Barchart Data Fields
Thu, Jun 5th, 2025
Below, you will find a cross-reference of all the data fields available to you as a Barchart Member. Most of these fields are available for use in Custom Views, where you can build your own preferred data column set and then apply the view to most data table pages on the website.
Along with Custom Views, many of the same data fields are available for use as filters in the Stocks Screener, the ETFs Screener, and the Options Screener, as well as in Advanced Alerts.
General Symbol Information
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Name
Description
Custom View
Stock Screener
ETF Screener
Options Screener
Full Name
The name / description of the symbol.
Short Name
First 15 characters of the symbol name.
Exchange
The exchange on which the security or commodity is traded.
Industry
The major Industry Group in which the stock is found.
Sector
The major Sector in which the stock is found.
SIC Symbol
The Barchart symbol for the SIC Classification. A search for this symbol will show all stocks in the SIC classification. Valid for US equities only.
SIC Description
The SIC Classification. Valid for US equities only.
Nbr of Employees
The approximate number of employees in the firm.
Open Interest
The total number of open contracts for the previous day that have been traded but not yet liquidated via offsetting trades.
Time
Last trade date / time
Has Options
The symbol either has options available, or does not.
Has Weekly Options
The symbol either has weekly option expirations available, or does not.
Current Day Prices
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Name
Description
Custom View
Stock Screener
ETF Screener
Options Screener
Open
Opening price for the day.
High
The highest trade price for the day.
Low
The lowest trade price for the day.
Last
The last trade price.
Change
The difference between the current price and the previous day's settlement price.
% Change
The difference between the current price and the previous day's settlement price expressed as a percentage.
Bid
The bid price.
Bid Size
The bid quantity
Ask
The ask price.
Ask Size
The ask quantity
Prior Day Prices
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Name
Description
Custom View
Stock Screener
ETF Screener
Options Screener
Previous Close
The settlement price from the previous trading session.
Prev High
The high price from the previous session.
Prev Low
The low price from the previous session.
Prev Open
The open price from the previous session.
Prev Chg
The difference between the Last Price from the previous session and the prior settlement price.
Prev %Chg
The percent change from the previous session.
Last 2D Ago
Last price 2 days ago.
High 2D Ago
The high price 2 days ago.
Low 2D Ago
The low price 2 days ago.
Open 2D Ago
Open price 2 days ago.
Chg 2D Ago
The difference between the Last Price from 2 days ago and the prior settlement price.
%Chg 2D Ago
The percent change from 2 days ago.
Last 3D Ago
Last price 3 days ago.
High 3D Ago
The high price 3 days ago.
Low 3D Ago
The low price 3 days ago.
Open 3D Ago
Open price 3 days ago.
Chg 3D Ago
The difference between the Last Price from 3 days ago and the prior settlement price.
%Chg 3D Ago
The percent change from 3 days ago.
Last 4D Ago
Last price 4 days ago.
High 4D Ago
The high price 4 days ago.
Low 4D Ago
The low price 4 days ago.
Open 4D Ago
Open price 4 days ago.
Chg 4D Ago
The difference between the Last Price from 4 days ago and the prior settlement price.
%Chg 4D Ago
The percent change from 4 days ago.
Pre-Market Prices
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Name
Description
Custom View
Stock Screener
ETF Screener
Options Screener
Pre-Market Last Price
The last (delayed) price for the pre-market session.
Pre-Market Price Change
The price change (delayed) for the pre-market session.
Pre-Market Percent Change
The percent change (delayed) for the pre-market session.
Pre-Market Volume
The pre-market volume.
Pre-Market Gap Up
The price difference between the pre-market last (delayed) and the previous session's high.
Pre-Market Gap Up Percent
The percentage by which the pre-market last (delayed) is higher than the previous session's high price.
Pre-Market Gap Down
The price difference between the pre-market last (delayed) and the previous session's low.
Pre-Market Gap Down Percent
The percentage by which the pre-market last (delayed) is lower than the previous session's low price.
Pre-Market Trade Time
The last (delayed) update for the pre-market session.
Post-Market Prices
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Name
Description
Custom View
Stock Screener
ETF Screener
Options Screener
Post-Market Last Price
The last (delayed) price for the post-market session.
Post-Market Price Change
The price change (delayed) for the post-market session.
Post-Market Percent Change
The percent change (delayed) for the post-market session.
Post Market Volume
The volume traded in the post-market session.
Post-Market Gap Up
The post-market last (delayed) is higher than the day's high price.
Post-Market Gap Up Percent
The percentage by which the post-market last (delayed) is higher than today's high price.
Post-Market Gap Down
The post-market last (delayed) is lower than the day's low price.
Post-Market Gap Down Percent
The percentage by which the post-market last (delayed) is lower than today's low price.
Post-Market Trade Time
The last (delayed) update for the post-market session.
Volume
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Name
Description
Custom View
Stock Screener
ETF Screener
Options Screener
Volume
The total number of shares or contracts traded for the day.
Volume Percent Change
Percentage difference between the current volume and the 20-day average volume.
Previous Volume
The total number of shares or contracts traded for the previous day.
Volume 2D Ago
The total number of shares or contracts traded 2 days ago
Volume 3D Ago
The total number of shares or contracts traded 3 days ago
Volume 4D Ago
The total number of shares or contracts traded 4 days ago
Price Volume
Current price times current volume divided by 1000.
Short Volume Ratio
The ratio of shares that were sold short divided by total reported volume.
Gaps & Range Changes
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Name
Description
Custom View
Stock Screener
ETF Screener
Options Screener
Gap Up
The current session Open is higher than the previous session's High.
Gap Up Percent
The current session Open is higher than the previous session's High.
Gap Down
The current session Open is lower than the previous session's Low.
Gap Down Percent
The current session Open is lower than the previous session's Low.
Range%
Difference between the last and open price, divided by the open price, expressed as a percentage.
Support & Resistance
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Name
Description
Custom View
Stock Screener
ETF Screener
Options Screener
Pivot Point
The average of the high, low and closing prices from the previous trading session.
Pivot Point 1st Resistance Point
The first resistance price level based on prior session trading range.
Pivot Point 2nd Level Resistance
The second resistance price level based on prior session trading range.
Pivot Point 3rd Level Resistance
The third resistance price level based on prior session trading range.
Pivot Point 1st Support Point
The first support price level based on prior session trading range.
Pivot Point 2nd Support Point
The second support price level based on prior session trading range.
Pivot Point 3rd Support Point
The third support price level based on prior session trading range.
38.2% Retracement From 52 Week Low
38.2% Retracement From 52 Week Low
50% Retracement From 52 Week High/Low
50% Retracement From 52 Week High/Low
61.8% Retracement from the 52 Week Low
61.8% Retracement from 52 Week Low
Price 1 Standard Deviation Resistance
The resistance value based on a 1 standard deviation price move.
Price 2 Standard Deviations Resistance
The resistance value based on a 2 standard deviation price move.
Price 3 Standard Deviations Resistance
The resistance value based on a 3 standard deviation price move.
Price 1 Standard Deviation Support
The support value based on a 1 standard deviation price move.
Price 2 Standard Deviations Support
The support value based on a 2 standard deviation price move.
Price 3 Standard Deviations Support
The support value based on a 3 standard deviation price move.
Percent Change
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Name
Description
Custom View
Stock Screener
ETF Screener
Options Screener
5-Day %Change
5-Day Percent Change: The percent difference between the current price and the settlement price from 5 days ago.
10-Day %Change
10-Day Percent Change: The percent difference between the current price and the settlement price from 10 days ago.
20-Day %Change
20-Day Percent Change: The percent difference between the current price and the settlement price from 20 days ago.
50-Day %Change
50-Day Percent Change: The percent difference between the current price and the settlement price from 50 days ago.
100-Day %Change
100-Day Percent Change: The percent difference between the current price and the settlement price from 100 days ago.
150-Day %Change
150-Day Percent Change: The percent difference between the current price and the settlement price from 150 days ago.
200-Day %Change
200-Day Percent Change: The percent difference between the current price and the settlement price from 200 days ago.
1-Month %Change
1-Month Percent Change: The percent difference between the current price and the settlement price from 1 month ago.
3-Month %Change
3-Month Percent Change: The percent difference between the current price and the settlement price from 3 months ago.
6-Month %Change
6-Month Percent Change: The percent difference between the current price and the settlement price from 6 months ago.
9-Month %Change
9-Month Percent Change: The difference between the current price and the settlement price from 9 months ago expressed as a percentage.
52-Week %Change
52-Week Percent Change: The difference between the current price and the settlement price from 1 year ago expressed as a percentage.
YTD %Change
YTD Percent Change: The percent difference between the current price and the settlement price from the end of the prior year.
2Y %Change
2-Year Percent Change: The percent difference between the current price and the settlement price from 2 years ago.
3Y %Change
3-Year Percent Change: The difference between the current price and the settlement price from 3 years ago expressed as a percentage.
5Y %Change
5-Year Percent Change: The difference between the current price and the settlement price from 5 years ago expressed as a percentage.
10Y %Change
10-Year Percent Change: The difference between the current price and the settlement price from 10 years ago expressed as a percentage.
20Y %Change
20-Year Percent Change: The percent difference between the current price and the settlement price from 20 years ago.
Price Change
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Name
Description
Custom View
Stock Screener
ETF Screener
Options Screener
5-Day Price Change
5-Day Price Change: The difference between the current price, and the settlement price from 5 days ago.
10-Day Price Change
10-Day Price Change: The difference between the current price, and the settlement price from 10 days ago.
20-Day Price Change
20-Day Price Change: The difference between the current price, and the settlement price from 20 days ago.
50-Day Price Change
50-Day Price Change: The difference between the current price, and the settlement price from 50 days ago.
100-Day Price Change
100-Day Price Change: The difference between the current price, and the settlement price from 100-Days ago.
150-Day Price Change
150-Day Price Change: The difference between the current price, and the settlement price from 150 days ago.
200-Day Price Change
200-Day Price Change: The difference between the current price, and the settlement price from 200-Days ago.
1-Month Price Change
1-Month Price Change: The difference between the current price, and the settlement price from 1-Month ago.
3-Month Price Change
3-Month Price Change: The difference between the current price, and the settlement price from 3-Months ago.
6-Month Price Change
6-Month Price Change: The difference between the Last Price and the Last Price from 6-Months ago.
9-Month Price Change
9-Month Price Change: The difference between the current price, and the settlement price from 9-Months ago.
52Wk Price Change
52-Week Price Change: The difference between the current price, and the settlement price from 1-Year ago.
YTD Price Change
YTD Price Change: The difference between the current price, and the settlement price from the end of the prior year.
2Y Price Change
2-Year Price Change: The difference between the current price, and the settlement price from 2-Years ago.
3Y Price Change
3-Year Price Change: The difference between the current price, and the settlement price from 3-Years ago.
5Y Price Change
5-Year Price Change: The difference between the current price, and the settlement price from 5-Years ago.
10Y Price Change
10-Year Price Change: The difference between the current price, and the settlement price from 10-Years ago.
20Y Price Change
20-Year Price Change: The difference between the current price, and the settlement price from 20-Years ago.
Moving Average
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Name
Description
Custom View
Stock Screener
ETF Screener
Options Screener
5-Day Moving Average
The average price for a 5-Day period.
10-Day Moving Average
The average price for a 10-Day period.
20-Day Moving Average
The average price for a 20-Day period.
50-Day Moving Average
The average price for a 50-Day period.
100-Day Moving Average
The average price for a 100-Day period.
150-Day Moving Average
The average price for a 150-Day period.
200-Day Moving Average
The average price for a 200-Day period.
1-Month Moving Average
The average price for a 1-Month period.
3-Month Moving Average
The average price for a 3-Month period.
6-Month Moving Average
The average price for a 6-Month period.
9-Month Moving Average
The average price for a 9-Month period.
12-Month Moving Average
The average price for a 52-Week period.
YTD Moving Average
The average price for the current year-to-date period.
Percent from Average
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Name
Description
Custom View
Stock Screener
ETF Screener
Options Screener
5-Day Percent from Average
The percentage difference between the Last Price, and the 5-Day Moving Average.
10-Day Percent from Average
The percentage difference between the Last Price, and the 10-Day Moving Average.
20-Day Percent from Average
The percentage difference between the Last Price, and the 20-Day Moving Average.
50-Day Percent from Average
The percentage difference between the Last Price, and the 50-Day Moving Average.
100-Day Percent from Average
The percentage difference between the Last Price, and the 100-Day period.
150-Day Percent from Average
The percentage difference between the Last Price, and the 150-Day Moving Average.
200-Day Percent from Average
The percentage difference between the Last Price, and the 200-Day Moving Average.
1-Month Percent from Average
The percentage difference between the Last Price, and the 1-Month Moving Average.
3-Month Percent from Average
The percentage difference between the Last Price, and the 3-Month Moving Average.
6-Month Percent from Average
The percentage difference between the Last Price, and the 6-Month Moving Average.
9-Month Percent from Average
The percentage difference between the Last Price, and the 9-Month Moving Average.
12-Month Percent from Average
The percentage difference between the Last Price, and the 52-Week Moving Average.
YTD Percent from Average
The percentage difference between the Last Price, and the current year-to-date Moving Average.
Average Volume
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Name
Description
Custom View
Stock Screener
ETF Screener
Options Screener
5-Day Average Volume
The average number of shares or contracts traded over the last 5 days.
10-Day Average Volume
The average number of shares or contracts traded over the last 10 days.
20-Day Average Volume
The average number of shares or contracts traded over the last 20 days.
50-Day Average Volume
The average number of shares or contracts traded over the last 50 days.
100-Day Average Volume
The average number of shares or contracts traded over the last 100 days.
150-Day Average Volume
The average number of shares or contracts traded over the last 150 days.
200-Day Average Volume
The average number of shares or contracts traded over the last 200 days.
1-Month Average Volume
The average number of shares or contracts traded over the last 1 month.
3-Month Avg Volume
The average number of shares or contracts traded over the last 3 months.
6-Month Average Volume
The average number of shares or contracts traded over the last 6 months.
9-Month Average Volume
The average number of shares or contracts traded over the last 9 months.
1-Year Average Volume
The average number of shares or contracts traded over the last 52 weeks.
YTD Average Volume
The average number of shares or contracts traded over this year to date.
