signs of movement. _Story and photos by Terry Fredrickson_ I live on Ekamai (Sukhumvit 63) and like many of my fellow residents I woke up in the morning wondering what the afternoon would be like. We knew that anti-government protesters from the Asok rally site led by Suthep Thuagsuban planned to march the entire length of Ekamai but we didn't know exactly when they would arrive or how long the road would be closed. Following the news closely this morning, we knew that the marchers, reinforced by protesters from both Pathumwan and Ratchaprasong rally sites, had started out at 10am. Since Asok is only 3 BTS Skytrain stops away from Ekamai, many people expected the marchers to reach us by noon or shortly after and they begin to gather along the road about that time. I suspected it would be longer and from Blue Sky TV, it was clear that the massive crowds on Sukhumvit Road would keep Mr Suthep occupied for many hours. Indeed, the first marchers only reached our end of Ekamai, the Petchaburi end, about 3pm. I went onto the street about 2pm and already there were many groups of people patiently waiting for signs the marchers were getting near. I noticed immediately that incoming traffic from Petchaburi Road had already been blocked off. I walked back toward Sukhumvit for a ways to mingle with the crowds along side the road. Clearly, one group was hoping for a short conversation with Mr Suthep with a long string of 100-baht bills readied as an incentive. Mr Suthep traditionally gathers donations throughout every march. The anti-government PDRC is, of course, strongly opposed to the Feb 2 general election and I noticed that in this part of the street at least, the Phue Thai election campaign signs had been turned backwards. By now traffic had been largely cut off in both directions and the crowds of people were in the street looking towards Sukhumvit. They could see flags in the distance, but it would still be a while before saw the first marchers. The traffic control team had been in position for more than an hour, however, and this young man seemed to be the leader at Ekamai Soi 22. About 10 minutes before the first marchers arrived, this national flag seller came along, doing a brisk business. He had the right idea, because sellers walking with the crowd had a much more difficult time. When the first marchers arrived, the whistles came alive from the sides of the road. The traffic controller stopped the marchers, however, to allow the rest of the procession to arrive. Interestingly, many of the first marchers were senior citizens. Smartphones and social media are indispensible to the success of events like the Bangkok Shutdown and I saw people posing for group shots and selfies the entire route. About four or five groups of marchers, together with sound trucks, blaring out music and speeches and slogans, especially "Yingluck get out," passed us for the first 45 minutes of so. Then the crowd of marchers became noticeably thicker and guards hustled us off to the side of the road. Suddenly, to my surprise, there was Kamnan Suthep himself, working the crowd, collecting money, responding to questions and, of course, hugging women and kissing babies. I snapped as many photos as I could, alternating with video, but the large, noisy crowd made it difficult. The marchers, many of them now of university age, keep coming for another 15 minutes or so, followed by a mass of motorcycles and what looked like ordinary traffic that had been caught in the procession. That was enough for me and I went back home to see what kind of photos I was able to get. donation : money or goods that you give to an organisation, especially one that helps people - เงิ email facebook googleplus pinterest twitter whatsapp Have Watchlists? Log in to see them here or sign up to get started. Create a list of the investments you want to track. Visit a quote page and your recently viewed tickers will be displayed here. Amazon rocks department stores and grocery chains, Equifax finds itself under scrutiny and technology grows smarter Troubled Brazilian meatpacking giant JBS SA said it expects to wrap up its asset-sale plan by the end of the year, and might not need to further renegotiate bank loans. A vote in Brazil's Congress extending a lifeline to embattled President Michel Temer was welcomed by markets eager for stability, but doubts remain about his capacity to advance market-friendly reforms as general elections draw near. Brazilian lawmakers voted Wednesday against putting President Michel Temer on trial on corruption charges, keeping him at the helm even as the chances of approving some of his promised economic reforms dwindle ahead of next year's presidential election. Brazilian meat packing giant JBS SA resumed the purchase and slaughter of cattle at seven slaughterhouses in the state of Mato Grosso do Sul after holding a meeting with local authorities to resolve a tax dispute. Brazilian meatpacking giant JBS said its board named Jeremiah O'Callaghan as chairman, succeeding Tarek Farahat in the position, and appointed three others to the board. Brazilian meat packing giant JBS SA stopped the purchase and slaughter of cattle at seven abattoirs in the state of Mato Grosso do Sul after a court froze about $230 million of assets belonging to it and its holding company. Amazon rocks department stores and grocery chains, Equifax finds itself under scrutiny and technology grows smarter Troubled Brazilian meatpacking giant JBS SA said it expects to wrap up its asset-sale plan by the end of the year, and might not need to further renegotiate bank loans. A vote in Brazil's Congress extending a lifeline to embattled President Michel Temer was welcomed by markets eager for stability, but doubts remain about his capacity to advance market-friendly reforms as general elections draw near. Brazilian lawmakers voted Wednesday against putting President Michel Temer on trial on corruption charges, keeping him at the helm even as the chances of approving some of his promised economic reforms dwindle ahead of next year's presidential election. Brazilian meat packing giant JBS SA resumed the purchase and slaughter of cattle at seven slaughterhouses in the state of Mato Grosso do Sul after holding a meeting with local authorities to resolve a tax dispute. Brazilian meatpacking giant JBS said its board named Jeremiah O'Callaghan as chairman, succeeding Tarek Farahat in the position, and appointed three others to the board. JBS Cancels 2018 Subsidiary IPO, Suspends Slaughter At 7 Locations While Investigations Continue Brazilian meat packing giant JBS SA stopped the purchase and slaughter of cattle at seven abattoirs in the state of Mato Grosso do Sul after a court froze about $230 million of assets belonging to it and its holding company. Ticker Trading Ideas Educational Ideas Scripts People How It Works Features Compare Plans Press Terms of Use Risk Warning Privacy Policy Cookies Policy Select market data provided by ICE Data services # JBS Cancels 2018 Subsidiary IPO, Amid Investigationss JBS processes 34,740 cows, 84,000 hides, 5.7 million birds and 21,200 hogs daily in 36 beef processing facilities and 40 slaughterhouses located throughout Brazil. This includes facilities located in the Amazon and Cerrado, regions that face deforestation pressures. Soybean production and cattle farming – a driver of deforestation in Brazil – is a key protein meal input to JBS’s proprietary chicken feed. As shown in Figure 1 (below), JBS’s stock has fallen 25 percent this