Here is the table with some fundamentals to compare:
Williams Partners (NYSE:WPZ) has a market capitalization of $17.61 billion. The company employs people, generates revenue of $6,729.00 million and has a net income of $1,378.00 million. The firm’s earnings before interest, taxes, depreciation and amortization (EBITDA) amounts to $2,250.00 million. The EBITDA margin is 33.44 percent (operating margin 24.40 percent and net profit margin 20.48 percent).
Financial Analysis: The total debt represents 50.33 percent of the company’s assets and the total debt in relation to the equity amounts to 138.43 percent. Due to the financial situation, a return on equity of 20.77 percent was realized. Twelve trailing months earnings per share reached a value of $3.10. Last fiscal year, the company paid $2.96 in form of dividends to shareholders.
Market Valuation: Here are the price ratios of the company: The P/E ratio is 16.45, P/S ratio 2.69 and P/B ratio 2.83. Dividend Yield: 6.23 percent. The beta ratio is 1.11. The company is 9.52 percent above 52-Week Low.
Long-Term Stock History Chart Of Williams Partners... (Click to enlarge) |
Long-Term Dividends History of Williams Partners... (WPZ) (Click to enlarge) |
Long-Term Dividend Yield History of Williams Partners... (NYSE: WPZ) (Click to enlarge) |
Avon Products (NYSE:AVP) has a market capitalization of $6.72 billion. The company employs 40,600 people, generates revenue of $11,291.60 million and has a net income of $526.40 million. The firm’s earnings before interest, taxes, depreciation and amortization (EBITDA) amounts to $1,094.20 million. The EBITDA margin is 9.69 percent (operating margin 7.57 percent and net profit margin 4.66 percent).
Financial Analysis: The total debt represents 42.77 percent of the company’s assets and the total debt in relation to the equity amounts to 210.67 percent. Due to the financial situation, a return on equity of 32.08 percent was realized. Twelve trailing months earnings per share reached a value of $0.57. Last fiscal year, the company paid $0.92 in form of dividends to shareholders.
Market Valuation: Here are the price ratios of the company: The P/E ratio is 27.15, P/S ratio 0.59 and P/B ratio 4.25. Dividend Yield: 5.94 percent. The beta ratio is 1.44. The company is 9.19 percent above 52-Week Low.
Long-Term Stock History Chart Of Avon Products, Inc. (Click to enlarge) |
Long-Term Dividends History of Avon Products, Inc. (AVP) (Click to enlarge) |
Long-Term Dividend Yield History of Avon Products, Inc. (NYSE: AVP) (Click to enlarge) |
Exelon Corporation (NYSE:EXC) has a market capitalization of $31.44 billion. The company employs 19,267 people, generates revenue of $18,924.00 million and has a net income of $2,495.00 million. The firm’s earnings before interest, taxes, depreciation and amortization (EBITDA) amounts to $5,815.00 million. The EBITDA margin is 30.73 percent (operating margin 23.67 percent and net profit margin 13.18 percent).
Financial Analysis: The total debt represents 24.49 percent of the company’s assets and the total debt in relation to the equity amounts to 93.79 percent. Due to the financial situation, a return on equity of 17.86 percent was realized. Twelve trailing months earnings per share reached a value of $2.43. Last fiscal year, the company paid $2.10 in form of dividends to shareholders.
Market Valuation: Here are the price ratios of the company: The P/E ratio is 15.16, P/S ratio 1.66 and P/B ratio 1.70. Dividend Yield: 5.70 percent. The beta ratio is 0.53. The company is 2.92 percent above 52-Week Low.
Long-Term Stock History Chart Of Exelon Corporation (Click to enlarge) |
Long-Term Dividends History of Exelon Corporation (EXC) (Click to enlarge) |
Long-Term Dividend Yield History of Exelon Corporation (NYSE: EXC) (Click to enlarge) |
Take a closer look at the full table of the high-yield stocks close to 52-Week lows. The average price to earnings ratio (P/E ratio) amounts to 14.09
and forward P/E ratio is 14.01. The dividend yield has a value of 6.16 percent.
Price to book ratio is 1.82 and price to sales ratio 2.46. The operating margin
amounts to 16.36 percent and the beta ratio is 2.09. The average stock is 6.24
above one-year low.
Related stock
ticker symbols:
OIBR, TAC, CLF,
HTA, WPZ, CHT, YZC, AVP, EXC, AMRE
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