Monsters Inc Disney's Wonderful World of Reading

Summary

Profile

Financials

Events

Ownership

Options

Competitors

Symbol Final Alter
AWI 89.66 0.86 (0.97%)
LII 255.99 -5.31 (-2.03%)
NWL 21.96 -0.61 (-2.seventy%)
HUBB 179.xc -1.47 (-0.81%)
AGCO 129.72 1.80 (i.41%)

Company Info

Manufacture Building Products
Sector Producer Manufacturing
Employees 2,800
CEO Mr. Victor D. Grizzle

Armstrong Globe Industries, Inc. engages in the blueprint, manufacture, and trade of commercial and residential ceiling, wall, and interruption organization solutions. It operates through the following segments: Mineral Fiber, Architectural Specialties, and Unallocated Corporate. The Mineral Fiber segment produces suspended mineral fiber and soft fiber ceiling systems for use in commercial and residential settings. The Architectural Specialties segment manufactures and sources ceilings and walls for utilize in commercial settings. The Unallocated Corporate segment includes avails, liabilities, income, and expenses that accept not been allocated to other business segments. The company was founded past Thomas M. Armstrong in 1860 and is headquartered in Lancaster, PA.

Statement Summary

as of iv:00 ET PM 03/09/2022

Total Assets (MRQ) i.7 B
Total Liabilities (MRQ) i.2 B
Shareholders' Equity (MRQ) 519.7 Yard
Total Revenue (Annual) 282.five M
Cyberspace Income (Annual) 41.viii One thousand

Earnings And Estimates

as of four:00 ET PM 03/09/2022

Electric current Qtr EPS Guess 1.15
Current FY EPS Judge 5.11
Long Term EPS Growth Estimate 85.66
Side by side Expected Earnings Engagement five/two/2022

AWI vs S&P 500

as of 03/09/2022

Relative To
S&P 500
AWI
4 Weeks northward/a n/a
12 Weeks n/a n/a
YTD n/a due north/a

Earnings Surprises

equally of four:00 ET PM 03/09/2022

Fiscal Quarter Gauge Bodily Surprise
12/2021 1.05 1.09 +iii.78%
09/2021 1.28 1.17 -8.80%
06/2021 ane.05 1.16 +10.33%
03/2021 0.91 0.84 -vii.eighty%
12/2020 0.lxx 0.77 +9.78%
09/2020 0.94 1.07 +14.43%
06/2020 0.90 0.75 -16.85%
03/2020 1.xi 1.x -0.90%

Fiscal Strength

as of 4:00 ET PM 03/09/2022

Pre-Tax Margin 18.xvi
Cyberspace Margin 1.49
Operating Margin 14.73
Render On Equity 38.53
Return On Assets 10.91
Inventory Turnover (TTM) eight.17
Sales Growth (MRQ) -ii.fourteen

Ratios

every bit of iv:00 PM ET 03/09/2022

Price/Earnings (TTM) 23.26
Toll/Book (MRQ) viii.08
Price/Cash Flow (TTM) 22.72
Book Value (MRQ) 10.99
Quick Ratio (MRQ) i.eleven
Current Ratio (MRQ) 1.54
Total Debt/Disinterestedness (MRQ) 1.29

Short Interest

as of 3:07 PM ET 03/x/2022

% Curt - one.14%
% Remaining Float - 98.86%
Current Last Calendar month
Short Interest Engagement 02/28/2022 02/15/2022
Brusque Involvement Shares 529,781 425,569
Brusk Interest Ratio 0.9 ane.0
  • Balance Sheet
  • Income Statement
  • Cash Flow
M Y Grand Y
Total Avails 0,0.00 0,0.00
Total Liabilities 0,0.00 0,0.00
Total Equity 0,0.00 0,0.00
M Y Thou Y
Total Revenue 0,0.00 0,0.00
EBT Exc.
Unusual Items
0,0.00 0,0.00
Cyberspace Income 0,0.00 0,0.00
K Y M Y
Greenbacks from
Operations
0,0.00 0,0.00
Cash from
Activities
0,0.00 0,0.00
Cash from
Fin. Activities
0,0.00 0,0.00
  • Balance Sheet
  • Income Statement
  • Cash Flow