year. Attempts by JBS to reduce debt have recently supported the share price. However, the continued involvement of the two brothers Batista in JBS Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Enter your email address below to get the latest news and analysts' ratings for your stocks with our FREE daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: [TRADE IDEAS REVIEW – IS THIS THE BEST STOCK SCANNER? Trade Ideas is arguably one of the top scanning tools available on the market right Trade Ideas Pro helps traders find the best setups in the market right NOW Scottrade and E*TRADE license Trade Ideas proprietary technology for their premium trading platforms. We have fully automated trading available through Lightspeed and Interactive Brokers. Get the Next Big Winner in your inbox Before the Bell Complete the form below to receive the latest headlines and analysts' recommendationsfor Vodafone Group with our free daily email newsletter: Enter your email address below to get the latest news and analysts' ratings for your stocks with our FREE daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Somewhat Positive Press Coverage Somewhat Unlikely to Affect United Community Financial (UCFC) Share Price Complete the form below to receive the latest headlines and analysts' recommendationsfor Jacobs Engineering Group with our free daily email newsletter: Jacobs Engineering Group Inc is a technical professional services company. The Company provides a range of technical, professional and construction services to industrial, commercial and governmental clients. The Company's services include Project Services; Process, Scientific, and Systems Consulting Services; Construction Services, and Operations and Maintenance Services. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Enter your email address below to get the latest news and analysts' ratings for your stocks with our FREE daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Enter your email address below to get the latest news and analysts' ratings for your stocks with our FREE daily email newsletter: Get the Next Big Winner in your inbox Before the Bell # Recent Weakness in Baidu Inc Stock Is a Buying Opportunity In other words, BIDU stock is winning this year, but not as much as it could be given how its peers have performed. Does that mean buy BIDU stock? I think so. The China internet growth narrative appears to still be in its early innings with multiple years of growth ahead. This 4 to 6 times supercharged revenue growth on Singles' Day underscores the thesis that the China internet growth narrative is only strengthening. And that BIDU, like BABA, will be a big winner as this growth story continues to pick up momentum. Considering that China usually lags America in terms of tech adoption trends and that smart home products have been hugely popular in the United States, smart home tech adoption in China will be a big growth story to follow over the next several years. BIDU is particularly leveraged to deliver a market-leading product in this space. The search giant is the leading Chinese tech company in AI. 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Please contact via a different client configuration if you believe that this is a mistake. Trading Economics members can view, download and compare data from nearly 200 countries, including more than 20 million economic indicators, exchange rates, government bond yields, Javascript must be enabled for the correct page display We want to retain your service for the purpose of debt collection in your jurisdiction Please give us the opportunity to prove our self and we shall provide all document you need to accept our proposal. Our company Henan Fengbao Iron and Steel. and its subsidiaries Develop, Construct,Iron Steel and Manage large power plants throughout China and North America needs your services as an account receivable agent to our customers in Canada and USA on a 12 months contract basis you will be responsible for collection of all account receivables in the above region to directly support our sales operations it's part time job that takes less than 2 hour(s) of your time daily with a 5% commission and $4,900 monthly salary payment. I understand this is not your area of expertise, we have also reviewed your profile on LinkedIn and knowing your eligibility to help our company help fulfill one of its major goal this is the reason I have reach out to you. Sincerely yours Han Rong Senior Business Consultant Henan Fengbao Iron and Steel We are currently interested in employing your service for business representation. We understand your present job might have a busy nature, but we want you to know that this service is not time consuming. We look forward working with you.Have a great day ahead Hesteel Group Co. Ltd intends to pursue steady growth and aims to become a globally competitive group that continues to contribute to the prosperity of society through the further development of fine products and environmental and energy-saving initiatives. The Company is one of the largest iron and steel producers and marketers in the PRC, and is principally engaged in the manufacture and sale of iron and steel products. The manufacturing process primarily involves iron-making, steel-making and steel rolling projects. The Company’s principal product is steel products which come in four major categories: steel plates, section steel, wire rods and train wheels. As we expand our progress and business copied with the high demand of our products in your region, we are currently working on establishing representative offices and sales centers in North America. Until the centers are established, we need a reliable company (irrespective of the business type) that will stand as an intermediary between our company and customers in your country or region. Hence our reason for contacting you. In recent times we have had some good, bad and ugly experiences with our customers in North America, and we have been working out possible strategies to overcome these challenges. Some of these challenges includes; difficulty in confirming receipt of goods by customers, customers not paying fully for goods and services rendered, and customer negligence in giving full update regarding our supplies We have discovered that having a representative/individual consultant in the same region with our customers would make it very easy for our customers to comply to services rendered to them without delay. We currently have approximately $1,908,613.00 USD owed to our company by our customers United States and Canada for good supplied to them in April and May 2017 respectively. We shall be paying you the sum of $4,900 USD as monthly salary for your services, and you will be entitled to 5% commission on every payment received from our customer on our behalf. Having said the above, we shall now proceed to signing of the Memorandum of Understanding. We require some information form you to prepare the Memorandum of Understanding. Information needed are as follow: Upon receipt of the above, we shall send you a copy of the Memorandum of Understanding for signing. At Hesteel Group Co. Ltd, we respect the diversity, character and individuality of each employee, and strive to create safe and employee- friendly work environments that provide all employees with a sense of comfort and fulfillment. We look forward to a mutually beneficial future The page you requested doesn’t exist here. 