RE:RE:RE:RE:RE:RE:RE:Back to realityI'm not sure logic is that useful when dealing with the stockmarket
Why don't you try this one on for size? But then the float is probably too big which is why you pick on profitable companies with fewer shares oustanding. Much easier to manipulate.
Security Type | Equity |
Shares Issued | 462,036,000 |
Market Cap | 150,753,106,000 |
Year High | 408.06 |
Year Low | 279.33 |
Beta | 1.38 |
Annual Earnings/Share | 0.38 USD |
P/E Ratio | 858.63 |
Annual Dividend/Share | 0.00 USD |
Annual Dividend Yield | 0.00 % |
Ex-Dividend Date | 2005-08-03 |
Sector | 5961 - Catalog and Mail-Order Houses |