Seluruh pengumuman perolehan dalam satu kalender

Kalender perolehan adalah alat berguna yang membantu anda untuk selalu menjadi yang terdepan. Ini memungkinkan ana untuk melacak perusahaan-perusahaan yang akan mengumumkan perolehannya. Anda dapat melihat tanggal, perkiraan EPS dan laporan EPSnya bagi setiap perusahaan yang tersedia. Perolehan per saham / earnings per share adalah sebuah indikator dari profitabilitas perusahaan dan ini sangat vital untuk dimasukkan kedalam analisa fundamental anda.

           
A AGILENT TECHNOLOGIES INC 21.200B0.580.630.047.231.197B1.206B1534277100.001530403200.00
AAME ATLANTIC AMERICAN CORP 51.674M
AAP ADVANCE AUTO PARTS INC ADVANCE AUTO PARTS INC W/I 10.834B1.751.84-0.05-2.762.269B2.874B1534242600.001527811200.00
AIPT PRECISION THERAPEUTICS INC 14.519M
AIRT AIR T INC 66.417M
AITB AIT THERAPEUTICS, INC. 27.322M-0.290.140.40154.55001534244400.001527811200.00
AMRH AMERI HOLDINGS INC 40.921M-0.0812.881M11.063M1527811200.00
APTX APTINYX INC 690.757M-0.521.833M1527811200.00
ARDM ARADIGM CORP 21.068M-0.22-0.320.1023.8110.000K1.473M1534249900.001527811200.00
ARFXF PROMIS NEUROSCIENCES INC 55.220M1.000K0
ARRY ARRAY BIOPHARMA INC 3.117B-0.24-0.110.1252.1738.725M66.367M1534248100.001527811200.00
ATNX ATHENEX INC 1.169B-0.48-0.12-0.05-63.6414.415M37.836M1534249900.001527811200.00
ATXI AVENUE THERAPEUTICS INC 43.056M0
BASI BIOANALYTICAL SYSTEMS INC 13.193M
BIOC BIOCEPT INC 9.141M-3.30-3.30-0.75-29.411.089M807.000K1534276900.001527811200.00
BKYI BIO-KEY INTERNATIONAL INC 21.069M-0.06-0.30-0.10-50.002.000M841.000K1534249900.001527811200.00
BLGO BIOLARGO, INC. 36.646M
BLNK BLINK CHARGING CO 79.681M
BNKL BIONIK LABORATORIES CORP. 13.261M
BSTG BIOSTAGE, INC. 21.521M
BZUN BAOZUN INC - AMERICAN DEPOSITARY SHARES 4.916B0.590.25-0.12-32.431.071B921.199M1534234200.001527811200.00
CAE CAE INC ORDINARY SHARES 5.448B0.300.370.0516.84732.082M780.700M1534249300.001527811200.00
CAPC CAPSTONE COMPANIES, INC. 9.409M
CASA CASA SYSTEMS INC 1.288B0.190.19-0.01-5.0090.015M89.074M1534276900.001527811200.00
CASI CASI PHARMACEUTICALS INC 679.686M-0.07-0.050.0228.57001534249900.001527811200.00
CATS CATASYS INC 125.396M-0.30-0.27-0.01-3.852.485M1.911M1534276900.001527811200.00
CDK CDK GLOBAL INC 8.423B0.680.710.034.41578.989M576.600M1534246100.001527811200.00
CDTI CDTI ADVANCED MATERIALS INC 6.363M-0.09-0.020.0675.002.800M4.912M1534277100.001527811200.00
CHRA CHARAH SOLUTIONS INC 200.238M0.15208.751M1527811200.00
CIG COMP EN DE MN CEMIG ADS AMERICAN DEPOSITARY SHARES 2.849B1.457B1.521B1542218400.00
CIG.C COMP EN DE MN CEMIG ADS AMERICAN DEPOSITARY RECEIPTS 2.849B1542218400.00
CJJD CHINA JO-JO DRUGSTORES INC 36.744M
CPIX CUMBERLAND PHARMACEUTICALS INC 92.695M-0.14-0.15-0.07-87.509.939M8.588M1534277100.001527811200.00
CREE CREE INC 5.074B-0.24-2.40-2.10-696.21399.695M355.958M1534276900.001527811200.00
CREX CREATIVE REALITIES, INC. 20.104M