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Separate different tags with a comma. To include a comma in your tag, surround the tag with double quotes. Be the first to add a tag for this edition No user comments or reviews for this version Next article in issue: Interfirm differences in earnings variability: an analysis of fundamentals, cash flows and accruals * We thank seminar participants at the Victoria University of Wellington, the 2012 New Zealand Finance Colloquium PhD Symposium, our discussant, Russell Poskitt, Henk Berkman, the editor who handled this submission, and an anonymous referee for useful comments. All errors are our own. This paper is based on the first chapter of Saqib Sharif's PhD thesis. China's recent removal of short-selling and margin trading bans on selected stocks enables testing of the relative effect of margin trading and short selling. We find the prices of the shortable stocks decrease, on average, relative to peer A-shares and cross-listed H-shares, suggesting that short selling dominates margin trading effects. Contrary to the regulators' intention and recent developed market empirical evidence, liquidity declines and bid-ask spreads increase in these shortable stocks. Consistent with Ausubel (1990), these results imply that uninformed investors avoid the shortable stocks to reduce the risk of trading with informed investors. On 31 March 2010, the China Securities Regulatory Commission (CSRC) permitted margin trading and securities lending for the first time.1 The launch of short selling in China occurred at a time when market regulators around the world were restricting short-selling activities, especially on financial sector stocks.2 This allows us to document the impact of a country 'swimming against the tide' of international regulation. We examine the effect of margin trading and short sales on relative prices, liquidity, and volatility, using data from Mainland China and Hong Kong. We contribute to the literature in several ways.3 Firstly, the dual introduction of short selling and margin trading allows us to assess the relative impact of each. We find that the impact of allowing short sales is the stronger of the two. It seems that it is the heightened risk of trading against informed investors that is driving this result. Secondly, we document the introduction of short selling and margin trading on liquidity in an emerging market. These issues have received relatively little attention in emerging markets compared with developed markets. Emerging markets evidence may be different to that from developed markets due to factors such as weaker investor protection (e.g. Morck _et al_., 2000). Contrary to both the regulator's intention and evidence from developed markets, this change in regulation resulted in decreased liquidity. This implies that investors avoid the stocks the regulation relates to. Thirdly, there is only limited evidence on the impact of short sales and margin trading on stock returns in emerging markets. Lee and Yoo (1993) find no relationship between margin requirements and stock return volatility in Korea and Taiwan, while Lamba and Ariff (2006) find return increases following the relaxation of short-sale constraints in Malaysia. From a public policy perspective, our findings suggest that the introduction of margin trading and short selling aids in the price discovery process. In particular, short selling allows for the first time in China investors with a pessimistic outlook for a firm to have their views incorporated into stocks prices. However, the regulation change does not boost the liquidity of the pilot programme securities, as anticipated by the regulators. In fact, liquidity as measured by spread and daily trading value deteriorate for pilot stocks. Conversely, allowing margin trading permits cash-constrained investors with a positive view on a stock price to trade. This implies the price of pilot firms should be higher, relative t Capella Education Company, through its subsidiaries, provides online postsecondary education and job-ready skills development services in the United States. The company has market cap of $933.99 million. The Company's Post-Secondary segment offers various doctoral, masterÂ’s, and bachelorÂ’s online programs for working adults in business and technology, education, nursing and health sciences, public service leadership, social and behavioral sciences, and undergraduate studies markets; and learning courses that are eligible for transfer into credit at approximately 2,000 colleges and universities. It has a 22.67 P/E ratio. At December 31, 2016, it offered approximately 1,940 online courses and 53 academic programs with 153 specializations to approximately 38,000 learners. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: [TRADE IDEAS REVIEW – IS THIS THE BEST STOCK SCANNER? Trade Ideas is arguably one of the top scanning tools available on the market right Trade Ideas Pro helps traders find the best setups in the market right NOW Scottrade and E*TRADE license Trade Ideas proprietary technology for their premium trading platforms. We have fully automated trading available through Lightspeed and Interactive Brokers. Get the Next Big Winner in your inbox Before the Bell JCI has conspicuous measure of stock oscillations; average true range may be heating up this temperature with value of 0.89. ATR is an exponential moving average (consist of 14 trading days) of the True Ranges that is explaining range of a day's trading is high-low. Most of traders have the same opinion that volatility shows clear cycles and relying on this belief, ATR can be used to set up entry signals. The ATR breakout systems are frequently used by short-term traders to time entries. Taking short look on returns of the firm, net profit margin recorded as 31% while operating profit margin was 8.70%, whereas price to sale ratio stands at 1.15 and it indicates how much investor paid for a share compared to the sales a company generated per share. A higher ratio means that the market is willing to pay for each dollar of annual sales. A higher P/S ratio means that the market is willing to pay for each dollar of annual sales and a better benchmark is to compare with industry average. StockMarketStop focused on covering the most important business and finance news in US and world market. A price target is the projected price level of a financial security stated by an investment analyst. It represents a security's price that, if achieved, results in a trader recognizing the best possible outcome for his investment. This is the price at which the trader or investor wants to exit his existing position so he can realize the most reward. Basically, a price target is an individual analyst's projection on the future price of a stock. There is no concrete way to calculate a price target. Different analysts and financial institutions use various valuation methods and consider different economic forces when deciding on a price target. A moving average (MA) is a trend-following or lagging indicator because it is based on past prices. The average is taken over a specific period of time, like 10 days, 20 minutes, 30 weeks, or any time period the trader chooses. There are advantages to using a moving average in your trading, as well options on what type of moving average to use. Moving average strategies are also popular and can be tailored to any time frame, suiting both long term investors and short-term traders. Volatility is a statistical measure of the dispersion of returns for a given security or market