Full Assets

TOTAL LIABILITIES

Total Equity

Rest Sheet

M Y
ASSETS
Cash And Equivalents 0,0.00
Receivables 0,0.00
Inventories 0,0.00
Other Current Assets 0,0.00
Total Current Assets 0,0.00
Property, Plant & Equipment, Gross 0,0.00
Accumulated Depreciation & Depletion 0,0.00
Property, Plant & Equipment, Net 0,0.00
Intangibles 0,0.00
Other Non-Current Assets 0,0.00
Total Non-Electric current Assets 0,0.00
Full Assets 0,0.00
Liabilities & Shareholder Equity
Accounts Payable 0,0.00
Short Term Debt 0,0.00
Total Current Liabilities 0,0.00
Long Term Debt 0,0.00
Deferred Income Taxes 0,0.00
Other Non-Electric current Liabilities 0,0.00
Minority Interest 0,0.00
Total Non-Current Liabilities 0,0.00
Preferred Stock Equity 0,0.00
Mutual Stock Equity 0,0.00
Common Par 0,0.00
Additional Paid In Capital 0,0.00
Cumulative Translation Adjustment 0,0.00
Retained Earnings 0,0.00
Treasury Stock 0,0.00
Other Disinterestedness Adjustments 0,0.00
Full Capitalization 0,0.00
Total Disinterestedness 0,0.00
TOTAL LIABILITIES & STOCK EQUITY 0,0.00
Total Common Shares Outstanding 0,0.00
Preferred Shares 0,0.00
Treasury Shares 0,0.00
Bones Weighted Shares Outstanding 0,0.00
Diluted Weighted Shares Outstanding 0,0.00
Number Of Employees 0,0.00
Number Of Part-Fourth dimension Employees 0,0.00

Total REVENUES

EBT Excluding Unusual Items

NET INCOME

Income Argument

M Y
Sales 0,0.00
Toll Of Sales 0,0.00
Gross Operating Profit 0,0.00
Selling, General, And Administrative Expenses 0,0.00
Research & Development 0,0.00
Operating Income Earlier D & A (EBITDA) 0,0.00
Depreciation & Amortization 0,0.00
Involvement Income 0,0.00
Other Income - Net 0,0.00
Special Income / Charges 0,0.00
Full Income Before Interest Expenses (EBIT) 0,0.00
Interest Expense 0,0.00
Pre-Tax Income 0,0.00
Income Taxes 0,0.00
Minority Interest 0,0.00
Net Income From Continuing Operations 0,0.00
Net Income From Discontinued Operations 0,0.00
Net Income From Total Operations 0,0.00
Boggling Income/Losses 0,0.00
Income From Cum. Effect Of Acct. Alter 0,0.00
Income From Tax Loss Carryforward 0,0.00
Other Gains / Losses 0,0.00
Total Net Income 0,0.00
Normalized Income
(Net Income From Continuing Operations,
Ex. Special Income / Charge)
0,0.00
Preferred Dividends 0,0.00
Net Income Available To Common 0,0.00
Bones EPS From Continuing Ops. 0,0.00
Basic EPS From Discontinued Ops. 0,0.00
Basic EPS From Total Operations 0,0.00
Basic EPS From Extraordinary Inc. 0,0.00
Basic EPS From Cum Effect Of Bookkeeping Change 0,0.00
Basic EPS From Tax Loss Carryf'd. 0,0.00
Basic EPS From Other Gains (Losses) 0,0.00
Basic EPS, Total 0,0.00
Basic Normalized Net Income/Share 0,0.00
EPS From Continuing Ops. 0,0.00
EPS From Discontinued Ops 0,0.00
EPS From Total Ops. 0,0.00
EPS From Extraord. Inc. 0,0.00
EPS From Cum Effect of Accounting Change 0,0.00
EPS From Tax Loss Carfd. 0,0.00
EPS From Other Gains (50) 0,0.00
EPS, Full 0,0.00
Diluted Normalized Net Inc/Shr
(Cyberspace Income From Continuing Operations,
Ex. Special Income / Charge)
0,0.00
Dividends Paid Per Share 0,0.00