Performance vs Market
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Name
Description
Custom View
Stock Screener
ETF Screener
Options Screener
5-Day % Change from Index
Difference between the percent change of a security over time against the S&P 500 $SPX for US Equities, or the TSX Composite $TXCX for Canadian Equities. A positive value means it has outperformed the Index.
1-Month % Change from Index
Difference between the percent change of a security over time against the S&P 500 $SPX for US Equities, or the TSX Composite $TXCX for Canadian Equities. A positive value means it has outperformed the Index.
3-Month % Change from Index
Difference between the percent change of a security over time against the S&P 500 $SPX for US Equities, or the TSX Composite $TXCX for Canadian Equities. A positive value means it has outperformed the Index.
6-Month % Change from Index
Difference between the percent change of a security over time against the S&P 500 $SPX for US Equities, or the TSX Composite $TXCX for Canadian Equities. A positive value means it has outperformed the Index.
YTD % Change from Index
Difference between the percent change of a security over time against the S&P 500 $SPX for US Equities, or the TSX Composite $TXCX for Canadian Equities. A positive value means it has outperformed the Index.
1-Year % Change from Index
Difference between the percent change of a security over time against the S&P 500 $SPX for US Equities, or the TSX Composite $TXCX for Canadian Equities. A positive value means it has outperformed the Index.
2-Year % Change from Index
Difference between the percent change of a security over time against the S&P 500 $SPX for US Equities, or the TSX Composite $TXCX for Canadian Equities. A positive value means it has outperformed the Index.
3-Year % Change from Index
Difference between the percent change of a security over time against the S&P 500 $SPX for US Equities, or the TSX Composite $TXCX for Canadian Equities. A positive value means it has outperformed the Index.
5-Year % Change from Index
Difference between the percent change of a security over time against the S&P 500 $SPX for US Equities, or the TSX Composite $TXCX for Canadian Equities. A positive value means it has outperformed the Index.
10-Year % Change from Index
Difference between the percent change of a security over time against the S&P 500 $SPX for US Equities, or the TSX Composite $TXCX for Canadian Equities. A positive value means it has outperformed the Index.
20-Year % Change from Index
Difference between the percent change of a security over time against the S&P 500 $SPX for US Equities, or the TSX Composite $TXCX for Canadian Equities. A positive value means it has outperformed the Index.
Raw Stochastic
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Name
Description
Custom View
Stock Screener
ETF Screener
Options Screener
9-Day Raw Stochastic
Shows (within a range of 0%-100%) where the price closed in relation to its price range over the last 9-Days.
14-Day Raw Stochastic
Shows (within a range of 0%-100%) where the price closed in relation to its price range over the last 14-Days.
20-Day Raw Stochastic
Shows (within a range of 0%-100%) where the price closed in relation to its price range over the last 20-Days.
50-Day Raw Stochastic
Shows (within a range of 0%-100%) where the price closed in relation to its price range over the last 50-Days.
100-Day Raw Stochastic
Shows (within a range of 0%-100%) where the price closed in relation to its price range over the last 100-Days.
Stochastic %K
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Name
Description
Custom View
Stock Screener
ETF Screener
Options Screener
9-Day Stochastic %K
Shows (within a range of 0%-100%) where the price closed in relation to its price range over the last 9-Days with a 3-period exponential moving average applied.
14-Day Stochastic %K
Shows (within a range of 0%-100%) where the price closed in relation to its price range over the last 14-Days with a 3-period exponential moving average applied.
20-Day Stochastic %K
Shows (within a range of 0%-100%) where the price closed in relation to its price range over the last 20-Days with a 3-period exponential moving average applied.
50-Day Stochastic %K
Shows (within a range of 0%-100%) where the price closed in relation to its price range over the last 50-Days with a 3-period exponential moving average applied.
100-Day Stochastic %K
Shows (within a range of 0%-100%) where the price closed in relation to its price range over the last 100-Days with a 3-period exponential moving average applied.
Stochastic %D
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Name
Description
Custom View
Stock Screener
ETF Screener
Options Screener
9-Day Stochastic %D
Shows (within a range of 0%-100%) where the price closed in relation to its price range over the last 9-Days with an additional 3-period exponential moving average applied to the %K.
14-Day Stochastic %D
Shows (within a range of 0%-100%) where the price closed in relation to its price range over the last 14-Days with an additional 3-period exponential moving average applied to the %K.
20-Day Stochastic %D
Shows (within a range of 0%-100%) where the price closed in relation to its price range over the last 20-Days with an additional 3-period exponential moving average applied to the %K.
50-Day Stochastic %D
Shows (within a range of 0%-100%) where the price closed in relation to its price range over the last 50-Days with an additional 3-period exponential moving average applied to the %K.
100-Day Stochastic %D
Shows (within a range of 0%-100%) where the price closed in relation to its price range over the last 100-Days with an additional 3-period exponential moving average applied to the %K.
Average True Range
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Name
Description
Custom View
Stock Screener
ETF Screener
Options Screener
9-Day True Range
A moving average of trading ranges over a 9-Day period. High values often occur at market bottoms following a "panic" sell-off while low values are often found during extended sideways periods, such as those found at tops and after consolidation periods.
14-Day True Range
A moving average of trading ranges over a 14-Day period. High values often occur at market bottoms following a "panic" sell-off while low values are often found during extended sideways periods, such as those found at tops and after consolidation periods.
20-Day True Range
A moving average of trading ranges over a 20-Day period. High values often occur at market bottoms following a "panic" sell-off while low values are often found during extended sideways periods, such as those found at tops and after consolidation periods.
50-Day True Range
A moving average of trading ranges over a 50-Day period. High values often occur at market bottoms following a "panic" sell-off while low values are often found during extended sideways periods, such as those found at tops and after consolidation periods.
100-Day True Range
A moving average of trading ranges over a 100-Day period. High values often occur at market bottoms following a "panic" sell-off while low values are often found during extended sideways periods, such as those found at tops and after consolidation periods.
Average Directional Index
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Name
Description
Custom View
Stock Screener
ETF Screener
Options Screener
9-Day Average Directional Index
A comparison of two directional indicators over a 9-Day period, used to measure the strength of a trend.
14-Day Average Directional Index
A comparison of two directional indicators over a 14-Day period, used to measure the strength of a trend.
20-Day Average Directional Index
A comparison of two directional indicators over a 20-Day period, used to measure the strength of a trend.
50-Day Average Directional Index
A comparison of two directional indicators over a 50-Day period, used to measure the strength of a trend.
100-Day Average Directional Index
A comparison of two directional indicators over a 100-Day period, used to measure the strength of a trend.
+Directional Index
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Name
Description
Custom View
Stock Screener
ETF Screener
Options Screener
9-Day Positive Directional Index
A component of the 9-Day Average Directional Index (ADX), used to identify the presence of a trend. +DI is used to measure the presence of an uptrend.
14-Day Positive Directional Index
A component of the 14-Day Average Directional Index (ADX), used to identify the presence of a trend. +DI is used to measure the presence of an uptrend.
20-Day Positive Directional Index
A component of the 20-Day Average Directional Index (ADX), used to identify the presence of a trend. +DI is used to measure the presence of an uptrend.
50-Day Positive Directional Index
A component of the 50-Day Average Directional Index (ADX), used to identify the presence of a trend. +DI is used to measure the presence of an uptrend.
100-Day Positive Directional Index
A component of the 100-Day Average Directional Index (ADX), used to identify the presence of a trend. +DI is used to measure the presence of an uptrend.
-Directional Index
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Name
Description
Custom View
Stock Screener
ETF Screener
Options Screener
9-Day Negative Directional Index
A component of the 9-Day Average Directional Index (ADX), used to identify the presence of a trend. -DI is used to measure the presence of a downtrend.
14-Day Negative Directional Index
A component of the 14-Day Average Directional Index (ADX), used to identify the presence of a trend. -DI is used to measure the presence of a downtrend.
20-Day Negative Directional Index
A component of the 20-Day Average Directional Index (ADX), used to identify the presence of a trend. -DI is used to measure the presence of a downtrend.
50-Day Negative Directional Index
A component of the 50-Day Average Directional Index (ADX), used to identify the presence of a trend. -DI is used to measure the presence of a downtrend.
100-Day Negative Directional Index
A component of the 100-Day Average Directional Index (ADX), used to identify the presence of a trend. -DI is used to measure the presence of a downtrend.
Relative Strength
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Name
Description
Custom View
Stock Screener
ETF Screener
Options Screener
5-Day Relative Strength
5-Day Relative Strength, a technical momentum indicator that compares the magnitude of recent gains to recent losses in an attempt to determine overbought and oversold conditions of an asset.
9-Day Relative Strength
9-Day Relative Strength, a technical momentum indicator that compares the magnitude of recent gains to recent losses in an attempt to determine overbought and oversold conditions of an asset.
14-Day Relative Strength
14-Day Relative Strength, a technical momentum indicator that compares the magnitude of recent gains to recent losses in an attempt to determine overbought and oversold conditions of an asset.
20-Day Relative Strength
20-Day Relative Strength, a technical momentum indicator that compares the magnitude of recent gains to recent losses in an attempt to determine overbought and oversold conditions of an asset.
50-Day Relative Strength
50-Day Relative Strength, a technical momentum indicator that compares the magnitude of recent gains to recent losses in an attempt to determine overbought and oversold conditions of an asset.
100-Day Relative Strength
100-Day Relative Strength, a technical momentum indicator that compares the magnitude of recent gains to recent losses in an attempt to determine overbought and oversold conditions of an asset.
Percent R
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Name
Description
Custom View
Stock Screener
ETF Screener
Options Screener
9-Day Percent R
Measures overbought and oversold market conditions for the last 9-Days. A low %R suggests the market is oversold, whereas a high %R suggests the market is overbought.
14-Day Percent R
Measures overbought and oversold market conditions for the last 14-Days. A low %R suggests the market is oversold, whereas a high %R suggests the market is overbought.
20-Day Percent R
Measures overbought and oversold market conditions for the last 20-Days. A low %R suggests the market is oversold, whereas a high %R suggests the market is overbought.
50-Day Percent R
Measures overbought and oversold market conditions for the last 50-Days. A low %R suggests the market is oversold, whereas a high %R suggests the market is overbought.
100-Day Percent R
Measures overbought and oversold market conditions for the last 100-Days. A low %R suggests the market is oversold, whereas a high %R suggests the market is overbought.
Historic Volatility
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Name
Description
Custom View
Stock Screener
ETF Screener
Options Screener
9-Day Historic Volatility
9-Day Historical Volatility: The average deviation from the average price over the last 9 days.
14-Day Historic Volatility
14-Day Historical Volatility: The average deviation from the average price over the last 14 days.
20-Day Historic Volatility
20-Day Historical Volatility: The average deviation from the average price over the last 20 days.
30-Day Historic Volatility
30-Day Historical Volatility: The average deviation from the average price over the last 30 days.
50-Day Historic Volatility
50-Day Historical Volatility: The average deviation from the average price over the last 50 days.
90-Day Historic Volatility
90-Day Historical Volatility: The average deviation from the average price over the last 90 days.
100-Day Historic Volatility
100-Day Historical Volatility: The average deviation from the average price over the last 100 days.
MACD Oscillator
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Name
Description
Custom View
Stock Screener
ETF Screener
Options Screener
9-Day MACD Oscillator
The difference between a short-term (3-Day) and a long-term (9-Day) moving average. A value above 0 interprets as a bullish signal, and a value below 0 interprets as a bearish signal.
14-Day MACD Oscillator
The difference between a short-term (3-Day) and a long-term (14-Day) moving average. A value above 0 interprets as a bullish signal, and a value below 0 interprets as a bearish signal.
20-Day MACD Oscillator
The difference between a short-term (3-Day) and a long-term (20-Day) moving average. A value above 0 interprets as a bullish signal, and a value below 0 interprets as a bearish signal.
50-Day MACD Oscillator
The difference between a short-term (3-Day) and a long-term (50-Day) moving average. A value above 0 interprets as a bullish signal, and a value below 0 interprets as a bearish signal.
100-Day MACD Oscillator
The difference between a short-term (3-Day) and a long-term (100-Day) moving average. A value above 0 interprets as a bullish signal, and a value below 0 interprets as a bearish signal.
Standard Deviation
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Name
Description
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Stock Screener
ETF Screener
Options Screener
Standard Deviation
Today's standard deviation move in terms of the number of 20-day standard deviations. The (latest close - previous close) / ((20-day historical volatility / 100) / square root of 252))
Price Standard Deviation
A one standard deviations move based on the past 20-days of daily data.
Price 2 Standard Deviations
A two standard deviations move based on the past 20-days of daily data.
Price 3 Standard Deviations
A three standard deviations move based on the past 20-days of daily data.
Other Technicals
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Name
Description
Custom View
Stock Screener
ETF Screener
Options Screener
Weighted Alpha
A measure of how much a stock has risen or fallen over a one-year period with a higher weighting for recent price activity.
ATR Position Sizing
ATR Position Sizing: price change divided by 20-Day ATR.
Price Over ATR
Price divided by 20-Day ATR.
ATR Liquidity Index
ATR Liquidity Index: 20-Day ATR times 20-Day Average Volume divided by 1000.
9-18 Day MA Price Cross
The price at which the 9-18-Day Moving Average will cross today.
Open to Midpoint
The current session Open expressed as a percentage range compared to the midpoint of the day: 0.0 means it the Open is the same as the High or Low price, 100.00 means it is at the midpoint.
TTM Squeeze
A volatility and momentum indicator introduced by John Carter, which capitalizes on the tendency for price to break out strongly after consolidating in a tight trading range. On = Squeeze is on; N/A = Squeeze is off. Long = Long Trade Triggered Today; Short = Short Trade Triggered Today.
Trading Ratio
Average 100-Day volume divided by shares outstanding.
5-Day Highs/Lows
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Description
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Stock Screener
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5-Day High
The highest price over the last 5 days.
5-Day High Date
Date on which the 5-Day High was recorded.
5-Day Low
The lowest price over the last 5 days.
5-Day Low Date
Date on which the 5-Day Low was recorded.
5-Day Price Change
5-Day Price Change: The difference between the current price, and the settlement price from 5 days ago.
5-Day %Change
5-Day Percent Change: The percent difference between the current price and the settlement price from 5 days ago.
5-Day Nbr Highs
The number of times the price has reached a new high over the last 5 days.
5-Day % From High
The percent difference from the current price to the 5-day high.