index. Volatility can either be measured by using the standard deviation or variance between returns from that same security or market index. In order to reach an opinion and communicate the value and volatility of a covered security, analysts research public financial statements, listen in Fighting the loss, the actor said that cancer can do two things to you, either crush you or teach you to live in the present moment and not take life for granted. The former Secret Life Of Us actor added that he was accepting the change in his life for Connie's sake, particularly when it comes to the first Christmas without her. He divulged he would be hosting the Christmas celebrations at his home. Walking away: Actor Samuel Johnson is most famous for playing the lead role of Molly Meldrum in the TV mini-series, Molly Will he be back? Samuel also told the magazine he remains in two minds about whether he will return to his showbiz career, despite winning a Gold Logie this year Samuel also told the magazine he remains in two minds about whether he will return to his showbiz career, despite winning a Gold Logie this year. The AACTA Award winner stepped away from acting so he could focus full time on raising $10 million for his Love Your Sister cancer charity, a project he and sister Connie started when she got sick. Samuel admitted that his career and accolades (Including the Gold Logie nomination and win) stopped making sense once he saw his sister battling the disease. Struggle: Gold Logie winner Samuel Johnson has opened up about his struggle watching his beloved sister Connie battle breast cancer, saying he's still happy to walk away from acting Part of the Daily Mail, The Mail on Sunday & Metro Media Group Trina Explains Why She’ll Always Be the Baddest In This Love & Hip Hop Miami Web Exclusive CLINTON — The Clinton City Council on Tuesday is set to hold the second reading of an ordinance that aims to give taxicab and limousine operators in the city a little more freedom when it comes to several aspects of their business. MOUNT CARROLL, Ill. — Fulton put together its second strong start in less than 24 hours and held off West Carroll the rest of the way for a 52-42 win in a third-place matchup between the co-hosts of the Route 84 Holiday Tournament on Saturday at West Carroll Middle School. VERSAILLES, Mo. — A Missouri state trooper convicted of a misdemeanor for the drowning death of a handcuffed Iowa man has been fired. CLINTON — Clinton County native Dustin Johnson has brought farming back to his lineage. Now, he’s been named the recipient of this year’s Iowa Farm Bureau Federation 2017 Young Farmer Achievement award. The achievement award was based on three criterium: growth in farm operations, management practices and involvement within the Farm Bureau. Though he is the president of the area organization, Johnson has taken on heads of state and traveled to capitals advocating for farmers. Eleven years ago, Johnson moved back home and began renting 75 acres of his grandfather’s land; he now farms on 1,200 rented acres and works cattle. His big push, though, is stewardship of the land while maintaining healthy efficiency. “I have some of the best landowners in the countryside that truly believe in taking care of the land, taking care of their farm and are very supportive of me trying new things and making investment in how we farm to do the best job we possibly can,” Johnson said. Johnson, the Clinton County Farm Bureau president, also does custom work with other farmers. He plants, sprays and harvests acres for other farmers while maintaining his rented land. His work is collaborative, and he feels like everyone he works with is on the same page. With a good team, and conservation practices, Johnson has grown his practices and has achieved higher yields, going from 142 bushels to 214, in a matter of five years. “We do it because we believe in what we do and how we do it. In that, it’s a regarding way of work,” Johnson said. The Farm Bureau provides a network of producers that shares ideas and experiences. To Johnson, the stake of producers is not the only concern — it is the entire state of Iowa. “Our policy in Farm Bureau is made up of opinions of other farmers just like me,” said John Start of Search Overlay search search Submit search query End of Search Overlay Start of Search Overlay Search Submit search query End of Search Overlay The stock information provided is for informational purposes only and is not intended for trading purposes. The stock information is provided by eSignal, stock charts are provided by EDGAR Online, both third party services, and JPMorgan Chase & Co. does not maintain or provide information directly to this service. Stock information is delayed approximately 20 minutes. The stock information provided is for informational purposes only and is not intended for trading purposes. The stock information is provided by eSignal, stock charts are provided by NASDAQ OMX, both third party services, and JPMorgan Chase & Co. does not maintain or provide information directly to this service. Stock information is delayed approximately 20 minutes. The historical stock information provided is for informational purposes only and is not intended for trading purposes. The historical stock information is provided by Mergent, a third party service, and JPMorgan Chase & Co. does not maintain or provide information directly to this service. Prices display split-adjusted cost basis per share on that date. Complete the form below to receive the latest headlines and analysts' recommendationsfor Alleghany with our free daily email newsletter: IMGN’s relative volume was 3.17. Relative volume is a great indicator to keep a close eye on, but like most indicators it works best in conjunction with other indicators and on different time frames. Higher relative volume you will have more liquidity in the stock which will tighten spreads and allow you to trade with more size without a ton of slippage. # The impact of company type and corporate social responsibility messaging on consumer perceptions Consumer distrust is particularly salient in the context of the current mortgage crisis, and mortgage companies are looking for ways to change their image and regain consumer confidence. This study examines whether advertisements portraying a message of corporate social responsibility (CSR) might help financial institutions in enhancing consumer perceptions of the company. One hundred subjects were randomly selected from among the faculty and staff of a large American university. Subjects were exposed to advertisements, with or without a CSR message, for two well-known service organizations (JP Morgan Chase and Verizon). Results suggest that consumers harbor negative attitudes toward mortgage companies and skepticism about advertising from these companies, but that the inclusion of a CSR message can mitigate these effects, resulting in improved attitudes toward the company. Managerial implications are discussed. School of Hospitality Management, Pennsylvania State University, 224 Mateer Building, University Park, PA 16802, USA ‘ Poorly written mortgage loans, including home equity and subprime loans, contributed is the Marriott Professor of Lodging Management at The School of Hospitality Management at The Pennsylvania State University. She holds a PhD in services marketing from Cornell University. Her research interests focus on service encounters, with a particular interest a nd currently serves on numerous editorial