CSIQ CANADIAN SOLAR INC 835.333M0.290.720.2657.42684.628M1.425B1534240800.001527811200.00
CVIA COVIA HOLDINGS CORP 2.222B0.64602.022M1527811200.00
DCAR DROPCAR INC 7.578M
DLPN DOLPHIN ENTERTAINM 40.066M0.010.070.06600.005.763M5.785M1534244400.001527811200.00
DLYT DAIS ANALYTIC CORP. 5.574M
EAT BRINKER INTERNATIONAL INC 1.937B1.191.02-0.01-0.60817.768M812.534M1534243500.001527811200.00
EBR CENTRAIS ELECTRICAS BRASILEIRAS S A AMERICAN DEPOSITARY SHARES (EACH REPRESENTING ONE COMMON SHARE) 5.517B1542045600.00
EBR.B CENTRAIS ELECTRICAS BRASILEIRAS S.A.- ELETROBR?!S AMERICAN DEPOSITARY SHARES (EACH REPRESENTING ONE PREFERRED SHARE) 5.517B1542045600.00
EC ECOPETROL S.A. AMERICAN DEPOSITARY SHARES 42.906B0.575.932B5.129B1527811200.00
ECPCY ESTACIO PARTICIPACOES S.A. 1.939B1540490400.00
ELP COMPANHIA PARANAENSE DE ENERGIA (COPEL) 1.305B976.822M1.032B1541700000.00
ENSV ENSERVCO CORP 45.695M-0.040.040.000.008.980M21.121M1534276900.001527811200.00
EPIX ESSA PHARMA INC 18.564M00
ESES ECO-STIM ENERGY SOLUTIONS INC 42.304M-0.02-0.22-0.15-200.0030.503M18.211M1535760000.00
ESOA ENERGY SERVICES OF AMERICA CORP. 14.667M
EVK EVER-GLORY INTERNATIONAL GROUP INC 47.643M
EYEN EYENOVIA INC -0.41-0.45-0.07-20.00001534249900.001527811200.00
FENG PHOENIX NEW MEDIA LTD AMERICAN DEPOSITARY SHARES, EACH REPRESENTING 8 CLASS A ORDINARY SHARES 320.471M0.38-0.79-0.48-154.84376.137M284.412M1534276900.001527811200.00
FIFG FIRST FOODS GROUP, INC. 4.405M
FTEO FRONTEO INC - AMERICAN DEPOSITARY SHARES 344.285M27.600M29.930M1542193200.00
GDS GDS HOLDINGS LTD - ADS 5.118B-0.73-0.72-0.09-13.39591.420M562.225M1534249900.001527811200.00
GLXZ GALAXY GAMING, INC. 50.552M
GRWG GROWGENERATION CORP. 84.275M
HD HOME DEPOT INC (THE) 226.441B2.842.080.052.2230.028B24.947B1534240800.001530403200.00
HOLI HOLLYSYS AUTOMATION TECHNOLOGIES LTD 1.415B141.586M120.617M
HTBX HEAT BIOLOGICS INC 42.866M-0.18-0.75963.333K1534244400.001527811200.00
IMEXF IMAGIN MEDICAL INC. 12.679M
INLX INTELLINETICS, INC. 2.447M-0.03-0.04-0.01-33.33570.000K525.374K1534276900.001527811200.00
INTZ INTRUSION, INC. 18.874M
INWK INNERWORKINGS INC 352.679M0.06-0.03-0.12-134.09285.175M274.539M1534277800.001527811200.00
ITRM ITERUM THERAPEUTICS PLC 115.457M-0.92100.000K191.000K1527811200.00
JBSAY JBS S.A. 5.869B1542132000.00
JRSH JERASH HOLDINGS (US) INC 85.242M
KIQ KELSO TECHNOLOGIES INC ORDINARY SHARES 21.534M
KPLUF K PLUS S AG 4.586B0.110.40-0.08-16.52839.000M1.170B1534222800.001527811200.00
KPLUY K PLUS S AG 4.586B1542261600.00
KROTY KROTON EDUCACIONAL SA 4.244B1541759400.00
LEAI LEGACY EDUCATION ALLIANCE, INC. 8.283M
LEVB LEVEL BRANDS INC 24.503M
LIQT LIQTECH INTERNATIONAL INC 54.596M0.00-0.030.000.005.200M2.391M1534249900.001527811200.00
LIVX LIVEXLIVE MEDIA IN 235.508M-0.127.700M7.115M1527811200.00
MEEC MIDWEST ENERGY EMISSIONS CORP. 12.962M
MFON MOBIVITY HOLDINGS CORP. 41.010M
MGY MAGNOLIA OIL & GAS CORP CLASS A 832.000M218.300M