5-Day Nbr Lows
The number of times the price has reached a new low over the last 5 days.
5-Day % From Low
The percent difference from the current price to the 5-day low.
5-Day Price Range %Change
The current price range over a 5-day period, expressed as a percent. ((last price - 5D low) / (5D high - 5D low)) * 100.0
1-Month Highs/Lows
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Description
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Stock Screener
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1-Month High
The highest price over the last 1 month.
1-Month High Date
Date on which the 1-Month High was recorded.
1-Month Low
The lowest price over the last 1 month.
1-Month Low Date
Date on which the 1-Month Low was recorded.
1-Month Price Change
1-Month Price Change: The difference between the current price, and the settlement price from 1-Month ago.
1-Month %Change
1-Month Percent Change: The percent difference between the current price and the settlement price from 1 month ago.
1-Month Nbr Highs
The number of times the price has reached a new high over the last month.
1-Month % From High
The percent difference from the current price to the 1-month high.
1-Month Nbr Lows
The number of times the price has reached a new low over the last month.
1-Month % From Low
The percent difference from the current price to the 1-month low.
1-Month Price Range %Change
The current price range over a 1-month period, expressed as a percent. ((last price - 1M low) / (1M high - 1M low)) * 100.0
3-Month Highs/Lows
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Description
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Stock Screener
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3-Month High
The highest price over the last 3 months.
3-Month High Date
Date on which the 3-Month High was recorded.
3-Month Low
The lowest price over the last 3 months.
3-Month Low Date
Date on which the 3-Month Low was recorded.
3-Month Price Change
3-Month Price Change: The difference between the current price, and the settlement price from 3-Months ago.
3-Month %Change
3-Month Percent Change: The percent difference between the current price and the settlement price from 3 months ago.
3-Month Nbr Highs
The number of times the price has reached a new high over the last 3 months.
3-Month % From High
The percent difference from the current price to the 3-month high.
3-Month Nbr Lows
The number of times the price has reached a new low over the last 3 months.
3-Month % From Low
The percent difference from the current price to the 3-month low.
3-Month Price Range %Change
The current price range over a 3-month period, expressed as a percent. ((last price - 3M low) / (3M high - 3M low)) * 100.0
6-Month Highs/Lows
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Name
Description
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Stock Screener
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6-Month High
The highest price over the last 6 months.
6-Month High Date
Date on which the 6-Month High was recorded.
6-Month Low
The lowest price over the last 6 months.
6-Month Low Date
Date on which the 6-Month Low was recorded.
6-Month Price Change
6-Month Price Change: The difference between the Last Price and the Last Price from 6-Months ago.
6-Month %Change
6-Month Percent Change: The percent difference between the current price and the settlement price from 6 months ago.
6-Month Nbr Highs
The number of times the price has reached a new high over the last 6 months.
6-Month % From High
The percent difference from the current price to the 6-month high.
6-Month Nbr Lows
The number of times the price has reached a new low over the last 6 months.
6-Month % From Low
The percent difference from the current price to the 6-month low.
6-Month Price Range %Change
The current price range over a 6-month period, expressed as a percent. ((last price - 6M low) / (6M high - 6M low)) * 100.0
YTD Highs/Lows
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Name
Description
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Stock Screener
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YTD High
The highest price since January 1 of the current year.
YTD High Date
Date on which the YTD High was recorded.
YTD Low
The lowest price since January 1 of the current year.
YTD Low Date
Date on which the YTD Low was recorded.
YTD Price Change
YTD Price Change: The difference between the current price, and the settlement price from the end of the prior year.
YTD %Change
YTD Percent Change: The percent difference between the current price and the settlement price from the end of the prior year.
YTD Nbr Highs
The number of times the price has reached a new high since January 1 of the current year.
YTD % From High
The percent difference from the current price to the year-to-date high.
YTD Nbr Lows
The number of times the price has reached a new low since January 1 of the current year.
YTD % From Low
The percent difference from the current price to the year-to-date low.
YTD Price Range %Change
The price range over the current year-to-date, expressed as a percent. ((last price - YTD low) / (YTD high - YTD low)) * 100.0
52-Week Highs/Lows
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Name
Description
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Stock Screener
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52-Week High
The highest price over the last 52-weeks.
52-Week High Date
The date on which the highest price for a 52-week period was made.
52-Week Low
The lowest price over the last 52-weeks.
52-Week Low Date
The date on which the lowest price for a 52-week period was made.
52Wk Price Change
52-Week Price Change: The difference between the current price, and the settlement price from 1-Year ago.
52-Week %Change
52-Week Percent Change: The difference between the current price and the settlement price from 1 year ago expressed as a percentage.
52-Week Nbr Highs
The number of times the price has reached a new high over the last 52-weeks.
52-Week % From High
The percent difference from the current price to the 52-week high.
52-Week Nbr Lows
The number of times the price has reached a new low over the last 52-weeks.
52-Week % From Low
The percent difference from the current price to the 52-week low.
52-Week Price Range %Change
The current price range over a 52-week period, expressed as a percent. ((last price - 1Y low) / (1Y high - 1Y low)) * 100.0
2-Year Highs/Lows
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Description
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2Y High
The highest price over the last 2 years.
2Y High Date
Date on which the 2-Year High was recorded.
2Y Low
The lowest price over the last 2 years.
2Y Low Date
Date on which the 2-Year Low was recorded.
2Y Price Change
2-Year Price Change: The difference between the current price, and the settlement price from 2-Years ago.
2Y %Change
2-Year Percent Change: The percent difference between the current price and the settlement price from 2 years ago.
2Y Nbr Highs
The number of times the price has reached a new high over the last 2 years.
2Y % From High
The percent difference from the current price to the 2-year high.
2Y Nbr Lows
The number of times the price has reached a new low over the last 2 years.
2Y % From Low
The percent difference from the current price to the 2-year low.
2-Year Price Range %Change
The current price range over a 2-year period, expressed as a percent. ((last price - 2Y low) / (2Y high - 2Y low)) * 100.0
3-Year Highs/Lows
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Description
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3Y High
The highest price over the last 3 years.
3Y High Date
Date on which the 3-Year High was recorded, based on Weekly data.
3Y Low
The lowest price over the last 3 years.
3Y Low Date
Date on which the 3-Year Low was recorded, based on Weekly data.
3Y Price Change
3-Year Price Change: The difference between the current price, and the settlement price from 3-Years ago.
3Y %Change
3-Year Percent Change: The difference between the current price and the settlement price from 3 years ago expressed as a percentage.
3Y Nbr Highs
The number of times the price has reached a new high over the last 3 years.
3Y % From High
The percent difference from the current price to the 3-year high.
3Y Nbr Lows
The number of times the price has reached a new low over the last 3 years.
3Y % From Low
The percent difference from the current price to the 3-year low.
3-Year Price Range %Change
The current price range over a 3-year period, expressed as a percent. ((last price - 3Y low) / (3Y high - 3Y low)) * 100.0
5-Year Highs/Lows
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Description
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5Y High
The highest price over the last 5 years.
5Y High Date
Date on which the 5-Year High was recorded, based on Weekly data.
5Y Low
The lowest price over the last 5 years.
5Y Low Date
Date on which the 5-Year Low was recorded, based on Weekly data.
5Y Price Change
5-Year Price Change: The difference between the current price, and the settlement price from 5-Years ago.
5Y %Change
5-Year Percent Change: The difference between the current price and the settlement price from 5 years ago expressed as a percentage.
5Y Nbr Highs
The number of times the price has reached a new high over the last 5 years.
5Y % From High
The percent difference from the current price to the 5-year high.
5Y Nbr Lows
The number of times the price has reached a new low over the last 5 years.
5Y % From Low
The percent difference from the current price to the 5-year low.
5-Year Price Range %Change
The current price range over a 5-year period, expressed as a percent. ((last price - 5Y low) / (5Y high - 5Y low)) * 100.0
10-Year Highs/Lows
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Description
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Stock Screener
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10Y High
The highest price over the last 10 years.
10Y High Date
Date on which the 10-Year High was recorded, based on Monthly data.
10Y Low
The lowest price over the last 10 years.
10Y Low Date
Date on which the 10-Year Low was recorded, based on Monthly data.
10Y Price Change
10-Year Price Change: The difference between the current price, and the settlement price from 10-Years ago.
10Y %Change
10-Year Percent Change: The difference between the current price and the settlement price from 10 years ago expressed as a percentage.
10Y Nbr Highs
The number of times the price has reached a new high over the last 10 years.
10Y % From High
The percent difference from the current price to the 10-year high.
10Y Nbr Lows
The number of times the price has reached a new low over the last 10 years.
10Y % From Low
The percent difference from the current price to the 10-year low.
10-Year Price Range %Change
The current price range over a 10-year period, expressed as a percent. ((last price - 10Y low) / (10Y high - 10Y low)) * 100.0
20-Year Highs/Lows
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Name
Description
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Stock Screener
ETF Screener
Options Screener
20Y High
The highest price over the last 20 years.
20Y High Date
Date on which the 20-Year High was recorded, based on Monthly data.
20Y Low
The lowest price over the last 20 years.
20Y Low Date
Date on which the 20-Year Low was recorded, based on Monthly data.
20Y Price Change
20-Year Price Change: The difference between the current price, and the settlement price from 20-Years ago.
20Y %Change
20-Year Percent Change: The percent difference between the current price and the settlement price from 20 years ago.
20Y Nbr Highs
The number of times the price has reached a new high over the last 20 years.
20Y % From High
The percent different from the current price to the 20-Year High.
20Y Nbr Lows
The number of times the price has reached a new low over the last 20 years.
20Y % From Low
The percent different from the current price to the 20-Year Low.
20-Year Price Range %Change
The current price range over a 20-year period, expressed as a percent. ((last price - 20Y low) / (20Y high - 20Y low)) * 100.0
All-Time Highs/Lows
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Name
Description
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Stock Screener
ETF Screener
Options Screener
All-Time High
The highest price over all years.
All-Time High Date
Month in which the All-Time High was recorded. All-time high info is based on Monthly data, so this will always be the first day of the month in which the all-time high was made.
All-Time Low
The lowest price over all years.
All-Time Low Date
Month in which the All-Time Low was recorded. All-time high info is based on Monthly data, so this will always be the first day of the month in which the all-time high was made.
All-Time %Change
The percent difference between the current price and the settlement price from the earliest date.
All-Time Nbr Highs
The number of times the price has reached a new high over all years.
All-Time % From High
The percent different from the current price to the All-Time High.
All-Time Nbr Lows
The number of times the price has reached a new low over all years.
All-Time % From Low
The percent different from the current price to the All-Time Low.
Overall Opinion
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Name
Description
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Stock Screener
ETF Screener
Options Screener
Today's Opinion
Today's overall signal and percent, based on where the price lies in reference to the common interpretation of all 13 studies.
Opinion
Today's overall Opinion Signal (Buy, Sell, Hold), based on where the price lies in reference to the common interpretation of all 13 studies.
Signal %
Today's Overall Barchart Opinion Signal Percent (for Buy and Sell signals only).
Strength
The long-term measurement of signal strength vs. the historical signal strength, from Maximum, Strong, Average, Weak, Minimum. A stronger strength is less volatile. A hold signal does not have any strength.
Direction
The 3-day measurement of the movement of the signal, an indication of whether the most recent price movement is going along with the signal. Strongest, Strengthening, Average, Weakening, Weakest. A buy or sell signal with a "strongest" direction means the signal is becoming stronger. A Hold signal direction indicates where the signal is heading (towards a buy or sell): Bullish, Rising, Steady, Falling, Bearish.
Opinion Change
The difference between the current opinion and the previous session's opinion
Previous Opinion
The overall signal and percent from yesterday, based on where the price lies in reference to the common interpretation of all 13 studies.
Previous Signal
The previous overall signal from yesterday, based on where the price lies in reference to the common interpretation of all 13 studies.
Previous Percent
The previous overall signal's percent from yesterday.
Last Week's Opinion
The overall signal and percent from last week, based on where the price lies in reference to the common interpretation of all 13 studies.
Last Week Signal
Last Week's Overall Barchart Opinion Signal (Buy, Sell, Hold), based on where the price lies in reference to the common interpretation of all 13 studies.
Last Week Percent
Last Week's Overall Barchart Opinion Signal Percent (for Buy and Sell signals only).
Last Month's Opinion
The overall signal and percent from last month, based on where the price lies in reference to the common interpretation of all 13 studies.
Last Month Signal
Last Month's Overall Barchart Opinion Signal (Buy, Sell, Hold), based on where the price lies in reference to the common interpretation of all 13 studies.
Last Month Percent
Last Month's Overall Barchart Opinion Signal Percent (for Buy and Sell signals only).
Short Term Opinion
Today's Short Term signal and percent, based on the average of where the price lies in reference to the common interpretation of the Short Term studies.
Short Term Signal
Today's Short Term signal, based on the average of where the price lies in reference to the common interpretation of the Short Term studies.
Short Term Percent
Today's Short Term signal percent, for Buy and Sell signals.
Medium Term Opinion
Today's Medium Term signal and percent, based on the average of where the price lies in reference to the common interpretation of the Medium Term studies.
Medium Term Signal
Today's Medium Term signal, based on the average of where the price lies in reference to the common interpretation of the Medium Term studies.
Medium Term Percent
Today's Medium Term signal percent, for Buy and Sell signals.
Long Term Opinion
Today's Long Term signal and percent, based on the average of where the price lies in reference to the common interpretation of the Long Term studies.
Long Term Signal
Today's Long Term signal, based on the average of where the price lies in reference to the common interpretation of the Long Term studies.
Long Term Percent
Today's Long Term signal percent, for Buy and Sell signals.
Trend Seeker
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Description
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Stock Screener
ETF Screener
Options Screener
Trend Seeker® Signal
The signal from Trend Seeker®, a Barchart trend analysis system that uses wave theory, market momentum & volatility in an attempt to find a general trend.
Trend Seeker® Strength
The strength of the signal compared to its historical performance where Maximum is the strongest this signal has been and Minimum is the weakest.
Trend Seeker® Direction
Indicates whether the Buy or Sell signal is strengthening or weakening, or whether a Hold signal is heading towards a buy or sell signal.
New Trend Seeker® Signal
Indicates that the symbol made a NEW Trend Seeker® signal today.
Short Term Indicators
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Name
Description
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Stock Screener
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20-Day Moving Average Signal
The signal from the 20-Day Moving Average, a short-term indicator used to observe price changes.