boards of journals specializing in services management. is a PhD candidate at The School of Hospitality Management at The Pennsylvania State University. She holds an MBA from The Daniels College of Business at the University of Denver. Her research interests include service failures, service recovery, spa management and is a PhD candidate at The School of Hospitality Management at The Pennsylvania State University. She holds a Masters degree in Hospitality and Tourism from The University of Nevada, Las Vegas. Her research interests include service failures, service recovery, ABSTRACT Consumer distrust is particularly salient in the context of the current mortgage crisis, and mortgage companies are looki Complete the form below to receive the latest headlines and analysts' recommendationsfor J Sainsbury with our free daily email newsletter: The Exchange accepts no responsibility for the content of the website you are now accessing or for any reliance placed by you or any person on the information contained on it. By allowing this link the Exchange does not intend in any country, directly or indirectly, to solicit business or offer any securities to any person. You are accessing the London Stock Exchange Annual Report Service powered by PrecisionIR. The Exchange accepts no responsibility for the content of the reports you are now accessing or for any reliance placed by you or any person on the information contained therein. By allowing this link the Exchange does not intend in any country, directly or indirectly, to solicit business or offer any securities to any person. Complete the form below to receive the latest headlines and analysts' recommendationsfor J Sainsbury with our free daily email newsletter: Complete the form below to receive the latest headlines and analysts' recommendationsfor J Sainsbury with our free daily email newsletter: Enter your email address below to get the latest news and analysts' ratings for your stocks with our FREE daily email newsletter: Complete the form below to receive the latest headlines and analysts' recommendationsfor The Sage Group with our free daily email newsletter: The Sage Group plc is a United Kingdom-based company, which provides integrated accounting, payroll and payments solutions. The Company also provides the option of solutions hosted locally and accessed on-premise. The Company's segments include Europe, which consists of France, the United Kingdom and the Ireland, Spain, Germany, Switzerland, Poland, Portugal and Sagepay; North America, which consists of the United States and Canada, and International, which consists of Brazil, Africa, Australia, the Middle East and Asia. 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Osaka Gas will contribute gas production expertise for the facility, with operations targeted to begin in 2020. As Osaka Gas establishes its first city-gas production site in greater Tokyo, the utility also eyes gas sales in that region eventually, possibly by using the open capacity of other companies' existing LNG tanks to supply the fuel. Japan's liberalized city-gas market has drawn few newcomers because the safety expertise needed is a barrier to entry, and major gas and electricity companies have yet to expand gas businesses beyond their traditional service areas. The greater Tokyo market, the largest in Japan, has produced only about one- third of such switches, enticing Osaka Gas to tap the region's strong potential demand. Tepco and JXTG possess established customer bases for electricity and oil in the area, and working with these two companies would aid efforts by Osaka Gas to enter gas wholesale and retailing down the road. Japan releases video of crackdown on North Korean fishing boats The live stream sales through smartphone boom Subscribe to get unlimited access to all articles. Subscribe today to continue enjoying NAR. • Unlimited access to asia.nikkei.com • Unlimited access to NAR mobile and tablet apps • Add delivery of NAR in print each week Redeemable only through the Subscribe button below Your subscription renewal could not be processed. Please update your payment information to continue enjoying the Nikkei Asian Review. Subscribe today to continue enjoying NAR. • Unlimited access to asia.nikkei.com • Unlimited access to NAR mobile and tablet apps • Add delivery of NAR in print each week Do you want to keep abreast of the issues in Asia? Sign up now for an individual subscription and continue enjoying the Nikkei Asian Review. * Your subscription period starts immediately after the expiration of your current subscription, and will be charged to your credit card accordingly. Your full access to the Nikkei Asian Review will be expired soon. * Your subscription period starts immediately after the expiration of your current subscription, and will be charged to your credit card accordingly. Subscribe today to enjoy the Nikkei Asian Review Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: Get the Next Big Winner in your inbox Before the Bell Get the Next Big Winner in your inbox Before the Bell The page you were looking for may have been removed. You may have typed the wrong URL in the address bar. Although unlikely, there could have been a technical error on our site. A mid complaints from thermal power plants over inadequate supply of fuel, CIL reported that it has produced 278.01 mt during the April to October period, but missed the target by five percent. The miner, which has a target to produce 292.77 mt during the period, achieved a 1.6 percent growth in production from 273.57 mt produced in the same period last year, its provisional data showed. According to data, CIL produced 46.14 mt in October only, missing the production target of 49.47 mt for the month by seven percent. The Central Electricity Authority's latest data showed coal stocks available with power plants stands now at an average of six days while 22 plants have very low stocks positions. CIL said the company is "pushing hard" to meet the 600 mt production target for fiscal 2017-18 and the one billion tonne production mark for 2019-20. In October only, its off-take was at 48.28 mt, as against the target of 48.14 mt. The power ministry said coal situation at power plants is “much better” and dry fuel stocks Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. The Kansai Electric Power Company, Incorporated generates electricity from hydroelectric, thermal, geothermal, and nuclear power sources. The Company distributes electricity to Osaka and the surrounding Kansai area. Kansai Electric also constructs and maintains electrical power facilities.Address Sorry, no quarterly data is available at this time. This has removed a major sticking point in the power company's efforts to restart the No. 6 and No. 7 reactors at the plant. However, the authority will still have to check the plant's earthquake resistance level. Because it takes several months for the NRA to write an assessment report, the earliest that the reactors could get the green light would be this summer. Restarting these reactors would be a significant development, since they would be the first boiling water reactors, or BWRs, allowed to resume operation since the disaster at the Fukushima Daiichi plant, which had the same type of reactors. BWRs are said to be more prone to pressure buildup in times of accidents compared to pressurized water reactors, or PWRs. All five reactors at three plants that have passed the authority's safety checks so far are PWRs. Because BWRs' weakness stems