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NASDAQ Composite
INDEX:CCMP
Market Close 07/01
10,154.63 +95.86 (+0.95%)
OPEN:
10,063.67
DAY RANGE:
10,048.04 - 10,197.19
NASDAQ Composite (INDEX:CCMP) opened on Jul 1, 2020 at 10,063.67 and went marginally up by 0.95%. The intraday price range was 10,048.04 - 10,197.19 and eventually ended the session at 10,154.63. It's 52-week range is 6,631.42 - 10,221.85.
Stock Performance (Market Close Jul 1, 2020)
  CCMP
Daily Change (%) 0.95
WTD (%) 4.07
MTD (%) 0.95
QTD (%) 0.95
YTD (%) 13.17
52-Week Change (%) 25.50
Key Fundamentals (Market Close Jul 1, 2020)
  CCMP
Market Cap
Revenue Growth - - - -
Net Income Growth - - - -
Profit Margin -
P/E Ratio -
Price to Sales Ratio -
Price to Book Ratio -
Enterprise Value to EBITDA -
ROA -
ROE -
Debt/Equity -
Asset Turnover Ratio -
Current Ratio -
Dividend Yield -
in NA
  - - - -
Revenue - - - -
Cost Of Revenue - - - -
Gross Profit - - - -
Selling General & Administrative Expenses - - - -
Research & Development - - - -
Operating Income - - - -
Net Income - - - -
EPS - - - -
Diluted EPS - - - -
  - - - -
Revenue - - - -
Cost Of Revenue - - - -
Gross Profit - - - -
Selling General & Administrative Expenses - - - -
Research & Development - - - -
Operating Income - - - -
Net Income - - - -
EPS - - - -
Diluted EPS - - - -
in NA
  - - - -
Total Current Assets - - - -
Cash & Cash Equivalents - - - -
Total Assets - - - -
Total Current Liabilities - - - -
Total Liabilities - - - -
Shareholder's Equity - - - -
Outstanding Stock - - - -
  - - - -
Total Current Assets - - - -
Cash & Cash Equivalents - - - -
Total Assets - - - -
Total Current Liabilities - - - -
Total Liabilities - - - -
Shareholder's Equity - - - -
Outstanding Stock - - - -
in NA
  - - - -
Net Cash Flow from Operations - - - -
Capital Expenditures - - - -
Net Cash Flow from Investing Activities - - - -
Net Cash Flow from Financial Activities - - - -
Free Cash Flow - - - -
  - - - -
Net Cash Flow from Operations - - - -
Capital Expenditures - - - -
Net Cash Flow from Investing Activities - - - -
Net Cash Flow from Financial Activities - - - -
Free Cash Flow - - - -
Key Ratios (Market Close Jul 1, 2020)
Valuation Ratios 2020 2019 2018 2017
P/E Ratio - - - -
Price to Sales Ratio - - - -
Price to Book Ratio - - - -
Enterprise Value to EBIT - - - -
Enterprise Value to EBITDA - - - -
Profitability Ratios 2020 2019 2018 2017
Revenue Growth - - - -
Net Income Growth - - - -
ROA - - - -
ROE - - - -
Liquidity Ratios 2020 2019 2018 2017
Working Capital - - - -
Current Ratio - - - -
Efficiency & Capital Structure Ratios 2020 2019 2018 2017
Debt Equity Ratio - - - -
Asset Turnover Ratio - - - -
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