20-Day Moving Average Strength
The strength of the signal compared to its historical performance where Maximum is the strongest this signal has been and Minimum is the weakest.
20-Day Moving Average Direction
Indicates whether the Buy or Sell signal is strengthening or weakening or whether a Hold signal is heading towards a buy or sell signal.
New 20-Day Moving Average Signal
Indicates that the symbol made a NEW 20-Day Moving Average signal today.
20-50-Day Moving Average Crossover Signal
The signal from the 20-50-Day Moving Average Crossover, a short-term indicator used to indicate bullish or bearish movements in price.
20-50-Day Moving Average Crossover Strength
The strength of the signal compared to its historical performance where Maximum is the strongest this signal has been and Minimum is the weakest.
20-50-Day Moving Average Crossover Direction
Indicates whether the Buy or Sell signal is strengthening or weakening or whether a Hold signal is heading towards a buy or sell signal.
New 20-50 Day Moving Average Crossover Signal
Indicates that the symbol made a NEW 20-50 Day Moving Average Crossover signal today.
20-100-Day Moving Average Crossover Signal
The signal from the 20-100-Day Moving Average Crossover, a medium-term indicator used to indicate bullish or bearish movements in price.
20-100-Day Moving Average Crossover Strength
The strength of the signal compared to its historical performance where Maximum is the strongest this signal has been and Minimum is the weakest.
20-100-Day Moving Average Crossover Direction
Indicates whether the Buy or Sell signal is strengthening or weakening or whether a Hold signal is heading towards a buy or sell signal.
New 20-100 Day Moving Average Crossover Signal
Indicates that the symbol made a NEW 20-100 Day Moving Average Crossover signal today.
20-200-Day Moving Average Crossover Signal
The signal from the 20-200-Day Moving Average Crossover, a short-term indicator used to indicate bullish or bearish movements in price.
20-200-Day Moving Average Crossover Strength
The strength of the signal compared to its historical performance where Maximum is the strongest this signal has been and Minimum is the weakest.
20-200-Day Moving Average Crossover Direction
Indicates whether the Buy or Sell signal is strengthening or weakening or whether a Hold signal is heading towards a buy or sell signal.
New 20-200 Day Moving Average Crossover Signal
Indicates that the symbol made a NEW 20-200 Day Moving Average Crossover signal today.
Medium Term Indicators
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Description
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Options Screener
50-Day Moving Average Signal
The signal from the 50-Day Moving Average, a medium-term indicator used to observe price changes.
50-Day Moving Average Strength
The strength of the signal compared to its historical performance where Maximum is the strongest this signal has been and Minimum is the weakest.
50-Day Moving Average Direction
Indicates whether the Buy or Sell signal is strengthening or weakening or whether a Hold signal is heading towards a buy or sell signal.
New 50-Day Moving Average Signal
Indicates that the symbol made a NEW 50-Day Moving Average signal today.
50-100-Day Moving Average Crossover Signal
The signal from the 50-100-Day Moving Average Crossover, a medium-term indicator used to indicate bullish or bearish movements in price.
50-100-Day Moving Average Crossover Strength
The strength of the signal compared to its historical performance where Maximum is the strongest this signal has been and Minimum is the weakest.
50-100-Day Moving Average Crossover Direction
Indicates (as of previous close) whether the Buy or Sell signal was strengthening or weakening or whether a Hold signal is heading towards a buy or sell signal.
New 50-100 Day Moving Average Crossover Signal
Indicates that the symbol made a NEW 50-100 Day Moving Average Crossover signal today.
50-150-Day Moving Average Crossover Signal
The signal from the 50-150-Day Moving Average Crossover, a medium-term indicator used to indicate bullish or bearish movements in price.
50-150-Day Moving Average Crossover Strength
The strength of the signal compared to its historical performance where Maximum is the strongest this signal has been and Minimum is the weakest.
50-150-Day Moving Average Crossover Direction
Indicates (as of previous close) whether the Buy or Sell signal was strengthening or weakening or whether a Hold signal is heading towards a buy or sell signal.
New 50-150 Day Moving Average Crossover Signal
Indicates that the symbol made a NEW 50-150 Day Moving Average Crossover signal today.
50-200-Day Moving Average Crossover Signal
The signal from the 50-200-Day Moving Average Crossover, a medium-term indicator used to indicate bullish or bearish movements in price.
50-200-Day Moving Average Crossover Strength
The strength of the signal compared to its historical performance where Maximum is the strongest this signal has been and Minimum is the weakest.
50-200-Day Moving Average Crossover Direction
Indicates (as of previous close) whether the Buy or Sell signal was strengthening or weakening or whether a Hold signal is heading towards a buy or sell signal.
New 50-200 Day Moving Average Crossover Signal
Indicates that the symbol made a NEW 50-200 Day Moving Average Crossover signal today.
Long Term Indicators
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Description
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Stock Screener
ETF Screener
Options Screener
100-Day Moving Average Signal
The signal from the 100-Day Moving Average, a long-term indicator used to observe price changes.
100-Day Moving Average Strength
The strength of the signal compared to its historical performance where Maximum is the strongest this signal has been and Minimum is the weakest.
100-Day Moving Average Direction
Indicates whether the Buy or Sell signal is strengthening or weakening or whether a Hold signal is heading towards a buy or sell signal.
New 100-Day Moving Average Signal
Indicates that the symbol made a NEW 100-Day Moving Average signal today.
150-Day Moving Average Signal
The signal from the 150-Day Moving Average, a long-term indicator used to observe price changes.
150-Day Moving Average Strength
The strength of the signal compared to its historical performance where Maximum is the strongest this signal has been and Minimum is the weakest.
150-Day Moving Average Direction
Indicates whether the Buy or Sell signal is strengthening or weakening or whether a Hold signal is heading towards a buy or sell signal.
New 150 Day Moving Average Signal
Indicates that the symbol made a NEW 100 Day Moving Average signal today.
200-Day Moving Average Signal
The signal from the 200-Day Moving Average, a long-term indicator used to observe price changes.
200-Day Moving Average Strength
The strength of the signal compared to its historical performance where Maximum is the strongest this signal has been and Minimum is the weakest.
200-Day Moving Average Direction
Indicates whether the Buy or Sell signal is strengthening or weakening or whether a Hold signal is heading towards a buy or sell signal.
New 200 Day Moving Average Signal
Indicates that the symbol made a NEW 200 Day Moving Average signal today.
100-200-Day Moving Average Crossover Signal
The signal from the 100-200-Day Moving Average Crossover, a long-term indicator used to indicate bullish or bearish movements in price.
100-200-Day Moving Average Crossover Strength
The strength of the signal compared to its historical performance where Maximum is the strongest this signal has been and Minimum is the weakest.
100-200-Day Moving Average Crossover Direction
Indicates (as of previous close) whether the Buy or Sell signal was strengthening or weakening or whether a Hold signal is heading towards a buy or sell signal.
New 100-200 Day Moving Average Crossover Signal
Indicates that the symbol made a NEW 100-200 Day Moving Average Crossover signal today.
Legacy Indicators
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Description
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Stock Screener
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7-Day Average Directional Indicator Signal
The signal from the 7-Day Average Directional Indicator, a short-term indicator used to determine the market trend.
7-Day Average Directional Indicator Strength
The strength of the signal compared to its historical performance where Maximum is the strongest this signal has been and Minimum is the weakest.
7-Day Average Directional Indicator Direction
Indicates whether the Buy or Sell signal is strengthening or weakening or whether a Hold signal is heading towards a buy or sell signal.
New 7-Day Avg Directional Signal
Indicates that the symbol made a NEW 7 Day Average Directional signal today.
9-18 Day Moving Average Crossover Signal
The signal from the 9-18 Day Moving Average Crossover, a short-term indicator used to observe price changes.
9-18 Day Moving Average Crossover Strength
The strength of the signal compared to its historical performance where Maximum is the strongest this signal has been and Minimum is the weakest.
9-18 Day Moving Average Crossover Direction
Indicates whether the Buy or Sell signal is strengthening or weakening or whether a Hold signal is heading towards a buy or sell signal.
New 9-18 Day Moving Average Crossover Signal
Indicates that the symbol made a NEW 9-18 Day Moving Average Crossover signal today.
9-18 Day EMA Crossover Signal
The signal from the 9-18 Day EMA Crossover, a short-term indicator used to observe price changes.
9-18 Day EMA Crossover Strength
The strength of the signal compared to its historical performance where Maximum is the strongest this signal has been and Minimum is the weakest.
9-18 Day EMA Crossover Direction
Indicates whether the Buy or Sell signal is strengthening or weakening or whether a Hold signal is heading towards a buy or sell signal.
New 9-18 Day EMA Crossover Signal
Indicates that the symbol made a NEW 9-18 Day EMA Crossover signal today.
10 - 8 Day Moving Average Hilo Signal
The signal from the 10 - 8 Day Moving Average Hilo Channel, a short-term indicator that calculates the moving average on the High and Low prices, rather than the Close.
10 - 8 Day Moving Average Hilo Strength
The strength of the signal compared to its historical performance where Maximum is the strongest this signal has been and Minimum is the weakest.
10 - 8 Day Moving Average Hilo Direction
Indicates whether the Buy or Sell signal is strengthening or weakening or whether a Hold signal is heading towards a buy or sell signal.
New 10-8 Day Mov Avg Signal
Indicates that the symbol made a NEW 10-8 Day Moving Average signal today.
12-26-9D eMACD Indicator Signal
The signal from the 12-26-9 Day eMACD, which uses Exponential Moving Averages in its calculation.
12-26-9D eMACD Strength
The strength of the signal compared to its historical performance where Maximum is the strongest this signal has been and Minimum is the weakest.
12-26-9D eMACD Direction
Indicates whether the Buy or Sell signal is strengthening or weakening or whether a Hold signal is heading towards a buy or sell signal.
New 12-26-9D eMACD Signal
Indicates that the symbol made a NEW 12-26-9 Day eMACD signal today.
20-Day Bollinger Bands Signal
The signal from the 20-Day Bollinger Bands, a short-term indicator used to determine overbought and oversold zones, to confirm divergences between prices and indicators, and to project price targets.
20-Day Bollinger Bands Strength
The strength of the signal compared to its historical performance where Maximum is the strongest this signal has been and Minimum is the weakest.
20-Day Bollinger Bands Direction
Indicates whether the Buy or Sell signal is strengthening or weakening or whether a Hold signal is heading towards a buy or sell signal.
New Bollinger Bands Signal
Indicates that the symbol made a NEW Bollinger Bands signal today.
40-Day Commodity Channel Index Signal
The signal from the 40-Day Commodity Channel Index, a medium-term indicator used to identify overbought and oversold levels.
40-Day Commodity Channel Index Strength
The strength of the signal compared to its historical performance where Maximum is the strongest this signal has been and Minimum is the weakest.
40-Day Commodity Channel Index Direction
Indicates whether the Buy or Sell signal is strengthening or weakening or whether a Hold signal is heading towards a buy or sell signal.
New 40-Day CCI Signal
Indicates that the symbol made a NEW 40-Day Commodity Channel Index signal today.
50-Day Parabolic Time/Price Signal
The signal from the 50-Day Parabolic Time/Price, a medium-term indicator used to calculate stop and reverse price values.
50-Day Parabolic Time/Price Strength
The strength of the signal compared to its historical performance where Maximum is the strongest this signal has been and Minimum is the weakest.
50-Day Parabolic Time/Price Direction
Indicates whether the Buy or Sell signal is strengthening or weakening or whether a Hold signal is heading towards a buy or sell signal.
New 50 Day Parabolic Signal
Indicates that the symbol made a NEW 50 Day Parabolic Time Price signal today.
60-Day Commodity Channel Index Signal
The signal from the 60-Day Commodity Channel Index, a long-term indicator used to identify overbought and oversold levels.
60-Day Commodity Channel Index Strength
The strength of the signal compared to its historical performance where Maximum is the strongest this signal has been and Minimum is the weakest.
60-Day Commodity Channel Index Direction
Indicates whether the Buy or Sell signal is strengthening or weakening or whether a Hold signal is heading towards a buy or sell signal.
New 60-Day CCI Signal
Indicates that the symbol made a NEW 60-Day Commodity Channel Index signal today.
Key Statistics
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Name
Description
Custom View
Stock Screener
ETF Screener
Options Screener
Market Capitalization, $K
The total equity market value of the company: the shares outstanding times the stock price (in thousands of dollars).
Enterprise Value, $K
Enterprise Value is the measure of a company’s total value. It is computed by the sum of the current Market Capitalization, Short Term Debt, Long Term Debt, Minority Interests and Preferred Stock minus Cash & Equivalents.
Shares Outstanding, K
Common shares that have been authorized, issued, and purchased by investors.
Annual Sales
The annual sales.
Annual Net Income
The annual net income.
Last Quarter Sales
The last quarter sales.
Last Quarter Net Income
The last quarter net income.
60-Month Beta
Coefficient that measures the volatility of a stock's returns relative to the market (S&P 500), based on a 60-month historical regression of the return on the stock onto the return on the S&P 500.
% Insider Shareholders
The percent of ownership held by the company's executives, board of directors, and other senior officials.
% Institutional Shareholders
The percent of ownership held by large financial institutions or organizations.
Float, K
The regular shares a company has issued that are available to trade (shares outstanding - restricted stock).
% Float
The percentage of regular shares a company has issued that are available to trade (float / shares outstanding * 100).
Five-Year Revenue Growth
The revenue growth percent over a 5-Year period. Growth is based on comparing the value from 5-years ago against the present value, reflected as a percentage.
EBIT(a)
EBIT, or Earnings before interest and taxes, is a measure of a firm's profit that excludes interest and income tax expenses. Expressed in millions of dollars, EBIT = Revenue - Operating expenses + Non-operating income.
EBITDA(a)
EBITDA is net income (earnings) with interest, taxes, depreciation, and amortization added back, expressed in millions of dollars.
Earnings
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Name
Description
Custom View
Stock Screener
ETF Screener
Options Screener
Most Recent Earnings
Earnings per share, or the portion of a company's profit allocated to each outstanding share of common stock.
Last Earnings Date
The last reported Earnings Date.
Latest Earnings Date
The next reported earnings date, or the latest earnings date as reported by the company (if no future date has been released).
Report Released
The date on which the earnings report is released.