from the fact that their reactor containment vessels are smaller, the NRA has demanded that operators of BWRs reinforce the vessels. The safety assessment for the Kashiwazaki-Kariwa plant's Nos. 6 and 7 reactors has become a protracted process that began in autumn 2013. More than 100 meetings have been held between the NRA and Tepco. The utility reported a record pretax profit of 436.2 billion yen for the April-December period, thanks mainly to lower fuel prices. But the company still sees reducing its reliance on fossil fuels as essential to stabilizing its earnings in the long run. Tepco was effectively nationalized in 2012, and the government has been shouldering its damages payouts for victims of the Fukushima disaster. But the company has an obligation to pay the money back with future earnings. According to the guideline for the ideal breakdown of power sources for Japan in 2030, which the government drew up last year, nuclear power should be supplying 20-22% of electricity in that year. Because the Kashiwazaki-Kariwa plant has a large output, reconnecting the facility to the power grid would move the country closer to that mix. But Tepco still needs to win the support of local communities to start up the plant even after receiving the NRA's approval. This is a tall order, since the company is under close public scrutiny for its role in the Fukushima disaster. Hirohiko Izumida, the governor of Niigata Prefecture, for one, maintains a cautious attitude toward a restart. The No. 1 and No. 2 reactors at Kansai Electric's Takahama plant may also get the green light before long. But because the plant has been operating since the 1970s, those reactors, which the company is hoping to operate until up to their 60th year, will be subjected to a separate series of inspections to check their wear and tear. Japan releases video of crackdown on North Korean fishing boats The live stream sales through smartphone boom Subscribe to get unlimited access to all articles. Subscribe today to continue enjoying NAR. • Unlimited access to asia.nikkei.com • Unlimited access to NAR mobile and tablet apps • Add delivery of NAR in print each week Redeemable only through the Subscribe button below Your subscription renewal could not be processed. Please update your payment information to continue enjoying the Nikkei Asian Review. Subscribe today to continue enjoying N Our apologies, the content you requested cannot be located. The best of Reuters news delivered right into your email box absolutely free. Akihito Fujii, general manager of KDDIs cloud services planning unit, said the company needs to educate its channel partners and internal engineers. We have hundreds of field engineers for those deployments inside KDDI, said Fujii. We also have an external partner for that service deployment. We need to educate and train those people. KDDI will approach its enterprise customers gently with a small start SD-WAN, which includes a customer premise device and software for some basic virtualization of their application traffic. Of course, enterprises can also select a full-blown SD-WAN package with a variety of functions. Masahiro Kajikawa, general manager in KDDIs network services planning unit, said, It depends on the customer request, some big enterprises would ask KDDI to deploy widely. We interviewed tons of customers and investigated the customer environment. I think most customers will chose the small-start and go step-by-step. Kumar Mehta, founder and chief development officer of Versa Networks, said, KDDI has a presence in 190 countries and 48 data center locations that allows them to unfold the service globally to the Japanese multinationals around the world. They wanted to realize software networking, not go with proprietary hardware for SD-WAN. Just today, Symantec announced a new cloud security product that allows customers to monitor and contain threats across all devices, networks, and applications within a single Symantec agent. The product called Endpoint Security for the Cloud Generation brings together several security features. One feature, for example, turns the tables on attackers by bringing deception capabilities to endpoint protection. The technology deceives attackers into believing they have successfully breached an organization, when in reality, attackers are shunted to a false environment and served up fake assets and information while the security team works to neutralize the attack. Our apologies, the content you requested cannot be located. The best of Reuters news delivered right into your email box absolutely free. The demonstration leveraged capabilities driven by 5G, such as high throughput, low latency and massive connections, which verified potential services and use cases that would be highly-beneficial to passengers and operators of high-speed trains. This could pave the way to vastly improved backhaul for onboard WiFi, superior passenger infotainment and increased security and analytics 'In collaboration with Samsung, KDDI has opened up the possibility for new 5G vertical business models, such as a high-speed train. With 5G expected to bring railway services to a whole new dimension, the success of today's demonstration in everyday locations such as a train and train station is an important milestone indicating 5G commercialization is near,' said Yoshiaki Uchida, Senior Managing Executive Officer at KDDI. 'To fulfill our aim to launch 5G by 2020, KDDI will continue exploring real-life scenario experiments for diverse 5G use and business cases together with Samsung.' 'The potential that 5G holds is powerful enough to transform the landscape of our daily lives,' said Youngky Kim, President and Head of Networks Business at Samsung Electronics. 'The success of today's demonstration is a result of our joint research with KDDI, which we will continue to pursue as we explore next generation networks and use cases. This will include research on diverse spectrums and technologies, as well as new business models and applications.' Since 2015, KDDI and Samsung Electronics have been closely collaborating to demonstrate 5G millimeter wave performance in various scenarios. This includes a multi-cell handover demonstration that took place in February, where the device was mounted on a car traveling the busy streets of Tokyo, and a high- speed mobility test with the devic The requested URL could not be matched by routing. In most of the cases when a motor fails, getting another motor fast is of prime importance. One of the engines we get calls for all the time is the 2.7 liter V6 engine Dodge and or Chrysler built from 1998 to 2002. Being the perfect size and having exactly the right amount of power, it was a hit in the cars Dodge chose to use it. I suspect hundreds of thousands of these motors were used in all sorts of Dodge and Chrysler products. Since 2001 several commonly reported complaints regarding the 2.7 liter engine regarding timing chain failure and engine failure, caused by oil sludge buildup have been registered. Only one sensible choice is available to solve both of your problems. What I mean is, number one, we can supply you with a competent replacement remanufactured engine. Number two, our replacement motors are remanufactured without the innate problems. Simply put, we use approved updates and parts to eliminate the reason these engines had so many "sludge" related failures. A remanufactured motor, done right is a true value in anyone's eyes. For what you will pay for it, and the amount of