Glossary


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$100 D-J Ind Grew To

The amount to which a $100 investment (divided equally) in each of the 30 Dow Jones Industrial Stocks would have grown from year end 1960 (or year in which the company began operations).

$100 DJI Grew To (Investment Companies)

The amount to which a $100 investment (divided equally) in each of the 30 Dow Jones Industrial Stocks would have grown from year end 1960 (or year in which the company began operations).

$100 NA Grew To

The amount to which $100 invested in the net assets of a closed-end fund would have grown from year end 1960 (or after the first year of the company's operation), assuming all capital gains distributions had been reinvested in additional shares.

$100 Net Assets Grew To (Investment Companies)

The amount to which $100 invested in the net assets of a closed-end fund would have grown from year-end 1960 (or after the first year of the company’s operation), assuming all capital gains distributions had been reinvested in additional shares.

% Advisory

The percentage of revenues attributable to advisory services for selected diversified financial companies.

% All Divs/Net Income Trailing 12 months

The sum of the last 12-months of common dividends paid divided by the company's net income over the same time frame. This percentage is also known as the payout ratio.

% Average Annual Distribution Yield

The common dividends declared over the course of a specific year (fiscal or calendar), divided by the stock's average annual price.

% Cash & Cash Equivalents

Percent of total fund investments held in cash & cash equivalents.

% Change in Customers

The annual percent change in customers, at year end, for Electric Utilities as stated in the Electric Operating Statistics

% Change Retail Sales

The annual percent change in retail sales per kilowatt hour (KWH) for Electric Utilities as stated in the Electric Operating Statistics

% Commissions

Percentage of total brokerage revenues attributable to commission revenue.

% Common Stocks

Percent of the fund's holdings in common stock.

% Company Investments

Percentage of the company's total investments invested in other companies.

% Current Yield

Estimated dividends per share for the next 12 months divided by the stock's recent price.

% Distributions to Net Profits

Distributions, which include dividends and capital gains, divided by net profit.

% EPS 12-Month Change

The change in earnings per share compared to the quarter 12 months ago.

% EPS Change from Previous Quarter

The change in earnings per share compared to the previous sequential quarter.

% Expense to Premiums Earned

The underwriting expenses of an insurance company as a percentage of premiums earned.

% Expenses to Assets

Operating expenses expressed as a percentage of a closed-end fund's total assets at year end.

% Expenses to Net Asset Value

Operating expenses expressed as a percentage of a closed-end fund's net asset value.

% Expenses to Premiums Written

Underwriting expense (commissions and general and administrative costs) divided by net premiums written, less dividends to policy holders, expressed as a percentage.

% General & Administrative Expenses to Total Income

General & administrative expenses (typically salaries, rents, advertising, etc.) divided by total income, expressed as a percentage.

% Government Treasuries

The percent of company's investments in government treasuries.

% Gross Margin

Gross profit (the income remaining after subtracting the cost of the goods sold) divided by total sales/revenues.

% Gross Portfolio Yield

Gross annual income (before any expenses) divided by total assets, expressed as a percentage.

% Insider Holdings

Percentage of stock owned by company officers and directors

% Institutional Holdings

Percent of company stock held by institutional investors such as pension funds and mutual funds

% Interest Cost to Gross Income

Interest expenses for a year divided by total income for the year, expressed as a percentage

% Interest Income

Percent of revenues attributable to interest income for securities brokerage companies

% Investment Advisory

Percent of revenues attributable to investment advisory fees

% Investment Banking

Percent of revenues attributable to investment banking activities for securities brokerage companies

% Investment Income to Total Investments

Investment income (dividends, interest, and rents received on investments less the expenses of the investment department) divided by total investments, expressed as a percentage

% Investment Revenues

Percent of revenue attributable to investment activities for selected diversified financial companies

% Loans to Total Assets

Total loans for a bank at year end as a percentage of total reported assets

% Long-Term Debt to Total Capital

Long-term Debt (the portion of borrowings that are due outside of the current 12 months) divided by the sum of long-term debt, preferred stock at liquidation or redemption value, and common equity, expressed as a percentage

% Loss to Premiums Earned

Underwriting losses divided by net premiums earned, expressed as a percentage. Also known as the loss ratio.