Earnings Per Share ttm
Earnings per share, or the portion of a company's profit allocated to each outstanding share of common stock, for the last trailing twelve months.
EPS Growth vs. Prev Quarter
The earnings per share growth over the previous quarter.
EPS Growth vs. Prev Year
The earnings per share growth from the most recent EPS compared to the quarterly EPS from 4 quarters before.
5-Year Earnings Growth
The earnings growth percent over a 5-Year period.
Dividends & Splits
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Name
Description
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Stock Screener
ETF Screener
Options Screener
Dividend Rate
The trailing annual dividend amount paid.
Dividend Yield
Annual dividend yield is trailing annual dividend amount divided by the latest closing price.
Most Recent Dividend
The last dividend paid.
Last Dividend Date
The ex-dividend date on which the most recent dividend was paid.
Dividend Date
The next ex-dividend date, or the latest ex-dividend date if no future date has been released.
Dividend Payable Date
The next dividend payable date, or the latest dividend payable date if no future date has been released.
Dividend Payout Ratio
Dividend payout ratio is the % of net income paid to stockholders in dividends.
5-Year Dividends Growth
The dividends growth percent over a 5-Year period.
Split
The share split recorded on the last split date.
Split Date
The date on which a share split last occurred.
Financial Ratios
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Name
Description
Custom View
Stock Screener
ETF Screener
Options Screener
Price/Earnings ttm
The closing price divided by the earnings-per-share based on the last trailing twelve months (TTM) of earnings.
Price/Earnings Forward
The projected price to earnings per share valuation.
Price/Earnings to Growth
The price/earnings growth ratio.
Return-on-Equity %
For the recent quarter (after taxes): earnings from total operations (not including extraordinary items) divided by the Most Recent Quarter Common Stock Equity.
Return-on-Assets %
For the recent quarter (before taxes): earnings from total operations (not including extraordinary items) divided by the Most Recent Quarter Assets.
Profit Margin %
For the recent year, a measure of profitability, equal to annual net income / revenues over the selected period * 100.
Debt/Equity
The debt/equity ratio for the latest quarter. Debt/Equity is a financial health ratio that adds long-term debt to current liabilities, then divides by the last fiscal year net equity per share of common stock.
Price/Sales
Latest closing price of the stock divided by the last twelve months revenue/sales per share.
Price/Cash Flow
Latest closing price of the stock divided by the last twelve months revenue/cash flow per share.
Price/Book
A financial ratio used to compare a company's current market price to its book value.
Book Value/Share
The per share value of a company based on its equity available to common shareholders for the trailing 12 months.
Interest Coverage
A measure of a company's ability to honor its interest payments. (Annual Pre-Tax Income + Annual Interest Expense) / Annual Interest Expense
Analysts & Estimates
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Name
Description
Custom View
Stock Screener
ETF Screener
Options Screener
Analyst Rating
The current average Analyst Rating, where Strong Buy = 5, Moderate Buy = 4, Hold = 3, Moderate Sell = 2, Strong Sell = 1.
Nbr of Analysts
The number of analysts submitting ratings for the current period.
Avg Earnings Estimate
The average analysts' estimate for earnings for the current quarter.
Estimated Earnings
Estimated quarterly earnings from the last reported quarter, as reported by analysts.
High Target Price Estimate
The 12-Month High Target Price from analysts who provided ratings
Mean Target Price Estimate
The 12-Month Mean Target Price from analysts who provided ratings
Low Target Price Estimate
The 12-Month Low Target Price from analysts who provided ratings
Estimated Earnings 1-Qtr Ago
Estimated quarterly earnings 1-quarter ago as reported by analysts.
Estimated Earnings 2-Qtrs Ago
Estimated quarterly earnings 2-quarters ago as reported by analysts.
Estimated Earnings 3-Qtrs Ago
Estimated quarterly earnings 3-quarters ago, as reported by analysts.
Reported Earnings
Last reported quarterly earnings, based on GAAP income from continuing operations.
Reported Earnings 1-Qtr Ago
The reported quarterly earnings from 1-quarter ago, based on GAAP income from continuing operations.
Reported Earnings 2-Qtrs Ago
The reported quarterly earnings from 2-quarters ago, based on GAAP income from continuing operations.
Reported Earnings 3-Qtrs Ago
The reported quarterly earnings from 3-quarters ago, based on GAAP income from continuing operations.
Earnings Difference
The difference between the last reported earnings and the last estimated earnings.
Earnings Difference 1-Qtr Ago
The difference between the reported and estimated earnings from 1-quarter ago.
Earnings Difference 2-Qtrs Ago
The difference between the reported and estimated earnings from 2-quarters ago.
Earnings Difference 3-Qtrs Ago
The difference between the reported and estimated earnings from 3-quarters ago.
Earnings Surprise%
The difference between the last reported and estimated earnings, expressed as a percent.
Earnings Surprise% 1-Qtr Ago
The difference between the reported and estimated earnings from 1-quarter ago, expressed as a percent.
Earnings Surprise% 2-Qtrs Ago
The difference between the reported and estimated earnings from 2-quarters ago, expressed as a percent.
Earnings Surprise% 3-Qtrs Ago
The difference between the reported and estimated earnings from 3-quarters ago, expressed as a percent.
Income Statement → Yearly Data
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Name
Description
Custom View
Stock Screener
ETF Screener
Options Screener
Sales(a)
The annual sales (in thousands of dollars), for the last year.
Sales(a-1)
The annual sales (in thousands of dollars), 1-year ago.
Sales(a-2)
The annual sales (in thousands of dollars), 2-years ago.
Sales(a-3)
The annual sales (in thousands of dollars), 3-years ago.
Sales(a-4)
The annual sales (in thousands of dollars), 4-years ago.
Sales %(a)
The annual growth (%) in sales, for the last year.
Sales %(a-1)
The annual growth (%) in sales, 1-year ago.
Sales %(a-2)
The annual growth (%) in sales, 2-years ago.
Sales %(a-3)
The annual growth (%) in sales, 3-years ago.
Sales %(a-4)
The annual growth (%) in sales, 4-years ago.
Net Income(a)
The annual net income (in thousands of dollars), for the last year.
Net Income(a-1)
The annual net income (in thousands of dollars), 1-year ago.
Net Income(a-2)
The annual net income (in thousands of dollars), 2-years ago.
Net Income(a-3)
The annual net income (in thousands of dollars), 3-years ago.
Net Income(a-4)
The annual net income (in thousands of dollars), 4-years ago.
Net Income %(a)
The annual growth (%) in net income, for the last year.
Net Income %(a-1)
The annual growth (%) in net income, 1-year ago.
Net Income %(a-2)
The annual growth (%) in net income, 2-years ago.
Net Income %(a-3)
The annual growth (%) in net income, 3-years ago.
Net Income %(a-4)
The annual growth (%) in net income, 4-years ago.
Profit(a)
The annual gross profit (in thousands of dollars), for the last year.
Profit(a-1)
The annual gross profit (in thousands of dollars), 1-year ago.
Profit(a-2)
The annual gross profit (in thousands of dollars), 2-years ago.
Profit(a-3)
The annual gross profit (in thousands of dollars), 3-years ago.
Profit(a-4)
The annual gross profit (in thousands of dollars), 4-years ago.
Profit %(a)
The annual growth (%) in gross profit, for the last year.
Profit %(a-1)
The annual growth (%) in gross profit, 1-year ago.
Profit %(a-2)
The annual growth (%) in gross profit, 2-years ago.
Profit %(a-3)
The annual growth (%) in gross profit, 3-years ago.
Profit %(a-4)
The annual growth (%) in gross profit, 4-years ago.
Oper Income(a)
The annual operating income (in thousands of dollars), for the last year.
Oper Income(a-1)
The annual operating income (in thousands of dollars), 1-year ago.
Oper Income(a-2)
The annual operating income (in thousands of dollars), 2-years ago.
Oper Income(a-3)
The annual operating income (in thousands of dollars), 3-years ago.
Oper Income(a-4)
The annual operating income (in thousands of dollars), 4-years ago.
Oper Income %(a)
The annual growth (%) in operating income, for the last year.
Oper Income %(a-1)
The annual growth (%) in operating income, 1-year ago.
Oper Income %(a-2)
The annual growth (%) in operating income, 2-years ago.
Oper Income %(a-3)
The annual growth (%) in operating income, 3-years ago.
Oper Income %(a-4)
The annual growth (%) in operating income, 4-years ago.
EPS Basic(a)
The annual basic earnings per share (in thousands of dollars), for the last year. Basic EPS takes into account the outstanding equity shares of the company.
EPS Basic(a-1)
The annual basic earnings per share (in thousands of dollars), 1-year ago. Basic EPS takes into account the outstanding equity shares of the company.
EPS Basic(a-2)
The annual basic earnings per share (in thousands of dollars), 2-years ago. Basic EPS takes into account the outstanding equity shares of the company.
EPS Basic(a-3)
The annual basic earnings per share (in thousands of dollars), 3-years ago. Basic EPS takes into account the outstanding equity shares of the company.
EPS Basic(a-4)
The annual basic earnings per share (in thousands of dollars), 4-years ago. Basic EPS takes into account the outstanding equity shares of the company.
EPS Basic %(a)
The annual growth (%) in basic earnings per share, for the last year. Basic EPS takes into account the outstanding equity shares of the company.
EPS Basic %(a-1)
The annual growth (%) in basic earnings per share, 1-year ago. Basic EPS takes into account the outstanding equity shares of the company.
EPS Basic %(a-2)
The annual growth (%) in basic earnings per share, 2-years ago. Basic EPS takes into account the outstanding equity shares of the company.
EPS Basic %(a-3)
The annual growth (%) in basic earnings per share, 3-years ago. Basic EPS takes into account the outstanding equity shares of the company.
EPS Basic %(a-4)
The annual growth (%) in basic earnings per share, 4-years ago. Basic EPS takes into account the outstanding equity shares of the company.
EPS Diluted(a)
The annual diluted earnings per share (in thousands of dollars), for the last year. Diluted EPS includes convertible shares such as employee stock options, warrants, debt.
EPS Diluted(a-1)
The annual diluted earnings per share (in thousands of dollars), 1-year ago. Diluted EPS includes convertible shares such as employee stock options, warrants, debt.
EPS Diluted(a-2)
The annual diluted earnings per share (in thousands of dollars), 2-years ago. Diluted EPS includes convertible shares such as employee stock options, warrants, debt.
EPS Diluted(a-3)
The annual diluted earnings per share (in thousands of dollars), 3-years ago. Diluted EPS includes convertible shares such as employee stock options, warrants, debt.
EPS Diluted(a-4)
The annual diluted earnings per share (in thousands of dollars), 4-years ago. Diluted EPS includes convertible shares such as employee stock options, warrants, debt.
EPS Diluted %(a)
The annual growth (%) in diluted earnings per share, for the last year. Diluted EPS includes convertible shares such as employee stock options, warrants, debt.
EPS Diluted %(a-1)
The annual growth (%) in diluted earnings per share, 1-year ago. Diluted EPS includes convertible shares such as employee stock options, warrants, debt.
EPS Diluted %(a-2)
The annual growth (%) in diluted earnings per share, 2-years ago. Diluted EPS includes convertible shares such as employee stock options, warrants, debt.
EPS Diluted %(a-3)
The annual growth (%) in diluted earnings per share, 3-years ago. Diluted EPS includes convertible shares such as employee stock options, warrants, debt.
EPS Diluted %(a-4)
The annual growth (%) in diluted earnings per share, 4-years ago. Diluted EPS includes convertible shares such as employee stock options, warrants, debt.
Income Statement → Quarterly Data
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Name
Description
Custom View
Stock Screener
ETF Screener
Options Screener
Sales(q)
The quarterly sales (in thousands of dollars), for the last quarter.
Sales(q-1)
The quarterly sales (in thousands of dollars), 1-quarter ago.
Sales(q-2)
The quarterly sales (in thousands of dollars), 2-quarters ago.
Sales(q-3)
The quarterly sales (in thousands of dollars), 3-quarters ago.
Sales(q-4)
The quarterly sales (in thousands of dollars), 4-quarters ago.
Sales %(q)
The quarterly growth in sales, for the last quarter.
Sales %(q-1)
The quarterly growth (%) in sales, 1-quarter ago.
Sales %(q-2)
The quarterly growth (%) in sales, 2-quarters ago.
Sales %(q-3)
The quarterly growth (%) in sales, 3-quarters ago.
Sales %(q-4)
The quarterly growth (%) in sales, 4-quarters ago.
Net Income(q)
The quarterly net income (in thousands of dollars), for the last quarter.
Net Income(q-1)
The quarterly net income (in thousands of dollars), 1-quarter ago.
Net Income(q-2)
The quarterly net income (in thousands of dollars), 2-quarters ago.
Net Income(q-3)
The quarterly net income (in thousands of dollars), 3-quarters ago.
Net Income(q-4)
The quarterly net income (in thousands of dollars), 4-quarters ago.
Net Income %(q)
The quarterly growth (%) in net income, for the last quarter.
Net Income %(q-1)
The quarterly growth (%) in net income, 1-quarter ago.
Net Income %(q-2)
The quarterly growth (%) in net income, 2-quarters ago.
Net Income %(q-3)
The quarterly growth (%) in net income, 3-quarters ago.
Net Income %(q-4)
The quarterly growth (%) in net income, 4-quarters ago.
Profit(q)
The quarterly gross profit (in thousands of dollars), for the last quarter.
Profit(q-1)
The quarterly gross profit (in thousands of dollars), 1-quarter ago.
Profit(q-2)
The quarterly gross profit (in thousands of dollars), 2-quarters ago.
Profit(q-3)
The quarterly gross profit (in thousands of dollars), 3-quarters ago.
Profit(q-4)
The quarterly gross profit (in thousands of dollars), 4-quarters ago.
Profit %(q)
The quarterly growth (%) in gross profit, for the last quarter.
Profit %(q-1)
The quarterly growth (%) in gross profit, 1-quarter ago.
Profit %(q-2)
The quarterly growth (%) in gross profit, 2-quarters ago.
Profit %(q-3)
The quarterly growth (%) in gross profit, 3-quarters ago.
Profit %(q-4)
The quarterly growth (%) in gross profit, 4-quarters ago.
Oper Income(q)
The quarterly operating income (in thousands of dollars), for the last quarter.