trouble free service it will deliver, it will exceed your expectations easily. Another side benefit is our engines is they run better than the new engines with the updates we use. That is a hard combination to beat for a fair price. If you are like me, and need things explained better, than make the call. That is why we employ an experienced sales force. Our goal is to provide you with the right info, in terms you will understand, why our recommendation is perfect for you. In 1974 the GT model was introduced, and in 1975 the 2.2 liter redesigned 20R Supra engine replaced the outdated 18R Supra engine. In 1976 Celica was named, “Import car Of The Year” since it had Mustang like features, especially when the hatchback was introduced. In 1978 the first 2.6 liter, 110 horsepower inline 6-cylinder Supra engine was under the hood, but that heavy weight engine didn’t get the high marks it was designed to receive. Ford’s brightest task masters came up with a noble idea. They combined the tunnel port Windsor block from their Windsor Ontario plant with large Cleveland heads from their Cleveland plant and produced the Boss 302 V8 engine. Mustangs hit the assembly line with new power, and the car world found a new love interest. The ironic part about this new engine was the fact that a former GM employee actually designed the Boss 302 Mustang; Ford added a little salt to GM's Trans Am and Camaro sales wounds. The distinct styling, which included optional black horizontal window shades and blackout hood, was complimented by a rear deck wing and front spoiler. The 1970 Boss could hit 0 to 60 in 6.9 seconds. The 4-speed manual transmission and Boss 302 V8 with its free-breathing Cleveland heads that had valves larger than most engines made the Mustang a prized possession. The Boss 302 V8 and the Mustang Cobra became so popular that it was immortalized by Matchbox and Hot Wheels. The 1969 and 1970 Boss 302 Mustang became a die cast reproduction model car. The motor uses direct cylinder fuel injection, and is a drive by wire design, using valvetronic technology. The power output is controlled by infinitely varying valve lift, moving the rockers and rocker fulcrums with electric servos, rather than using a convention hydraulic lifter setup. If you study the history of Rolls Royce, the company bases every value from it's paradigm of making the highest quality motors and cars in the world. A huge manufacturer of aircraft motors from the beginning. Motor cars are only one division of the company. Rolls Royce is a much larger and more diversified company than most people know about. Contrary to most beliefs they are very active in other segments of the motor industry that uses special and ultra reliable motors, at any cost. Rolls Royce owners are sensitive about money. They are sensitive about wasting mon Information and pictures are from the Internet, the copyright belongs to the original owner. If there is infringement please inform to remove. Thank you! Data is a real-time snapshot *Data is delayed at least 15 minutes Global Business and Financial News, Stock Quotes, and Market Data and Analysis Sorry, the page you are looking for could not be found. © 2017 Copyright Investors Hangout, LLC All Rights Reserved. Why pay others when you can get more data here FREE when you join? Company Profiles, News, Filings, Financials, Buy Ratings, Time & Sales, Message Boards & More! Sorry, the page you are looking for could not be found. **Operates as a holding company** Ko Holding AS engages in the provision of industrial and services. It operates through the following segments: Energy, Automotive, Consumer Durables, Finance, and Other. The Energy segment operates in refinery, fuel distribution, LPG distribution, power generation, natural gas and other industries. The Automotive segment operates in various industries such as passenger cars, commercial vehicles, farm tractors and defense. The Consumer Durables segment involves in white goods and consumer electronics. The Finance segment engages in banking, leasing, insurance, real estate investment trust, pension funds, factoring, brokerage, asset management and consumer finance activities. The Other segment includes other lines of business, which include food production, food production distribution, retailing, tourism, marine operations, information technology, and ship and yacht construction. The company was founded by Vehbi Ko on December 6, 1963 and is headquartered in Istanbul, Turkey. The resource requested could not be found on this server! Please be advised that LiteSpeed Technologies Inc. is not a web hosting company and, as such, has no control over content found on this site. Enter your email address below to get the latest news and analysts' ratings for your stocks with our FREE daily email newsletter: You are banned from this site. Please contact via a different client configuration if you believe that this is a mistake. # Koc Holding and Tata Group Companies Sign Joint Venture to Tap Into India's Rapidly Growing White Goods Consumer Market The Joint Venture Company (JVC), with an equity capital of $100 million, will leverage the Beko brand and its expertise in the major domestic appliance sector across the globe, as well as Voltas' strong brand presence and wide sales and distribution network in India. With the new greenfield investment, the JV looks to achieve a market leadership position in white goods. The new production facility is aimed to be operational by the end of 2018. The JVC will also sell major domestic appliances produced in various facilities of Beko around the world. The JV demonstrates a joint vision of building a long-term sustainable durables business in India and Beko's ongoing focus on the Asian continent as the key driver in its strategic growth plans. Commenting on the partnership, Fatih Kemal Ebiclioglu, President of Consumer Durables Group of Koc Holding, said: "Given the accelerating shift of global economic power to Asia, this joint venture will be a critical step for Beko's growth in the region. India stands out as an important opportunity window as it offers a great potential with its 1.3 billion population. In the last ten years alone, the Indian major domestic appliances market grew by nearly 9 percent, surpassing the overall 3 percent growth of global white goods market. With this joint venture, we make a strategic move to increase our global competitive advantage." "India's rapidly expanding new middle class presents a major opportunity for our business. This young, urbanizing population includes many first-time buyers investing in white goods. The potential for growth in this market is incredibly exciting and we are proud to be partnering with the Tata Group to deliver this ambitious new partnership. Ishaat Hussain, Tata Sons Director and Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. Connecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world. Complete the form below to receive the latest headlines and analysts' recommendationsfor Korea Electric Power with our free daily email newsletter: Korea Electric Power Corporation (KEPCO) is an integrated electric utility company engaged in the transmission and distribution of electricity in the Republic of Korea. Its segments include transmission and distribution, nuclear power generation and thermal power generation and all others . The transmission and distribution segment, which is operated by KEPCO, comprise operations related to the transmission, distribution and sale to end-users