% Market Share

The percentage of a market controlled by a specific company or product.

% Net Assets

A company's total assets minus total liabilities divided by shares outstanding. This is also known as shareholders' equity or book value per share.

% Net Interest Margin

The difference between interest rates earned (on loans and other earning assets) and interest rates paid (on deposits and other sources of funds) divided by the total value of earning assets.

% Net Profit Margin

Net profits divided by total sales/revenues, expressed as a percentage

% of Shares Traded

The number of shares traded each month as a % of the total outstanding.

% Operating Margin

The ratio of operating income divided by net sales.

% Other Revenue - Security Brokerage

Percentage of "other" revenue to total revenue for securities brokerage companies

% Other Revenues

Percentage of "other" revenue to total revenue for securities brokerage companies

% Principal Transactions

Percentage of revenues attributable to principal transactions for securities brokerage companies

% Retained to Common Equity

Net profits less all common and preferred dividends divided by common equity (including intangible assets), expressed as a percentage. Also known as the plowback ratio.

% Retained to Partners' Capital

Percentage of retained profits to partners capital

% Retained to Trust Equity

Percentage of retained profits to trust equity

% Return on Common Equity

Return on common equity

% Return on Partners' Capital

Return on partners' capital

% Return on Sales

Percent of net profit to sales

% Return on Shareholders' Equity

Return on shareholders' equity

% Return on Total Assets

Percent of net profit to total assets

% Return on Total Capital

Return on total capital

% SG & A to Gross Income

Percent of gross income attributable to selling, general and administrative expenses

% SG & A to Sales

Percent of sales attributable to selling, general and administrative expenses

% Share Price Change

Percent price change from previous day's closing price.

% Shareholders' Equity to Total Assets

Shareholders' Equity divided by total assets, expressed as a percentage.

% Trailing 1 Week Total Return

Percent trailing one week total return

% Trailing 1 Year Total Return

Percent trailing one year total return

% Trailing 10 Year Total Return

Percent trailing 10 year total return

% Trailing 13 Week Total Return

Percent trailing 13 week total return

% Trailing 26 Weeks Total Return

% Trailing 26 Weeks Total Return

% Trailing 3 months Total Return

% Trailing 3 months Total Return

% Trailing 3 Year Total Return

Percent trailing three year total return

% Trailing 4 Weeks Total Return

% Trailing 4 Weeks Total Return

% Trailing 5 Year Total Return

Percent trailing five year total return

% Trailing 6 months Total Return

% Trailing 6 months Total Return

% Underwriting

Percentage of total revenues attributable to underwriting fees

% VL Arithmetic Index Trailing 1 Year Return

Percent trailing one year total return for Value Line Arithmetic Index

% VL Arithmetic Index Trailing 3 Year Return

Percent trailing three year total return for Value Line Arithmetic Index

% VL Arithmetic Index Trailing 5 Year Return

Percent trailing five year total return for Value Line Arithmetic Index

% VL Free Cash Flow to Price

Percent Value Line free cash flow (quarterly) to quarterly average price

"Cash Flow"

The total of net income plus non-cash charges (depreciation, amortization, and depletion) minus preferred dividends (if any).

"Cash Flow" Line

Also known as the "Value Line". We chart cash flow based on historical data, as well as on two years of estimated financials. The resulting cash flow points are connected by a line in the Valuation module as well as the graph section of the pdf report. When creating a cash flow multiple for the "cash flow" line, analysts try to make it consistent with the equity's historical price performance, as well as its three- to five-year target price range.

(Total) Interest Expense

The amount a company spends on servicing debt outside of principle.