Oper Income(q-1)
The quarterly operating income (in thousands of dollars), 1-quarter ago.
Oper Income(q-2)
The quarterly operating income (in thousands of dollars), 2-quarters ago.
Oper Income(q-3)
The quarterly operating income (in thousands of dollars), 3-quarters ago.
Oper Income(q-4)
The quarterly operating income (in thousands of dollars), 4-quarters ago.
Oper Income %(q)
The quarterly growth (%) in operating income, for the last quarter.
Oper Income %(q-1)
The quarterly growth (%) in operating income, 1-quarter ago.
Oper Income %(q-2)
The quarterly growth (%) in operating income, 2-quarters ago.
Oper Income %(q-3)
The quarterly growth (%) in operating income, 3-quarters ago.
Oper Income %(q-4)
The quarterly growth (%) in operating income, 4-quarters ago.
EPS Basic(q)
The quarterly basic earnings per share (in thousands of dollars), for the last quarter. Basic EPS takes into account the outstanding equity shares of the company.
EPS Basic(q-1)
The quarterly basic earnings per share (in thousands of dollars), 1-quarter ago. Basic EPS takes into account the outstanding equity shares of the company.
EPS Basic(q-2)
The quarterly basic earnings per share (in thousands of dollars), 2-quarters ago. Basic EPS takes into account the outstanding equity shares of the company.
EPS Basic(q-3)
The quarterly basic earnings per share (in thousands of dollars), 3-quarters ago. Basic EPS takes into account the outstanding equity shares of the company.
EPS Basic(q-4)
The quarterly basic earnings per share (in thousands of dollars), 4-quarters ago. Basic EPS takes into account the outstanding equity shares of the company.
EPS Basic %(q)
The quarterly growth (%) in basic earnings per share, for the last quarter. Basic EPS takes into account the outstanding equity shares of the company.
EPS Basic %(q-1)
The quarterly growth (%) in basic earnings per share, 1-quarter ago. Basic EPS takes into account the outstanding equity shares of the company.
EPS Basic %(q-2)
The quarterly growth (%) in basic earnings per share, 2-quarters ago. Basic EPS takes into account the outstanding equity shares of the company.
EPS Basic %(q-3)
The quarterly growth (%) in basic earnings per share, 3-quarters ago. Basic EPS takes into account the outstanding equity shares of the company.
EPS Basic %(q-4)
The quarterly growth (%) in basic earnings per share, 4-quarters ago. Basic EPS takes into account the outstanding equity shares of the company.
EPS Diluted(q)
The quarterly diluted earnings per share (in thousands of dollars), for the last quarter. Diluted EPS includes convertible shares such as employee stock options, warrants, debt.
EPS Diluted(q-1)
The quarterly diluted earnings per share (in thousands of dollars), 1-quarter ago. Diluted EPS includes convertible shares such as employee stock options, warrants, debt.
EPS Diluted(q-2)
The quarterly diluted earnings per share (in thousands of dollars), 2-quarters ago. Diluted EPS includes convertible shares such as employee stock options, warrants, debt.
EPS Diluted(q-3)
The quarterly diluted earnings per share (in thousands of dollars), 3-quarters ago. Diluted EPS includes convertible shares such as employee stock options, warrants, debt.
EPS Diluted(q-4)
The quarterly diluted earnings per share (in thousands of dollars), 4-quarters ago. Diluted EPS includes convertible shares such as employee stock options, warrants, debt.
EPS Diluted %(q)
The quarterly growth (%) in diluted earnings per share, for the last quarter. Diluted EPS includes convertible shares such as employee stock options, warrants, debt.
EPS Diluted %(q-1)
The quarterly growth (%) in diluted earnings per share, 1-quarter ago. Diluted EPS includes convertible shares such as employee stock options, warrants, debt.
EPS Diluted %(q-2)
The quarterly growth (%) in diluted earnings per share, 2-quarters ago. Diluted EPS includes convertible shares such as employee stock options, warrants, debt.
EPS Diluted %(q-3)
The quarterly growth (%) in diluted earnings per share, 3-quarters ago. Diluted EPS includes convertible shares such as employee stock options, warrants, debt.
EPS Diluted %(q-4)
The quarterly growth (%) in diluted earnings per share, 4-quarters ago. Diluted EPS includes convertible shares such as employee stock options, warrants, debt.
Balance Sheet → Yearly Data
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Name
Description
Custom View
Stock Screener
ETF Screener
Options Screener
Cash(a)
The total cash (in thousands of dollars), for the last year.
Cash(a-1)
The total cash (in thousands of dollars), 1-year ago.
Cash(a-2)
The total cash (in thousands of dollars), 2-year ago.
Cash(a-3)
The total cash (in thousands of dollars), 3-year ago.
Cash(a-4)
The total cash (in thousands of dollars), 4-year ago.
Assets(a)
The annual total assets (in thousands of dollars), for the last year.
Assets(a-1)
The annual total assets (in thousands of dollars), 1-year ago.
Assets(a-2)
The annual total assets (in thousands of dollars), 2-years ago.
Assets(a-3)
The annual total assets (in thousands of dollars), 3-years ago.
Assets(a-4)
The annual total assets (in thousands of dollars), 4-years ago.
Assets %(a)
The annual growth (%) in total assets, for the last year.
Assets %(a-1)
The annual growth (%) in total assets, 1-year ago.
Assets %(a-2)
The annual growth (%) in total assets, 2-years ago.
Assets %(a-3)
The annual growth (%) in total assets, 3-years ago.
Assets %(a-4)
The annual growth (%) in total assets, 4-years ago.
Liabilities(a)
The annual total liabilities (in thousands of dollars), for the last year.
Liabilities(a-1)
The annual total liabilities (in thousands of dollars), 1-year ago.
Liabilities(a-2)
The annual total liabilities (in thousands of dollars), 2-years ago.
Liabilities(a-3)
The annual total liabilities (in thousands of dollars), 3-years ago.
Liabilities(a-4)
The annual total liabilities (in thousands of dollars), 4-years ago.
Liabilities %(a)
The annual growth (%) in total liabilities, for the last year.
Liabilities %(a-1)
The annual growth (%) in total liabilities, 1-year ago.
Liabilities %(a-2)
The annual growth (%) in total liabilities, 2-years ago.
Liabilities %(a-3)
The annual growth (%) in total liabilities, 3-years ago.
Liabilities %(a-4)
The annual growth (%) in total liabilities, 4-years ago.
Curr Assets(a)
The annual current assets (in thousands of dollars), for the last year.
Curr Assets(a-1)
The annual current assets (in thousands of dollars), 1-year ago.
Curr Assets(a-2)
The annual current assets (in thousands of dollars), 2-years ago.
Curr Assets(a-3)
The annual current assets (in thousands of dollars), 3-years ago.
Curr Assets(a-4)
The annual current assets (in thousands of dollars), 4-years ago.
Curr Assets %(a)
The annual growth (%) in current assets, for the last year.
Curr Assets %(a-1)
The annual growth (%) in current assets, 1-year ago.
Curr Assets %(a-2)
The annual growth (%) in current assets, 2-years ago.
Curr Assets %(a-3)
The annual growth (%) in current assets, 3-years ago.
Curr Assets %(a-4)
The annual growth (%) in current assets, 4-years ago.
Curr Liabilities(a)
The annual current liabilities (in thousands of dollars), for the last year.
Curr Liabilities(a-1)
The annual current liabilities (in thousands of dollars), 1-year ago.
Curr Liabilities(a-2)
The annual current liabilities (in thousands of dollars), 2-years ago.
Curr Liabilities(a-3)
The annual current liabilities (in thousands of dollars), 3-years ago.
Curr Liabilities(a-4)
The annual current liabilities (in thousands of dollars), 4-years ago.
Curr Liabilities %(a)
The annual growth (%) in current liabilities, for the last year.
Curr Liabilities %(a-1)
The annual growth (%) in current liabilities, 1-year ago.
Curr Liabilities %(a-2)
The annual growth (%) in current liabilities, 2-years ago.
Curr Liabilities %(a-3)
The annual growth (%) in current liabilities, 3-years ago.
Curr Liabilities %(a-4)
The annual growth (%) in current liabilities, 4-years ago.
Long Term Debt(a)
The annual long term debt (in thousands of dollars), for the last year.
Long Term Debt(a-1)
The annual long term debt (in thousands of dollars), 1-year ago.
Long Term Debt(a-2)
The annual long term debt (in thousands of dollars), 2-years ago.
Long Term Debt(a-3)
The annual long term debt (in thousands of dollars), 3-years ago.
Long Term Debt(a-4)
The annual long term debt (in thousands of dollars), 4-years ago.
Long Term Debt %(a)
The annual growth (%) in long term debt, for the last year.
Long Term Debt %(a-1)
The annual growth (%) in long term debt, 1-year ago.
Long Term Debt %(a-2)
The annual growth (%) in long term debt, 2-years ago.
Long Term Debt %(a-3)
The annual growth (%) in long term debt, 3-years ago.
Long Term Debt %(a-4)
The annual growth (%) in long term debt, 4-years ago.
Shareholders Equity(a)
The annual shareholders equity (in thousands of dollars), for the last year.
Shareholders Equity(a-1)
The annual shareholders equity (in thousands of dollars), 1-year ago.
Shareholders Equity(a-2)
The annual shareholders equity (in thousands of dollars), 2-years ago.
Shareholders Equity(a-3)
The annual shareholders equity (in thousands of dollars), 3-years ago.
Shareholders Equity(a-4)
The annual shareholders equity (in thousands of dollars), 4-years ago.
Shareholders Equity %(a)
The annual growth (%) in shareholders equity, for the last year.
Shareholders Equity %(a-1)
The annual growth (%) in shareholders equity, 1-year ago.
Shareholders Equity %(a-2)
The annual growth (%) in shareholders equity, 2-years ago.
Shareholders Equity %(a-3)
The annual growth (%) in shareholders equity, 3-years ago.
Shareholders Equity %(a-4)
The annual growth (%) in shareholders equity, 4-years ago.
Balance Sheet → Quarterly Data
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Cash(q)
The total cash (in thousands of dollars), for the last quarter.
Cash(q-1)
The total cash (in thousands of dollars), 1-quarter ago.
Cash(q-2)
The total cash (in thousands of dollars), 2-quarters ago.
Cash(q-3)
The total cash (in thousands of dollars), 3-quarters ago.
Cash(q-4)
The total cash (in thousands of dollars), 4-quarters ago.
Cash(q)
The total cash (in thousands of dollars), for the last quarter.
Cash(q-1)
The total cash (in thousands of dollars), 1-quarter ago.
Cash(q-2)
The total cash (in thousands of dollars), 2-quarters ago.
Cash(q-3)
The total cash (in thousands of dollars), 3-quarters ago.
Cash(q-4)
The total cash (in thousands of dollars), 4-quarters ago.
Assets(q)
The quarterly total assets (in thousands of dollars), for the last quarter.
Assets(q-1)
The quarterly total assets (in thousands of dollars), 1-quarter ago.
Assets(q-2)
The quarterly total assets (in thousands of dollars), 2-quarter ago.
Assets(q-3)
The quarterly total assets (in thousands of dollars), 3-quarter ago.
Assets(q-4)
The quarterly total assets (in thousands of dollars), 4-quarter ago.
Assets %(q)
The quarterly growth (%) in total assets, for the last quarter.
Assets %(q-1)
The quarterly growth (%) in total assets, 1-quarter ago.
Assets %(q-2)
The quarterly growth (%) in total assets, 2-quarter ago.
Assets %(q-3)
The quarterly growth (%) in total assets, 3-quarter ago.
Assets %(q-4)
The quarterly growth (%) in total assets, 4-quarter ago.
Liabilities(q)
The quarterly total liabilities (in thousands of dollars), for the last quarter.
Liabilities(q-1)
The quarterly total liabilities (in thousands of dollars), 1-quarter ago.
Liabilities(q-2)
The quarterly total liabilities (in thousands of dollars), 2-quarters ago.
Liabilities(q-3)
The quarterly total liabilities (in thousands of dollars), 3-quarters ago.
Liabilities(q-4)
The quarterly total liabilities (in thousands of dollars), 4-quarters ago.
Liabilities %(q)
The quarterly growth (%) in total liabilities, for the last quarter.
Liabilities %(q-1)
The quarterly growth (%) in total liabilities, 1-quarter ago.
Liabilities %(q-2)
The quarterly growth (%) in total liabilities, 2-quarters ago.
Liabilities %(q-3)
The quarterly growth (%) in total liabilities, 3-quarters ago.
Liabilities %(q-4)
The quarterly growth (%) in total liabilities, 4-quarters ago.
Curr Assets(q)
The quarterly current assets (in thousands of dollars), for the last quarter.
Curr Assets(q-1)
The quarterly current assets (in thousands of dollars), 1-quarter ago.
Curr Assets(q-2)
The quarterly current assets (in thousands of dollars), 2-quarter ago.
Curr Assets(q-3)
The quarterly current assets (in thousands of dollars), 3-quarter ago.
Curr Assets(q-4)
The quarterly current assets (in thousands of dollars), 4-quarter ago.
Curr Assets %(q)
The quarterly growth (%) in current assets, for the last quarter.
Curr Assets %(q-1)
The quarterly growth (%) in current assets, 1-quarter ago.
Curr Assets %(q-2)
The quarterly growth (%) in current assets, 2-quarter ago.
Curr Assets %(q-3)
The quarterly growth (%) in current assets, 3-quarter ago.
Curr Assets %(q-4)
The quarterly growth (%) in current assets, 4-quarter ago.
Curr Liabilities(q)
The quarterly current liabilities (in thousands of dollars), for the last quarter.
Curr Liabilities(q-1)
The quarterly current liabilities (in thousands of dollars), 1-quarter ago.
Curr Liabilities(q-2)
The quarterly current liabilities (in thousands of dollars), 2-quarters ago.
Curr Liabilities(q-3)
The quarterly current liabilities (in thousands of dollars), 3-quarters ago.
Curr Liabilities(q-4)
The quarterly current liabilities (in thousands of dollars), 4-quarters ago.
Curr Liabilities %(q)
The quarterly growth (%) in current liabilities, for the last quarter.
Curr Liabilities %(q-1)
The quarterly growth (%) in current liabilities, 1-quarter ago.
Curr Liabilities %(q-2)
The quarterly growth (%) in current liabilities, 2-quarters ago.
