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Enterprise Products Partners L.P. (EPD) works within the Independent Oil & Gas industry and has a market capitalization of 73.92Billion.
Here are some important valuation figures of Enterprise Products Partners L.P.:
P/E ---- 27.78
Forward P/E ---- 23.78
PEG ---- 4.71
P/S ---- 1.50
P/B ---- 4.67
Dividend Yield ---- 3.60%
Payout Ratio ---- 94.20%
EPS Growth next Year ---- 6.18%
EPS Growth next 5 Years ---- 5.90%
Debt/Equity Ratio ---- 1.19
Operating Margin ---- 7.00%
The company is currently rated with a 1,6 analyst recommendation; 1,0 is a strong buy and 5,0 a strong sell in the rating scheme.
Earnings of the company are estimated to grow by 6.18% for the next fiscal and 5.90% over the next five years yearly on average.
The EPD stock has a beta ratio of 0.66 and offers investors currently a dividend yield of 3.60% while 94.20% of the annual earnings are paid to shareholders (payout ratio).
Stock Price Chart of Enterprise Products Partners L.P. (EPD):
Enterprise Products Partners L.P. (EPD) Stock Price compared to the S&P 500 |
Chart Dividend Yields of Enterprise Products Partners L.P. (EPD):
10 Year Dividend Yield of Enterprise Products Partners L.P. (EPD) |
Chart Dividend Payments of Enterprise Products Partners L.P. (EPD):
10 Year Dividend Payments of Enterprise Products Partners L.P. (EPD) |
10 Year Yield on Cost of Enterprise Products Partners L.P. (EPD):
10 Year Yield on Cost Of Enterprise Products Partners L.P. (EPD) Stock |
Morgan Stanley (MS) works within the Investment Brokerage - National industry and has a market capitalization of 65.30Billion.
Here are some important valuation figures of Morgan Stanley:
P/E ---- 15.68
Forward P/E ---- 11.45
PEG ---- 0.60
P/S ---- 1.75
P/B ---- 1.00
Dividend Yield ---- 1.20%
Payout Ratio ---- 6.80%
EPS Growth next Year ---- 20.40%
EPS Growth next 5 Years ---- 25.93%
Debt/Equity Ratio ---- 4.47
Operating Margin ---- 14.60%
The company is currently rated with a 2,3 analyst recommendation; 1,0 is a strong buy and 5,0 a strong sell in the rating scheme.
Earnings of the company are estimated to grow by 20.40% for the next fiscal and 25.93% over the next five years yearly on average.
The MS stock has a beta ratio of 2.06 and offers investors currently a dividend yield of 1.20% while 6.80% of the annual earnings are paid to shareholders (payout ratio).
Stock Price Chart of Morgan Stanley (MS):
Morgan Stanley (MS) Stock Price compared to the S&P 500 |
Chart Dividend Yields of Morgan Stanley (MS):
10 Year Dividend Yield of Morgan Stanley (MS) |
Chart Dividend Payments of Morgan Stanley (MS):
10 Year Dividend Payments of Morgan Stanley (MS) |
10 Year Yield on Cost of Morgan Stanley (MS):
10 Year Yield on Cost Of Morgan Stanley (MS) Stock |
National Grid plc (NGG) works within the Gas Utilities industry and has a market capitalization of 55.30Billion.
Here are some important valuation figures of National Grid plc:
P/E ---- 13.58
Forward P/E ---- -
PEG ---- 1.84
P/S ---- 2.20
P/B ---- 2.81
Dividend Yield ---- 6.01%
Payout Ratio ---- 33.80%
EPS Growth next Year ---- -
EPS Growth next 5 Years ---- 7.40%
Debt/Equity Ratio ---- 2.18
Operating Margin ---- 24.80%
The company is currently rated with a 1,5 analyst recommendation; 1,0 is a strong buy and 5,0 a strong sell in the rating scheme.
Earnings of the company are estimated to grow by - for the next fiscal and 7.40% over the next five years yearly on average.