(Total) Loans

Total net loans issued by banks

1 Day Money Flow

A measure of the amount of money moving into or out of a stock in the market over the trailing day

1 Month Money Flow

A measure of the amount of money moving into or out of a stock in the market over the trailing 1 month

1 Week Money Flow

A measure of the amount of money moving into or out of a stock in the market over the trailing 5 days

12 Month Moving Average

Line indicating the trailing 12 month average price

3- to 5-Year Projections

Value Line's proprietary estimates for a company three- to five-years in the future.

3-5 Year Projected $100 D-J Ind Grew To

The Value Line projected value to which $100 invested in the Dow Jones Industrial Average will grow from the start date of the fund to which it is being compared.

3-5 Year Projected $100 NA Grew To

The Value Line projected value to which $100 invested in the fund will grow from the start date of the fund.

3-5 Year Projected % Administrative

3-5 Year Projected Percentage of revenues attributable to administrative services for selected diversified financial companies

3-5 Year Projected % Advisory

3-5 Year Projected Percentage of revenues attributable to advisory services for selected diversified financial companies

3-5 Year Projected % Annual Total Return

Value Line's proprietary estimate of the compound yearly return to shareholders that includes both stock price appreciation and dividends paid.

3-5 Year Projected % Average Annual Distribution Yield

Value Line's proprietary estimate of a company's dividend yield (dividends paid divided by stock price) three to five years in the future.

3-5 Year Projected % Cash & Cash Equivalents

3-5 year projected percentage of total fund investments held in cash & cash equivalents

3-5 Year Projected % Commissions

3-5 year projected percentage of total brokerage revenues attributable to commission revenue

3-5 Year Projected % Common Stocks

3-5 year projected percent of the fund's holdings in common stock

3-5 Year Projected % Company Investments

3-5 year projected percentage of the company's total investments invested in other companies

3-5 Year Projected % Distributions to Net Profits

3-5 year projected distributions as a percentage of net profit

3-5 Year Projected % Expenses to Assets

3-5 year projected percent of fund's expenses to assets

3-5 Year Projected % Expenses to Net Asset Value

3-5 year percent of fund's expenses to net asset value

3-5 Year Projected % Expenses to Premiums Written

The underwriting expenses of an insurance company as a percentage of premiums written

3-5 Year Projected % General & Administrative Expenses to Total Income

3-5 year projected percent general & administrative expenses to total income for thrifts

3-5 Year Projected % Government Treasuries

3-5 year projected percent of company's investments in government treasuries

3-5 Year Projected % Gross Margin

3-5 year projected gross margin

3-5 Year Projected % Gross Portfolio Yield

3-5 year projected total income divided by total assets of a fund

3-5 Year Projected % Interest Cost to Gross Income

3-5 year projected Interest expenses for a year divided by total income for the year

3-5 Year Projected % Interest Income

3-5 year projected percent of revenues attributable to interest income for securities brokerage companies

3-5 Year Projected % Investment Advisory

3-5 year projected percent of revenues attributable to investment advisory fees

3-5 Year Projected % Investment Banking

3-5 year projected percent of revenues attributable to investment banking activities for securities brokerage companies

3-5 Year Projected % Investment Income to Total Investments

3-5 Year projected investment income divided by total investments for property & casualty insurance companies

3-5 Year Projected % Investment Revenues

3-5 Year projected percent of revenue attributable to investment activities for selected diversified financial companies

3-5 Year Projected % Loans to Total Assets

3-5 year projected total loans for a bank at year end as a percentage of total reported assets

3-5 Year Projected % Long-Term Debt to Total Capital

3-5 year projected ratio of long-term debt to total capital

3-5 Year Projected % Loss to Premiums Earned

3-5 year projected percentage loss to premiums earned for property & casualty insurance companies

3-5 Year Projected % Market Share

3-5 year projected percentage market share of selected automobile companies.

3-5 Year Projected % Net Interest Margin

3-5 year projected percent net interest margin.