Curr Liabilities %(q-3)
The quarterly growth (%) in current liabilities, 3-quarters ago.
Curr Liabilities %(q-4)
The quarterly growth (%) in current liabilities, 4-quarters ago.
Long Term Debt(q)
The quarterly long term debt (in thousands of dollars), for the last quarter.
Long Term Debt(q-1)
The quarterly long term debt (in thousands of dollars), 1-quarter ago.
Long Term Debt(q-2)
The quarterly long term debt (in thousands of dollars), 2-quarters ago.
Long Term Debt(q-3)
The quarterly long term debt (in thousands of dollars), 3-quarters ago.
Long Term Debt(q-4)
The quarterly long term debt (in thousands of dollars), 4-quarters ago.
Long Term Debt %(q)
The quarterly growth (%) in long term debt, for the last quarter.
Long Term Debt %(q-1)
The quarterly growth (%) in long term debt, 1-quarter ago.
Long Term Debt %(q-2)
The quarterly growth (%) in long term debt, 2-quarters ago.
Long Term Debt %(q-3)
The quarterly growth (%) in long term debt, 3-quarters ago.
Long Term Debt %(q-4)
The quarterly growth (%) in long term debt, 4-quarters ago.
Shareholders Equity(q)
The quarterly shareholders equity (in thousands of dollars), for the last quarter.
Shareholders Equity(q-1)
The quarterly shareholders equity (in thousands of dollars), 1-quarter ago.
Shareholders Equity(q-2)
The quarterly shareholders equity (in thousands of dollars), 2-quarters ago.
Shareholders Equity(q-3)
The quarterly shareholders equity (in thousands of dollars), 3-quarters ago.
Shareholders Equity(q-4)
The quarterly shareholders equity (in thousands of dollars), 4-quarters ago.
Shareholders Equity %(q)
The quarterly growth (%) in shareholders equity, for the last quarter.
Shareholders Equity %(q-1)
The quarterly growth (%) in shareholders equity, 1-quarter ago.
Shareholders Equity %(q-2)
The quarterly growth (%) in shareholders equity, 2-quarters ago.
Shareholders Equity %(q-3)
The quarterly growth (%) in shareholders equity, 3-quarters ago.
Shareholders Equity %(q-4)
The quarterly growth (%) in shareholders equity, 4-quarters ago.
Cash Flow → Yearly Data
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Net Cash(a)
The annual total change in net cash flow (in thousands of dollars), for the last year.
Net Cash(a-1)
The annual total change in net cash flow (in thousands of dollars), 1-year ago.
Net Cash(a-2)
The annual total change in net cash flow (in thousands of dollars), 2-years ago.
Net Cash(a-3)
The annual total change in net cash flow (in thousands of dollars), 3-years ago.
Net Cash(a-4)
The annual total change in net cash flow (in thousands of dollars), 4-years ago.
Net Cash %(a)
The annual change in net cash flow (%), for the last year.
Net Cash %(a-1)
The annual change in net cash flow (%), 1-year ago.
Net Cash %(a-2)
The annual change in net cash flow (%), 2-years ago.
Net Cash %(a-3)
The annual change in net cash flow (%), 3-years ago.
Net Cash %(a-4)
The annual change in net cash flow (%), 4-years ago.
Cash Flow(a)
The annual total operating cash flow (in thousands of dollars), for the last year.
Cash Flow(a-1)
The annual total operating cash flow (in thousands of dollars), 1-year ago.
Cash Flow(a-2)
The annual total operating cash flow (in thousands of dollars), 2-years ago.
Cash Flow(a-3)
The annual total operating cash flow (in thousands of dollars), 3-years ago.
Cash Flow(a-4)
The annual total operating cash flow (in thousands of dollars), 4-years ago.
Cash Flow %(a)
The annual growth (%) in total operating cash flow, for the last year.
Cash Flow %(a-1)
The annual growth (%) in total operating cash flow, 1-year ago.
Cash Flow %(a-2)
The annual growth (%) in total operating cash flow, 2-years ago.
Cash Flow %(a-3)
The annual growth (%) in total operating cash flow, 3-years ago.
Cash Flow %(a-4)
The annual growth (%) in total operating cash flow, 4-years ago.
Cash Flow → Quarterly Data
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Net Cash(q)
The quarterly total change in net cash flow (in thousands of dollars), for the last quarter.
Net Cash(q-1)
The quarterly total change in net cash flow (in thousands of dollars), 1-quarter ago.
Net Cash(q-2)
The quarterly total change in net cash flow (in thousands of dollars), 2-quarters ago.
Net Cash(q-3)
The quarterly total change in net cash flow (in thousands of dollars), 3-quarters ago.
Net Cash(q-4)
The quarterly total change in net cash flow (in thousands of dollars), 4-quarters ago.
Cash Growth %(q)
The change in cash growth (%), for the last quarter.
Cash Growth %(q-1)
The change in cash growth (%), 1-quarter ago.
Cash Growth %(q-2)
The change in cash growth (%), 2-quarters ago.
Cash Growth %(q-3)
The change in cash growth (%), 3-quarters ago.
Cash Growth %(q-4)
The change in cash growth (%), 4-quarters ago.
Cash Flow(q)
The quarterly total operating cash flow (in thousands of dollars), for the last quarter.
Cash Flow(q-1)
The quarterly total operating cash flow (in thousands of dollars), 1-quarter ago.
Cash Flow(q-2)
The quarterly total operating cash flow (in thousands of dollars), 2-quarters ago.
Cash Flow(q-3)
The quarterly total operating cash flow (in thousands of dollars), 3-quarters ago.
Cash Flow(q-4)
The quarterly total operating cash flow (in thousands of dollars), 4-quarters ago.
Cash Flow %(q)
The quarterly growth (%) in total operating cash flow, for the last quarter.
Cash Flow %(q-1)
The quarterly growth (%) in total operating cash flow, 1-quarter ago.
Cash Flow %(q-2)
The quarterly growth (%) in total operating cash flow, 2-quarters ago.
Cash Flow %(q-3)
The quarterly growth (%) in total operating cash flow, 3-quarters ago.
Cash Flow %(q-4)
The quarterly growth (%) in total operating cash flow, 4-quarters ago.
Options Overview (Equities & ETFs) → Implied Volatility
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Implied Volatility
The average implied volatility (IV) of the nearest monthly options contract that is 30-days out or more.
5-Day Implied Volatility
The ATM 5-day average implied volatility of the nearest monthly contract.
1-Month Implied Volatility
The ATM 1-month average implied volatility of the nearest monthly contract.
3-Month Implied Volatility
The ATM 3-month average implied volatility of the nearest monthly contract.
6-Month Implied Volatility
The ATM 6-month average implied volatility of the nearest monthly contract.
1-Year Implied Volatility
The ATM 1-year average implied volatility of the nearest monthly contract.
Implied vs Historic Volatility Ratio
Ratio between forward-looking Implied Volatility and 30-day realized Historical Volatility. A value of 1.0 means they are equal.
Options Overview (Equities & ETFs) → IV Rank
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Implied Volatility Rank
The ATM average implied volatility relative to the highest and lowest values over the past 1-year. If IV Rank is 100% this means the IV is at its highest level over the past 1-year.
5-Day Implied Volatility Rank
The ATM average implied volatility relative to the highest and lowest values over the past 5-days. If IV Rank is 100% this means the IV is at its highest level over the past 5-days.
1-Month Implied Volatility Rank
The ATM average implied volatility relative to the highest and lowest values over the past 1-month. If IV Rank is 100% this means the IV is at its highest level over the past 1-month.
3-Month Implied Volatility Rank
The ATM average implied volatility relative to the highest and lowest values over the past 3-months. If IV Rank is 100% this means the IV is at its highest level over the past 3-months.
6-Month Implied Volatility Rank
The ATM average implied volatility relative to the highest and lowest values over the past 6-months. If IV Rank is 100% this means the IV is at its highest level over the past 6-months.
Options Overview (Equities & ETFs) → IV Change
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1D IV Chg
The percent change in implied volatility from the previous session.
5D IV Chg
The 5-day change in Implied Volatility for the underlying asset.
1M IV Chg
The 1-month change in Implied Volatility for the underlying asset.
3M IV Chg
The 3-month change in Implied Volatility for the underlying asset.
6M IV Chg
The 6-month change in Implied Volatility for the underlying asset.
1Y IV Chg
The 1-year change in Implied Volatility for the underlying asset.
Options Overview (Equities & ETFs) → IV Percentile
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Implied Volatility Percentile
IV Percentile: The percentage of days with implied volatility closing below the current ATM IV over the prior 1-year.
5D IV Pctl
IV Percentile: The percentage of days with implied volatility closing below the current ATM IV over the prior 5-Days.
1M IV Pctl
IV Percentile: The percentage of days with implied volatility closing below the current ATM IV over the prior 1-Month.
3M IV Pctl
IV Percentile: The percentage of days with implied volatility closing below the current ATM IV over the prior 3-Months.
6M IV Pctl
IV Percentile: The percentage of days with implied volatility closing below the current ATM IV over the prior 6-Months.
Options Overview (Equities & ETFs) → Implied Volatility Highs
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5D IV High
The 5-day High Implied Volatility value for the underlying asset.
1M IV High
The 1-month High Implied Volatility value for the underlying asset.
3M IV High
The 3-month High Implied Volatility value for the underlying asset.
6M IV High
The 6-month High Implied Volatility value for the underlying asset.
IV 1Yr High
The underlying asset's 1-year implied volatility high.
5D IV High Date
The 5-day ATM implied volatility high date.
1M IV High Date
The 1-month ATM implied volatility high date.
3M IV High Date
The 3-month ATM implied volatility high date.
6M IV High Date
The 6-month ATM implied volatility high date.
1Y IV High Date
The 1-year ATM implied volatility high date.
Options Overview (Equities & ETFs) → Implied Volatility Lows
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5D IV Low
The 5-day Low Implied Volatility value for the underlying asset.
1M IV Low
The 1-month Low Implied Volatility value for the underlying asset.
3M IV Low
The 3-month Low Implied Volatility value for the underlying asset.
6M IV Low
The 6-month Low Implied Volatility value for the underlying asset.
IV 1Yr Low
The underlying asset's 1-year implied volatility low.
5D IV Low Date
The 5-day ATM implied volatility high date.
1M IV Low Date
The 1-month ATM implied volatility high date.
3M IV Low Date
The 3-month ATM implied volatility high date.
6M IV Low Date
The 6-month ATM implied volatility high date.
1Y IV Low Date
The 1-year ATM implied volatility low date.
Options Overview (Equities & ETFs) → Total Options Volume
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Options Vol
The total volume for all option contracts (across all expiration dates) traded during the current session.
5D Total Vol
The average total 5-day volume for all option contracts (across all expiration dates) for the underlying asset.
1M Total Vol
The average total 1-month volume for all option contracts (across all expiration dates) for the underlying asset.
3M Total Vol
The average total 3-month volume for all option contracts (across all expiration dates) for the underlying asset.
6M Total Vol
The average total 6-month volume for all option contracts (across all expiration dates) for the underlying asset.
1Y Total Vol
The average total 1-year volume for all option contracts (across all expiration dates) for the underlying asset.
Options Overview (Equities & ETFs) → Total Options Volume %Change
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5D Vol %Chg
The percent change between today's total options volume and the 5-day average total volume.
1M Vol %Chg
The percent change between today's total options volume and the 1-month average total volume.
3M Vol %Chg
The percent change between today's total options volume and the 3-month average total volume.
6M Vol %Chg
The percent change between today's total options volume and the 6-month average total volume.
1Y Vol %Chg
The percent change between today's total options volume and the 1-year average total volume.
Options Overview (Equities & ETFs) → Put Total Volume
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Put Volume
The total Put volume for all option contracts (across all expiration dates) traded during the current session.
5D Put Vol
The average total 5-day put volume for the underlying asset.
1M Put Vol
The average total 1-month put volume for the underlying asset.
3M Put Vol
The average total 3-month put volume for the underlying asset.
6M Put Vol
The average total 6-month put volume for the underlying asset.
1Y Put Vol
The average total 1-year put volume for the underlying asset.
Options Overview (Equities & ETFs) → Call Total Volume
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Call Volume
The total Call volume for all option contracts (across all expiration dates) traded during the current session.
5D Call Vol
The average total 5-day call volume for the underlying asset.
1M Call Vol
The average total 1-month call volume for the underlying asset.
3M Call Vol
The average total 3-month call volume for the underlying asset.
6M Call Vol
The average total 6-month call volume for the underlying asset.
1Y Call Vol
The average total 1-year call volume for the underlying asset.
Options Overview (Equities & ETFs) → Put/Call Total Volume Ratio
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Put/Call Volume Ratio
The total Put/Call volume ratio for all option contracts (across all expiration dates) traded during the current session.
5D Put/Call Vol
The total 5-day Put/Call volume ratio for the underlying asset.
1M Put/Call Vol
The total 1-month Put/Call volume ratio for the underlying asset.
3M Put/Call Vol
The total 3-month Put/Call volume ratio for the underlying asset.
6M Put/Call Vol
The total 6-month Put/Call volume ratio for the underlying asset.
1Y Put/Call Vol
The total 1-year Put/Call volume ratio for the underlying asset.
Options Overview (Equities & ETFs) → Total Options Open Interest
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Total OI
The total open interest for the current trading session.
5D Total OI
The average total 5-day open interest for the underlying asset.
1M Total OI
The average total 1-month open interest for the underlying asset.
3M Total OI
The average total 3-month open interest for the underlying asset.
6M Total OI
The average total 6-month open interest for the underlying asset.
1Y Total OI
The average total 1-year open interest for the underlying asset.
Options Overview (Equities & ETFs) → Total Options Open Interest %Change
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5D OI %Chg
The percent change between today's total open interest and the 5-day average total open interest.
1M OI %Chg
The percent change between today's total open interest and the 1-month average total open interest.
3M OI %Chg
The percent change between today's total open interest and the 3-month average total open interest.
6M OI %Chg
The percent change between today's total open interest and the 6-month average total open interest.
1Y OI %Chg
The percent change between today's total open interest and the 1-year average total open interest.
Options Overview (Equities & ETFs) → Total Put Open Interest
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Put Open Int
The total Put open interest for all option contracts (across all expiration dates).
5D Put OI
The average total 5-day put open interest for the underlying asset.
1M Put OI
The average total 1-month put open interest for the underlying asset.