MICR MICRON SOLUTIONS INC 9.388M
MMYT MAKEMYTRIP LTD - ORDINARY SHARES 3.416B-0.34-0.42-0.01-1.20164.008M145.307M1534249900.001527811200.00
MNGA MAGNEGAS CORP - 5.415M1.933M1.172M
MNTR MENTOR CAPITAL, INC. 17.077M
MRIC MRI INTERVENTIONS INC 19.644M
MTENY MAHANAGAR TELEPHONE NIGAM LIMITED 144.044M1542236300.00
NAT NORDIC AMERICAN TANKERS LTD 335.048M-0.15-0.130.0425.7127.228M29.616M1534249900.001527811200.00
NEPT NEPTUNE TECHNOLOGIES & BIORESOURCES INC - ORDINARY SHARES 218.911M
NFEC NF ENERGY SAVING CORP 47.893M
NHLD NATIONAL HOLDINGS CORP 42.093M
OBCI OCEAN BIO-CHEM INC 35.031M
OHAI OHA INVESTMENT CORP - CLOSED END FUND 28.847M
OMCM OMNICOMM SYSTEMS, INC. 48.067M
ONTX ONCONOVA THERAPEUTICS INC 34.633M-0.08-0.340.0513.56216.667K564.000K1534276900.001527811200.00
PETQ PETIQ INC 665.350M0.35-0.14-0.20-333.33148.437M115.066M1534276900.001527811200.00
PRSP PERSPECTA INC 0.201.026B1527811200.00
RMTI ROCKWELL MEDICAL INC 244.347M-0.13-0.130.017.1414.900M14.949M1534279300.001527811200.00
RWLK REWALK ROBOTICS LTD - ORDINARY SHARES 29.102M-0.16-0.210.014.551.951M1.579M1534244500.001527811200.00
RXII RXI PHARMACEUTICALS CORP 6.958M20.000K
RXMD PROGRESSIVE CARE, INC. 34.433M1542603600.00
SBSAA SPANISH BROADCASTING SYSTEM, INC. 1.770M1542236300.00
SCON SUPERCONDUCTOR TECHNOLOGIES INC 3.196M325.000K246.000K
SCPH SCPHARMACEUTICALS INC 85.109M-0.57-0.470.036.00001534244400.001527811200.00
SGLB SIGMA LABS INC 5.470M1542245400.00
SIAF SINO AGRO FOOD, INC. 10.370M
SKAS SAKER AVIATION SERVICES INC. 2.878M
SMDM SINGING MACHINE COMPANY, INC. (THE) 13.782M
SMED SHARPS COMPLIANCE CORP 54.679M0.02-0.05-0.05-1350.0011.253M9.427M1534244100.001527811200.00
SNFCA SECURITY NATIONAL FINANCIAL CORP 84.043M
SNWV SANUWAVE HEALTH, INC. 49.501M
SORL SORL AUTO PARTS INC 100.965M0.290.430.24126.32106.435M107.727M1534276900.001527811200.00
SRAX SOCIAL REALITY INC 50.242M
SRNA SURNA INC. 32.089M
STDY STEADYMED LTD - ORDINARY SHARES 125.556M-0.21-0.39-0.18-85.71135.000K01534249900.001527811200.00
STIM NEURONETICS INC 544.389M-0.9512.319M1527811200.00
STWRY SOFTWARE AG 3.544B1539946800.00
SURF SURFACE ONCOLOGY INC 286.736M45.495M
SXE SOUTHCROSS ENERGY PARTNERS, L.P 47.532M-0.210.014.551534241200.00
TAOIF TAG OIL LTD. 23.012M0.140.131300.001534249900.00
TAPM TAPINATOR, INC. 6.455M
TBTC TABLE TRAC, INC. 11.309M
TPR TAPESTRY INC 13.795B0.480.730.1731.441.341B1.484B1541640600.001535760000.00
TSSI TSS, INC. 7.779M
URGN UROGEN PHARMA LTD - ORDINARY SHARES 725.420M-0.89-0.88-0.14-19.320481.000K1534249900.001527811200.00
VIAV VIAVI SOLUTIONS INC 2.401B-0.01-0.04-0.05-500.00255.113M219.400M1534276900.001527811200.00
WFCF WHERE FOOD COMES FROM, INC. 46.811M
WPM WHEATON PRECIOUS METALS CORP (CANADA) 9.217B0.140.150.000.00204.103M199.252M1534276900.001527811200.00
YGYI YOUNGEVITY INTERNATIONAL INC 91.313M
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