3-5 Year Projected % Net Profit Margin

3-5 year projected net profit margin

3-5 Year Projected % Other Revenues

3-5 year projected percentage of "other" revenue to total revenue for securities brokerage companies

3-5 Year Projected % Price to Book Value

3-5 year projected percentage of the price to book value per common share

3-5 Year Projected % Principal Transactions

3-5 Year projected percentage of revenues attributable to principal transactions for securities brokerage companies

3-5 Year Projected % Retained to Common Equity

3-5 year projected percentage of retained profits to common equity

3-5 Year Projected % Retained to Partners' Capital

3-5 year projected percentage of retained profits to partners capital

3-5 Year Projected % Retained to Trust Equity

3-5 year projected percentage of retained profits to trust equity

3-5 Year Projected % Return on Common Equity

3-5 year projected return on common equity

3-5 Year Projected % Return on Partners' Capital

3-5 year projected return on partners' capital

3-5 Year Projected % Return on Shareholders' Equity

3-5 year projected return on shareholders' equity

3-5 Year Projected % Return on Total Capital

3-5 year projected return on total capital

3-5 Year Projected % Shareholders' Equity to Total Assets

3-5 year projected shareholders' equity to total assets

3-5 Year Projected % Underwriting

3-5 year projected percentage of total revenues attributable to underwriting fees

3-5 Year Projected "Cash Flow" per ADR

Value Line's proprietary cash flow per ADR (net profit plus depreciation and amortization minus preferred dividends, divided by shares outstanding) estimate three- to five-years in the future.

3-5 Year Projected "Cash Flow" per ADS

Value Line's proprietary cash flow per ADS (net profit plus depreciation and amortization minus preferred dividends, divided by shares outstanding) estimate three- to five-years in the future.

3-5 Year Projected "Cash Flow" per share

Value Line's proprietary cash flow per share (net profit plus depreciation and amortization minus preferred dividends, divided by shares outstanding) estimate three- to five-years in the future.

3-5 Year Projected "Cash Flow" per unit

Value Line's proprietary cash flow per unit (net profit plus depreciation and amortization minus preferred dividends, divided by shares outstanding) estimate three- to five-years in the future.

3-5 Year Projected (Total) Interest Expense

3-5 year projected total interest expense

3-5 Year Projected (Total) Loans

3-5 year projected total net loans issued by banks

3-5 Year Projected All Dividends to Net Profits

3-5 year projected percentage of net profits paid out as dividends, excluding special dividends

3-5 Year Projected Allowance for Funds Used During Construction as % of Net Prof

3-5 year projected allowance for funds used during construction (AFUDC) as a percentage of net profit

3-5 Year Projected Annual Change D-J Ind

3-5 projected annual change (range) for the Dow Jones Industrial Average

3-5 Year Projected Annual Change in NAV

3-5 year projected annual percentage change in a fund's net asset value

3-5 Year Projected Asset Value per Share at Year End for Closed End Fund

3-5 year projected asset value per share for fund

3-5 Year Projected Assets Under Management ($Bil)

3-5 Year Projected Assets Under Management ($Bil)

3-5 Year Projected Assets Under Management ($Mil)

3-5 Year Projected Assets Under Management ($Mil)

3-5 Year Projected Assets Under Management per share

3-5 year projected assets under management per share for selected financial companies

3-5 Year Projected Assets Under Management per unit

3-5 year projected assets under management per unit for selected financial companies

3-5 Year Projected Average Annual Dividend Yield

3-5 Year Projected Common dividends declared (excluding special dividends) as a percentage of annual price

3-5 Year Projected Average Annual P/E Ratio

3-5 Year projected average annual P/E ratio

3-5 Year Projected Average Annual Price/FFO Ratio

3-5 year projected average annual price divided by funds from operations (FFO) for REITs

3-5 Year Projected Average Interest Paid

3-5 year projected average interest paid

3-5 Year Projected Book Value per ADR

3-5 year projected book value per American Depository Receipt (ADR)

3-5 Year Projected Book Value per ADS

3-5 year projected book value per American Depository Share (ADS)