3M Put OI
The average total 3-month put open interest for the underlying asset.
6M Put OI
The average total 6-month put open interest for the underlying asset.
1Y Put OI
The average total 1-year put open interest for the underlying asset.
Options Overview (Equities & ETFs) → Total Call Open Interest
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Call Open Int
The total Call open interest for all option contracts (across all expiration dates).
5D Call OI
The average total 5-day call open interest for the underlying asset.
1M Call OI
The average total 1-month call open interest for the underlying asset.
3M Call OI
The average total 3-month call open interest for the underlying asset.
6M Call OI
The average total 6-month call open interest for the underlying asset.
1Y Call OI
The average total 1-year call open interest for the underlying asset.
Options Overview (Equities & ETFs) → Total Put/Call Open Interest Ratio
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Put/Call Open Interest Ratio
The total Put/Call open interest ratio for all option contracts (across all expiration dates).
5D Put/Call OI
The put/call open interest ratio based on 5-day average open interest for the underlying asset.
1M Put/Call OI
The put/call open interest ratio based on 1-month average open interest for the underlying asset.
3M Put/Call OI
The put/call open interest ratio based on 3-month average open interest for the underlying asset.
6M Put/Call OI
The put/call open interest ratio based on 6-month average open interest for the underlying asset.
1Y Put/Call OI
The put/call open interest ratio based on 1-year average open interest for the underlying asset.
Options Overview (Equities & ETFs) → Total Volume/Open Interest Ratio
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Total Volume/OI Ratio
The total option volume/open interest ratio for the underlying asset.
Options Strikes → Option Info
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Last
The last trade price for the option.
Open
Open price for the option for the current trading day.
High
High price for the option for the current trading day.
Low
Low price for the option for the current trading day.
Strike Price
The price at which the holder of an option can buy (in the case of a call option) or sell (in the case of a put option) the underlying security when the option is exercised.
Bid
The bid price.
Ask
The ask price.
Midpoint
The midpoint between the bid and ask price for the options contract.
Bid-Ask
The difference between the bid and ask price for the options contract.
Bid-Ask%
The percent difference between the bid and ask for the options contract. ((Ask - Bid) / Ask) * 100.0
High-Low%
((Options High - Options Low) / Options Low) - expressed as a percentage
Change
The difference between the current price and the previous day's settlement price for the options contract.
%Chg
The difference between the current price and the previous day's settlement price expressed as a percentage for the options contract.
Volume
The total number of options contracts traded for the day.
Volume Change
The option's change in Volume from the previous session.
Volume Percent Change
The option's percent change in Volume from the previous session.
Open Interest
The total number of open contracts for the previous day that have been traded but not yet liquidated via offsetting trades.
Open Interest Change
The change in the number of option contracts traded but not yet liquidated.
Open Interest %Chg
The percent change in the number of option contracts traded but not yet liquidated.
Volume/Open Interest Ratio
For the strike price: today's volume / open interest. A higher ratio indicates unusual activity for the option.
Premium
The price of the options contract. (Option Last Price * Option Volume)
Option Type
Put or Call. A Call option gives you the right to buy a stock and a Put option gives you the right to sell a stock.
Expiration Date
The option expiration date.
Expiration Type
The type of option expiration: monthly or weekly.
Days Till Expiration
The number of days until the option expires.
Trade Time
Time of last trade for the options contract.
Expires Before Earnings
Yes/No to indicate whether the option expires before the next earnings date.
Options are Restricted
A non-standard or 'restricted option' is typically created after spin-offs or mergers, and is not tradable.
Options Strikes → Covered Call Data Fields
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ETF Screener
Options Screener
Net Debit
Net Debit (Break Even) = stock price - bid
Options Potential Return
The potential return% for the covered call strategy. ((Options Strike + Bid + Dividend - Stock Price) / (Stock Price - Bid))
Options Potential Return Annual
The potential annual return% for the covered call strategy. (((Options Strike + Bid + Dividend - Stock Price) / (Stock Price - Bid))) * (365 /DTE)
Options Flat
If Stock Last Price > Strike Price then ((Options Strike + Bid + Dividends - Stock Price) / (Stock Price - Bid)) - else when Stock Last Price <= Strike Price then (Bid / (Stock Price + Dividends - Bid)) * 100.0
Options Flat Annual
The potential annual return% (if flat) for the covered call strategy. ((Bid + Dividend) / (Stock Price - Bid))) * (365 /DTE)
Static Return%
Static Return or Downside Protection, assuming the options are not assigned or called away. (Bid + Dividend) / Stock Price
Ann Static Return%
Static Return or Downside Protection annualized return, assuming the options are not assigned or called away. Calculated as Static Return * (365 / DTE)
Options Strikes → Options Analysis
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Options Screener
Moneyness
Relative position of the underlying price to the strike price. (Underlying Price) - (Strike Price of Option)
Theoretical Edge
The theoretical edge reflects the change in the option price if the current strike IV normalized to the 30 day HV in terms of dollar vega change. $Vega = 30-Day Historical Volatility minus strike Implied Volatility multiplied by Vega.
Distance from Strike
The difference ($) between the underlying asset's last price and the strike price (Stock Price - Options Strike)
Options Strikes → Strike Volatility
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Options Screener
Implied Volatility
Implied Volatility is the estimated volatility of the option strike over the period of the option.
Volatility %Change
The option's strike percent change in implied volatility from the previous session.
Options Strikes → Break Even
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BE (Bid)
Strike + Bid for calls and Strike - Bid for puts
BE (Mid)
Strike + Midpoint for calls and Strike - Midpoint for puts
BE (Ask)
Strike + Ask for calls and Strike - Ask for puts
BE (Last)
Strike + Last for calls and Strike - Last for puts
%BE (Bid)
The percentage by which the stock price has to move to reach Breakeven (Uncovered). ((Strike + Bid - Stock Price) / Stock Price) * 100.0 for calls and ((Strike - Bid - Stock Price) / Stock Price) * 100.0 for puts
%BE (Mid)
The percentage by which the stock price has to move to reach Breakeven (Uncovered). ((Strike + Midpoint - Stock Price) / Stock Price) * 100.0 for calls and ((Strike - Midpoint - Stock Price) / Stock Price) * 100.0 for puts
%BE (Ask)
The percentage by which the stock price has to move to reach Breakeven (Uncovered). ((Strike + Ask - Stock Price) / Stock Price) * 100.0 for calls and ((Strike - Ask - Stock Price) / Stock Price) * 100.0 for puts
%BE (Last)
The percentage by which the stock price has to move to reach Breakeven (Uncovered). ((Strike + Last - Stock Price) / Stock Price) * 100.0 for calls and ((Strike - Last - Stock Price) / Stock Price) * 100.0 for puts
Options Strikes → Greeks
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Options Screener
Theoretical
The hypothetical or theoretical value of the option, calculated by the binomial options model.
Delta
Measures the sensitivity of an option's theoretical value to a change in the price of the underlying asset.
Gamma
Measures the rate of change in the delta for each one-point increase in the underlying asset.
Theta
A measure of the time decay of an option, the dollar amount that an option will lose each day due to the passage of time.
Vega
Measures the sensitivity of the price of an option to changes in volatility.
Rho
The rate at which the price of a derivative changes relative to a change in the risk-free rate of interest.
Options Strikes → Greek Ratios
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Net Delta / Net Theta
Delta to theta ratio (Delta / Theta)
Net Theta / Net Gamma
Theta to gamma ratio (Theta / Gamma)
Net Theta / Net Vega
Theta to vega ratio (Theta / Vega)
Options Strikes → Probability
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Options Screener
ITM Probability
For a call option, the probability that the underlying price is above the option's strike price at expiration. For a put option, the probability that the underlying price is below the option's strike price at expiration.
OTM Probability
For a call option, the probability that the underlying price is below the option's strike price at expiration. For a put option, the probability that the underlying price is above the option's strike price at expiration.
Options Strikes → Percent of Stock
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Options Screener
Bid% of Stock
Options Bid / Stock Price (expressed as a percentage)
Ask% of Stock
Options Ask / Stock Price (expressed as a percentage)
MidPoint% of Stock
Options MidPoint / Stock Price (expressed as a percentage)
Last% of Stock
Options Last / Stock Price (expressed as a percentage)
Options Strikes → Time Premium
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Time Premium Bid
The extrinsic value (Bid - Intrinsic Value) of the option if ITM, else if OTM then Bid price.
%Time Premium Bid
The amount by which an option's price exceeds its intrinsic value if ITM ((Bid - Intrinsic Value) / Stock Price), else if OTM then (Bid / Stock Price)
%Time Premium Bid Annual Return
%Time Premium Annual Return = %TP * 365 / DTE
Time Premium Ask
The extrinsic value (Ask - Intrinsic Value) of the option if ITM, else if OTM then Ask price.
%Time Premium Ask
The amount by which an option's price exceeds its intrinsic value if ITM ((Ask - Intrinsic Value) / Stock Price), else if OTM then (Ask / Stock Price)
%Time Premium Ask Annual Return
%Time Premium Ask Annual Return = %TP Ask * 365 / DTE
Time Premium Mid
The extrinsic value (Mid - Intrinsic Value) of the option if ITM, else if OTM then Mid price.
%Time Premium Midpoint
The amount by which an option's price exceeds its intrinsic value if ITM ((Mid - Intrinsic Value) / Stock Price), else if OTM then (Mid / Stock Price)
%Time Premium Midpoint Annual Return
%Time Premium Midpoint Annual Return = %TP Midpoint * 365 / DTE
Time Premium Last
The extrinsic value (Last - Intrinsic Value) of the option if ITM, else if OTM then Last price.
%Time Premium Last
The amount by which an option's price exceeds its intrinsic value if ITM ((Bid - Intrinsic Value) / Stock Price), else if OTM then (Bid / Stock Price)
%Time Premium Last Annual Return
%Time Premium Last Annual Return = %TP Last * 365 / DTE
Options Strikes → Yield to Strike
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Yield to Strike%
Yield to Strike % = (Bid Price) / Strike Price
Ann Yield to Strike%
The potential annual return% for the strategy. Yield to Strike Annual Return = (Bid Price) / Strike Price × (365 days per year/DTE)
Options Strikes → Potential Return
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Options Screener
Static Return%
Static Return or Downside Protection, assuming the options are not assigned or called away. (Bid + Dividend) / Stock Price
Ann Static Return%
Static Return or Downside Protection annualized return, assuming the options are not assigned or called away. Calculated as Static Return * (365 / DTE)
Options Strikes → Strike to Standard Deviation
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Strike within 1 Standard Deviation
Symbols whose strike price is between 1 Standard Deviation Support and 1 Standard Deviation Resistance.
Strike within 2 Standard Deviations
Symbols whose strike price is between 2 Standard Deviations Support and 2 Standard Deviations Resistance.
Strike within 3 Standard Deviation
Symbols whose strike price is between 3 Standard Deviations Support and 3 Standard Deviations Resistance.
Options Strikes → Options Flow
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Option Premium
The price of the options trade (premium = option spot x volume x 100 underlying shares).
Option Trade Size
The option trade volume.
ETFs Data Fields
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Options Screener
ETF Full Name
The full name identified by the Fund Family.
Fund Family
A company offering many ETFs or mutual funds, for various objectives.
Asset Class
The type of assets contained in the ETF.
Leverage
The factor by which an ETF moves in correlation to the underlying Index.
Assets Under Management
Assets Under Management (AUM) is the total market value of all financial assets managed by the ETF or Fund.
Net Asset Value
Net Asset Value (NAV) is the per share price of the fund (total net assets / number of shares outstanding, minus fees & expenses.)
Management Fee
An expense ratio that measures what it costs the investment company to manage the ETF.
Alpha
A measurement of how an ETF is performing in relation to its benchmark index.
Futures Data Fields
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Contract Name
A shortened version of the symbol name.
Expiration Date
The expiration date for a futures contract.
Days Till Expiration
The number of days until the futures contract expires.
First Notice Date
The first notice date for a futures contract, after which time the owner of the contract can take physical delivery of the underlying asset.
Days Till First Notice
The number of days until the futures contract first notice, after which time the owner of the contract can take physical delivery of the underlying asset
Point Value
A measure of one basis point change in the futures price
Margin
The approximate amount of money that you must deposit and keep on hand with your broker when you open a futures position.
Open Interest
The total number of open contracts for the previous day that have been traded but not yet liquidated via offsetting trades.
Portfolio Data Fields
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Quantity
The quantity open on the transaction.
Action
Initial transaction position, either Buy or Sell.
Entry Date
The transaction entry date.
Entry Price
The price at which the initial transaction was entered at.
Exit Date
The date on which the transaction was closed.
Exit Price
The price at which the transaction was closed.
Commission
The total fees associated with the transaction.
Stock Value
The current market value (Last Price if no Exit Price, or Entry Price for a Sell transaction) * Quantity.
Daily Return
The daily profit or loss. This field is blank if trade is liquidated before today.
Return
The total profit or loss.
Total Price Change
The total dollar change (the difference between the Exit Price (or Last Price, if no Exit Price) and the Entry Price).
Total Percent Change
The total percent change.
Investor Portfolio Data Fields
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Quantity
The quantity open for the asset.
Market Value
The current market value for the investment (last price x open quantity)
Cost Basis
Cost Basis is the price paid to purchase the open positions, including reinvested dividends or capital gains distributions, and fees.
Average Cost
The average cost to purchase the asset, including reinvestment of dividends or capital gains distributions, and fees.
% of Portfolio
The percent an asset represents of the overall Portfolio market value.
Realized Gain
The total profit or loss that has resulted from selling the asset.
Unrealized Gain
The theoretical profit (or loss).
% Unrealized Gain
The theoretical profit (or loss) percent.
Today's Gain
For the current trading day, the theoretical profit (or loss).
Gain Since Inception
The total gain/loss for the investment since inception of the portfolio.
% Since Inception
The total percent gain/loss for the investment since inception of the portfolio.
Gain/Loss
The total gain/loss for the investment for the current year
% Gain/Loss
The total gain/loss percent for the investment for the current year
Prior Gain/Loss
The total gain/loss for the investment for the previous year
Prior % Gain/Loss
The total gain/loss percent for the investment for the previous year
Gain/Loss 2 yrs ago
The total gain/loss for the investment 2 years ago
% Gain/Loss 2 yrs ago
The total gain/loss percent for the investment 2 years ago