The NGG stock has a beta ratio of 0.67 and offers investors currently a dividend yield of 6.01% while 33.80% of the annual earnings are paid to shareholders (payout ratio).
Stock Price Chart of National Grid plc (NGG):
National Grid plc (NGG) Stock Price compared to the S&P 500 |
Chart Dividend Yields of National Grid plc (NGG):
10 Year Dividend Yield of National Grid plc (NGG) |
Chart Dividend Payments of National Grid plc (NGG):
10 Year Dividend Payments of National Grid plc (NGG) |
10 Year Yield on Cost of National Grid plc (NGG):
10 Year Yield on Cost Of National Grid plc (NGG) Stock |
Texas Instruments Inc. (TXN) works within the Semiconductor - Broad Line industry and has a market capitalization of 50.54Billion.
Here are some important valuation figures of Texas Instruments Inc.:
P/E ---- 22.51
Forward P/E ---- 16.99
PEG ---- 2.25
P/S ---- 4.03
P/B ---- 4.77
Dividend Yield ---- 2.56%
Payout Ratio ---- 57.60%
EPS Growth next Year ---- 14.07%
EPS Growth next 5 Years ---- 10.00%
Debt/Equity Ratio ---- 0.53
Operating Margin ---- 26.70%
The company is currently rated with a 2,7 analyst recommendation; 1,0 is a strong buy and 5,0 a strong sell in the rating scheme.
Earnings of the company are estimated to grow by 14.07% for the next fiscal and 10.00% over the next five years yearly on average.
The TXN stock has a beta ratio of 1.21 and offers investors currently a dividend yield of 2.56% while 57.60% of the annual earnings are paid to shareholders (payout ratio).
Stock Price Chart of Texas Instruments Inc. (TXN):
Texas Instruments Inc. (TXN) Stock Price compared to the S&P 500 |
Chart Dividend Yields of Texas Instruments Inc. (TXN):
10 Year Dividend Yield of Texas Instruments Inc. (TXN) |
Chart Dividend Payments of Texas Instruments Inc. (TXN):
10 Year Dividend Payments of Texas Instruments Inc. (TXN) |
10 Year Yield on Cost of Texas Instruments Inc. (TXN):
10 Year Yield on Cost Of Texas Instruments Inc. (TXN) Stock |
Kinder Morgan Energy Partners, L.P. (KMP) works within the Oil & Gas Pipelines industry and has a market capitalization of 38.29Billion.
Here are some important valuation figures of Kinder Morgan Energy Partners, L.P.:
P/E ---- 24.17
Forward P/E ---- 29.13
PEG ---- 2.79
P/S ---- 2.83
P/B ---- 2.68
Dividend Yield ---- 6.54%
Payout Ratio ---- 152.30%
EPS Growth next Year ---- 4.17%
EPS Growth next 5 Years ---- 8.67%
Debt/Equity Ratio ---- 1.57
Operating Margin ---- 24.90%
The company is currently rated with a 2,5 analyst recommendation; 1,0 is a strong buy and 5,0 a strong sell in the rating scheme.
Earnings of the company are estimated to grow by 4.17% for the next fiscal and 8.67% over the next five years yearly on average.
The KMP stock has a beta ratio of 0.45 and offers investors currently a dividend yield of 6.54% while 152.30% of the annual earnings are paid to shareholders (payout ratio).
Stock Price Chart of Kinder Morgan Energy Partners, L.P. (KMP):
Kinder Morgan Energy Partners, L.P. (KMP) Stock Price compared to the S&P 500 |
Chart Dividend Yields of Kinder Morgan Energy Partners, L.P. (KMP):
10 Year Dividend Yield of Kinder Morgan Energy Partners, L.P. (KMP) |
Chart Dividend Payments of Kinder Morgan Energy Partners, L.P. (KMP):
10 Year Dividend Payments of Kinder Morgan Energy Partners, L.P. (KMP) |
10 Year Yield on Cost of Kinder Morgan Energy Partners, L.P. (KMP):
10 Year Yield on Cost Of Kinder Morgan Energy Partners, L.P. (KMP) Stock |