3-5 Year Projected Book Value per share

3-5 year projected book value per common share

3-5 Year Projected Book Value per Unit

3-5 year projected book value per unit

3-5 Year Projected Borrowings

3-5 year projected borrowings for a mortgage REIT

3-5 Year Projected Capital Funds to Total Capital

3-5 year projected capital funds to total capital

3-5 Year Projected Capital Gains

3-5 year projected capital gains for REITS

3-5 Year Projected Capital Gains Declared per share

3-5 year projected capital gains declared per share for closed end funds

3-5 Year Projected Capital Spending per ADR

3-5 year projected expenditures on items such as plant and equipment per American depository receipt (ADR)

3-5 Year Projected Capital Spending per ADS

3-5 year projected expenditures on items such as plant and equipment per American depository shares (ADS)

3-5 Year Projected Capital Spending per share

3-5 year projected expenditures on items such as plant and equipment per share

3-5 Year Projected Capital Spending per unit

3-5 year projected expenditures on items such as plant and equipment per unit

3-5 Year Projected Cash to Net Asset Value

3-5 year projected percent cash to net asset value

3-5 Year Projected Claims Provision

3-5 year projected claims provision for select financial companies

3-5 Year Projected Common Equity

3-5 year projected common equity

3-5 Year Projected Common Equity Ratio

3-5 year percent of common equity to total capital

3-5 Year Projected Common Shares Outstanding

3-5 year projected common shares outstanding

3-5 Year Projected Control Income

3-5 year projection of pretax income for selected financial services companies

3-5 Year Projected Depreciation, Depletion & Amortization

3-5 year projected depreciation, depletion & amortization

3-5 Year Projected Discontinued Operations

3-5 year projected discontinued operations

3-5 Year Projected Distributions (Declared) as % of (Total) Assets

3-5 projected distributions declared as a percent of total assets

3-5 Year Projected Distributions Declared per share

3-5 year projected distributions declared per share

3-5 Year Projected Distributions Declared per unit

3-5 year projected distributions declared per unit

3-5 Year Projected Dividends (Declared) as % of (Total) Distributions (Declared)

3-5 year projected percent dividends declared to total distributions

3-5 Year Projected Dividends (Declared) as % of Earnings

3-5 year projected percent dividends declared to earnings per share

3-5 Year Projected Dividends Declared per ADR

3-5 year projected dividends declared per American Depository Receipt (ADR)

3-5 Year Projected Dividends Declared per ADS

3-5 year projected dividends declared per American Depository Share (ADS)

3-5 Year Projected Dividends Declared per share

3-5 year projected dividends declared per common share

3-5 Year Projected Dividends Declared to Funds From Operations

3-5 year projected percent dividends declared per share to funds from operations per share (FFO/sh) for REITs

3-5 Year Projected Earnings per ADR

3-5 Year Projected Earnings per American Depository Receipt (ADR)

3-5 Year Projected Earnings per ADS

3-5 Year projected earnings per American Depository Share (ADS)

3-5 Year Projected Earnings per share

3-5 year projected earnings per share

3-5 Year Projected Earnings per unit

3-5 year projected earnings per unit

3-5 Year Projected Equivalent ADRs Outstanding

3-5 year projected equivalent American Depository receipts (ADRs) outstanding

3-5 Year Projected Equivalent ADSs Outstanding

3-5 year projected equivalent American Depository Shares (ADSs) outstanding

3-5 Year Projected Fee Revenue per (common) share

3-5 year projected fee revenue per common share

3-5 Year Projected Fee Revenues

3-5 year projected fee revenues

3-5 Year Projected FHLB Advances

3-5 year projected Federal Home Loan Bank advances (for Thrifts)

3-5 Year Projected Funds from Operations per (common) share

3-5 year projected funds from operations per common share (FFO/sh) for REITs

3-5 Year Projected Gross Dividends Declared per ADR

3-5 year projected dividends declared per American Depository Receipt (ADR) before taxes are withheld