of electricity. Complete the form below to receive the latest headlines and analysts' recommendationsfor Entegris with our free daily email newsletter: At the heart of the philosophy of Post Analyst – news coverage on the principles of the highest quality standards. During its more than 20-year history, the company has established itself as a reliable and responsible supplier of business news and market analysis. Key employees of our company are professionals in the field of business, finance and stock markets. On our site you can always find daily updated business news from around the world. Cumbria Local Enterprise Partnership has welcomed NuGen’s confirmation that the Korea Electric Power Corporation (KEPCO) is the preferred bidder to invest in the Moorside nuclear power plant development. Cumbria LEP has been working with NuGen to help deliver Moorside and also to create the right environment to attract direct foreign investment into the project. Cumbria LEP director Graham Haywood says: “We welcome the confirmation of KEPCO’s plans to invest in Moorside. This is a positive step forward to making the project a reality and bringing a real economic boost to Cumbria. “Cumbria LEP has always been strongly supportive of Moorside and we’ve been working very closely with NuGen over a number of years to help deliver the project. With secure investment, the project can move forward. “Moorside will make a major contribution to Cumbria’s economy. It will not only provide significant economic benefits during the construction phase, but it is also a much longer term commitment that will create jobs, secure employment and increase local supply chain opportunities over the next 30-40 years. “It’s a priority for the LEP to ensure that when Moorside is built, it brings a wider legacy of benefits for communities across Cumbria.” Moorside will be the largest nuclear plant in Europe and will supply 7% of the UK’s electricity, also creating up to 21,000 jobs. Cumbria LEP has also been lobbying for additional investment and government support for the nuclear industry in the county, with measures to develop skills, strengthen local supply chains and provide an extended business support programme. It has also requested that key road and rail infrastructure proposals, such as the Whitehaven relief road and the coastal rail line upgrade, are given higher priority. Enter your email address below to get the latest news and analysts' ratings for Korea Electric Power Corporation with our FREE daily email newsletter: Korea Electric Power Corporation (KEPCO) is an integrated electric utility company engaged in the transmission and distribution of electricity in the Republic of Korea. Its segments include transmission and distribution, nuclear power generation and thermal power generation and all others . The transmission and distribution segment, which is operated by KEPCO, comprise operations related to the transmission, distribution and sale to end-users of elect Before trading, trader, investor or shareholder must have an eye on stock’s historical performance. Analysts review historical return data when trying to predict future returns or to estimate how a security might react to a particular situation, such as a drop in consumer demand. Historical returns can also be useful when estimating where future points of data may fall in terms of standard deviations. Analyzing historical data can give some perception of how a security or market has reacted to various different variables, from regular economic cycles to sudden world events. Shareholders looking to interpret historical returns should keep one caveat in mind: you can't assume that the future will be like the past. The older the historical return data is, the more likely it is to be less useful when predicting future returns. Historical return data for KHC stock is described below: Hot Stocks Point Staff includes Robert Ebelling, Rene P. Todd, Robert McCormick, Patricia Myles and Frank Redding. Hot Stocks Point Staff believes that there are emerging and growing companies across various industry sectors with sizeable hidden value. Market disruptive discovery and innovation often occurs in small to mid-size companies that are either misunderstood or underrepresented. So they focus on identifying these companies and uncovering their stories before the rest of the market to ensure that you receive the full story – every single day. Our mission is to provide unmatched news and insight on newsworthy and momentum stocks to potential traders looking to execute the best possible public and private capital allocation decisions. Complete the form below to receive the latest headlines and analysts' recommendationsfor Kraft Heinz Co with our free daily email newsletter: The Kraft Heinz Company is a food and beverage company. The Company is engaged in the manufacturing and marketing of food and beverage products, including condiments and sauces, cheese and dairy, meals, meats, refreshment beverages, coffee and other grocery products. The Company's segments include the United States, Canada and Europe. The content on this page is provided for reference purposes only. This content has not been altered or updated since it was archived. FDA posts press releases and other notices of recalls and market withdrawals from the firms involved as a service to consumers, the media, and other interested parties. FDA does not endorse either the product or the company. # The Kraft Heinz Company Expands Voluntary Recall of Wrapped American Slices The original July 31, 2015 recall has been expanded. This product list below is inclusive of the previously recalled 3 LB and 4 LB sizes of _Kraft_ Singles American and White American pasteurized prepared cheese product with a "Best When Used By" date of 29 DEC 15 through 04 JAN 16, followed by the Manufacturing Code S54 or S55. Only products with the S54 and S55 codes, which refer to the two production lines on which the impacted product was made, are included in this recall. The "Best When Used By" Date and Manufacturing Code are stamped on both the outer box and the individual packages. The voluntary recall is expanded to include the following varieties of Kraft Heinz American slices in addition to the original recall: Kraft Heinz is taking this action as a result of two new consumer complaints of choking in connection with the packaging issue. Approximately 335,000 additional cases of the recalled product were shipped by Kraft Heinz to retailers in the U.S. and Puerto Rico, Anguilla, Bahamas, Belize, Bermuda, Cayman Islands Grand Cayman, Netherland Antilles, Saint Kitts and Nevis, South Korea, St. Lucia, and British Virgin Islands. Wall Street applauded the marriage and sent the stocks of both companies sharply higher Monday. Investors basically agreed with the assertion by Meredith, a Des Moines, Iowa, company that also owns 17 television stations, that the combined company’s larger scale and broader stable AllStockNews provide quality information for free in a convenient place and format. You do not need to look for us – the news portal “AllStockNews” meets the reader every morning on the way to work in the metro, at traffic intersections, in cafes and business centers. Enter your email address below to get the latest news and analysts' ratings for your stocks with our free daily email newsletter: [TRADE IDEAS REVIEW – IS THIS THE BEST STOCK SCANNER? Trade Ideas is arguably one of the top scanning tools available on the market right Trade Ideas Pro helps t