Cash FROM OPERATIONS

CASH FROM INVESTING ACTIVITIES

CASH FROM FINANCING ACTIVITIES

Cash Flow Statement

G Y
Cash Period From Operating Activities
Cyberspace Income (Loss) 0,0.00
Operating Gains/Losses 0,0.00
Gross Operating Profit 0,0.00
(Increase) Subtract In Receivables 0,0.00
(Increment) Decrease In Inventories 0,0.00
(Increment) Decrease In Other Electric current Assets 0,0.00
(Decrease) Increase In Other Current Liabilities 0,0.00
(Increase) Subtract In Other Working Capital 0,0.00
Other Not-Cash Items 0,0.00
Net Greenbacks From Continuing Operations 0,0.00
Internet Cash From Discontinued Operations 0,0.00
Cash Provided By Investing Activities
Net Cash From Total Operating Activities 0,0.00
Auction Of Holding, Plant & Equipment 0,0.00
Cash Used For Investing Activities
Auction Of Short-Term Investments 0,0.00
Purchases Of Property, Constitute & Equipment 0,0.00
Acquisitions 0,0.00
Purchases Of Short-Term Investments 0,0.00
Other Greenbacks From Investing Activities 0,0.00
Greenbacks Provided past Financing Activities
Net Cash From Investing Activities 0,0.00
Issuance Of Debt 0,0.00
Cash Used For Financing Activities
Issuance Of Capital Stock 0,0.00
Repayment Of Long-Term Debt 0,0.00
Repurchase Of Capital Stock 0,0.00
Payment Of Greenbacks Dividends 0,0.00
Other Financing Charges, Net 0,0.00
Net Cash From Financing Activities 0,0.00
Outcome Of Substitution Rate Changes 0,0.00
Net Change In Greenbacks & Cash Equivalents 0,0.00

Earnings Estimates

as of four:00 ET PM 03/09/2022

  • Quarterly
  • Annual
Current Qtr
(03/2022)
Next Qtr
(06/2022)
Consensus Estimate $one.15 $i.38
# of Estimates ix 9
High Estimate $1.21 $one.54
Low Estimate $1.07 $1.32
Year Ago EPS $0.78 $one.15
Year Over Year Growth Estimate 47.04% xix.90%
Current Yr
(12/2022)
Adjacent Yr
(12/2023)
Consensus Guess $v.11 $five.89
# of Estimates 10 10
High Estimate $v.20 $6.55
Low Approximate $five.03 $5.57
Year Ago EPS $4.36 $v.11
Year Over Year Growth Estimate 17.28% 15.27%
Current Qtr
(03/2022)
Adjacent Qtr
(06/2022)
Electric current Twelvemonth
(12/2022)
Next Year
(12/2023)
Consensus Guess $ane.15 $1.38 $5.11 $five.89
# of Estimates 9 9 10 10
Loftier Estimate $1.21 $one.54 $v.20 $6.55
Low Estimate $1.07 $1.32 $5.03 $5.57
Year Agone EPS $0.78 $1.xv $4.36 $five.11
Year Over Year Growth Estimate 47.04% xix.90% 17.28% fifteen.27%

Insider Data Summary

as of 02/28/2022

% Insiders - ane.34%
% Remaining Total Shares - 98.66%
Current one Calendar month
Net Insider Transaction -68.00 0.00
Shares Bought 31.35 K 31.35 Grand
Shares Sold 31.42 M 31.35 One thousand

Insider Action

Purchases

Sales

Options Exercised

Options Awarded

Transaction Date Insider/Title Transaction Blazon Market place Value Shares Average Cost Current Holdings

Recommended for You

bakerneloseling.blogspot.com

Source: https://www.thestreet.com/quote/awi

0 Response to "Monsters Inc Disney's Wonderful World of Reading"

Post a Comment

Iklan Atas Artikel

Iklan Tengah Artikel 1

Iklan Tengah Artikel 2

Iklan Bawah Artikel