3-5 Year Projected Gross Dividends Declared per ADS

3-5 year projected dividends declared per American Depository Share (ADS) before taxes are withheld

3-5 Year Projected Gross Dividends Declared per share

3-5 year projected dividends declared per common share before taxes are withheld

3-5 Year Projected Gross Equipment per share

3-5 year projected total equipment (before depreciation) per common share (for Airlines)

3-5 Year Projected Homes Inventory

3-5 year projected inventory of homes for a home building company

3-5 Year Projected Income Dividends Declared per share

3-5 year projected income dividends declared per common share

3-5 Year Projected Income from Loans

3-5 Year projected interest and related income from loans

3-5 Year Projected Income from Loans per share

3-5 Year projected interest and related income from loans per common share

3-5 Year Projected Income Tax Rate

3-5 year projected income tax rate

3-5 Year Projected Insurance in Force

3-5 year projected total dollar value of insurance in force

3-5 Year Projected Investment Income

3-5 year projected investment income for insurance companies

3-5 Year Projected Investment Income - Berkshire

3-5 year projected investment income for selected financial companies

3-5 Year Projected Investment Income per share

3-5 Year projected investment income per share for insurance companies

3-5 Year Projected Investment Revenues

3-5 year projected revenues attributable to a company's investments

3-5 Year Projected Investments

3-5 year projected investments as held on a balance sheet for selected financial companies

3-5 Year Projected Land Inventory

3-5 year projected land inventory for a home building company

3-5 Year Projected Life Premiums (Earned)

3-5 year projected life premiums earned for an insurance company

3-5 Year Projected Life Premiums (Earned) per share

3-5 year projected life premiums earned per share for an insurance company

3-5 Year Projected Load Factor

3-5 year projected load factor for an airline

3-5 Year Projected Loan Loss Provision

3-5 year projected loan loss provision for banks

3-5 Year Projected Loans & Real Estate

3-5 year projected total loans and real estate held by a real estate investment trust (REIT)

3-5 Year Projected Loans & Real Estate per (common) share

3-5 year projected total loans and real estate per common share for a real estate investment trust (REIT)

3-5 Year Projected Long-Term Debt

3-5 year projected long-term debt

3-5 Year Projected Loss Provision

3-5 year projected loss provision for selected financial companies

3-5 Year Projected Loss Reserves

3-5 year projected loss reserves for selected life insurance companies

3-5 Year Projected Mortgage Loans per share

3-5 year projected mortgage loans per share

3-5 Year Projected NAV per share

3-5 year projected net asset value per share

3-5 Year Projected Net Interest Income

3-5 year projected net interest income for banks

3-5 Year Projected Net Operating Revenues

3-5 year projected net operating revenues for selected financial companies

3-5 Year Projected Net Operating Revenues per share

3-5 year projected net operating revenues per share for selected financial companies

3-5 Year Projected Net Plant ($Bil)

3-5 year projected gross plant less accumulated depreciation

3-5 Year Projected Net Plant ($Mil)

3-5 year projected gross plant less accumulated depreciation

3-5 Year Projected Net Profit ($Bil)

3-5 year projected net profit

3-5 Year Projected Net Profit ($Mil)

3-5 year projected net profit

3-5 Year Projected Non-Controlling Interest

3-5 year projected non-controlling interest in other companies for selected financial companies

3-5 Year Projected Noninterest Expense

3-5 year projected non-interest expense for a bank

3-5 Year Projected Noninterest Income

3-5 year projected non-interest income for a bank

3-5 Year Projected Number of North American Stores

3-5 year projected number of North American stores

3-5 Year Projected Operating Income

3-5 year projected total operating income for selected financial companies

3-5 Year Projected Operating Income per share

3-5 year projected total operating income per share for selected financial companies

3-5 Year Projected Operating Margin

3-5 year projected operating margin

3-5 Year Projected Other Income

3-5 year projected other income plus unusual gains

3-5 Year Projected Other Income per (common) share

3-5 year projected other income per common share

3-5 Year Projected Other Revenues

3-5 year projected other revenues for select financial companies

3-5 Year Projected P/C Premiums Earned

3-5 year projected property & casualty premiums earned

3-5 Year Projected P/C Premiums Earned per share

3-5 year projected property & casualty premiums earned per share

3-5 Year Projected Partners' Capital

3-5 year projected total partners' equity in a limited partnership

3-5 Year Projected Premium / discount to NAV

3-5 year projection of premium or discount of a fund to its net asset value (NAV)

3-5 Year Projected Premium Over Book Value

3-5 year projected premium or discount to book value for select financial companies

3-5 Year Projected Premiums Earned

3-5 year projected premiums earned for selected financial companies

3-5 Year Projected Premiums Earned per share

3-5 year projected premiums earned per share for selected financial companies

3-5 Year Projected Problem Assets to Loans

3-5 year projected percentage of problem assets to loans for selected financial companies

3-5 Year Projected Property/Casualty Underwriting Margin

3-5 year projected property/casualty underwriting margin

3-5 Year Projected Realized Gains (or losses) per (common) share

3-5 year projected realized gains or losses for selected financial companies

3-5 Year Projected Receivables

3-5 year projected loans held for investment for selected financial companies

3-5 Year Projected Receivables to Total Assets

3-5 year projected loans to total assets

3-5 Year Projected Relative P/E Ratio

3-5 year projected relative price to earnings ratio

3-5 Year Projected Rental Income

3-5 year projected rental income for real estate investment trusts (REITs)

3-5 Year Projected Retained to Partners' Capital

3-5 year projected value of net profit less distributions divided by total capital

3-5 Year Projected Return on Total Assets

3-5 year projected percent of net profit to total assets

3-5 Year Projected Return on Trust Equity

3-5 year projected percent net profit to trust equity

3-5 Year Projected Return on Unit Holders' Capital

3-5 year projected percent net profit to unit holders' capital

3-5 Year Projected Savings Deposits per share

3-5 year projected savings deposits per common share

3-5 Year Projected Shareholders' Equity

3-5 year projected shareholders' equity

3-5 Year Projected Short-Term Debt

3-5 year projected short term debt

3-5 Year Projected Total Assets

3-5 year projected total assets

3-5 Year Projected Total Assets per (common) share

3-5 year projected assets per common share

3-5 Year Projected Total Benefits & Reserves

3-5 year projected total benefits and reserves for select insurance companies

3-5 Year Projected Total Capital

3-5 year projected total capital

3-5 Year Projected Total Debt

3-5 year projected total debt

3-5 Year Projected Total Debt to Net Asset Value

3-5 year projected percent total debt to net asset value

3-5 Year Projected Total Fees

3-5 year projected fee revenue for selected financial companies

3-5 Year Projected Total Net Loans

3-5 year projected loans to originate in the designated period

3-5 Year Projected Total Number of Stores

3-5 year projected number of stores

3-5 Year Projected Total Premiums Earned

3-5 year projected premiums earned

3-5 Year Projected Total Return

3-5 year projected annual total return for funds

3-5 Year Projected Total Revenue

3-5 year projected total revenue

3-5 Year Projected Total Revenue for Thrifts

3-5 year projected total revenues for thrifts

3-5 Year Projected Total Revenue per ADR

3-5 year projected total revenues per American depository receipt (ADR)

3-5 Year Projected Total Revenue per ADS

3-5 year projected total revenues per American depository share (ADS)

3-5 Year Projected Total Revenue per Share

3-5 year projected total revenues per share

3-5 Year Projected Total Revenue per unit

3-5 year projected total revenues per unit

3-5 Year Projected Total Sales

3-5 year projected total sales

3-5 Year Projected Total Sales per ADR

3-5 year projected total sales per American depository receipt (ADR)

3-5 Year Projected Total Sales per ADS

3-5 year projected total sales per American depository share (ADS)

3-5 Year Projected Total Sales per share

3-5 year projected total sales per share

3-5 Year Projected Total Sales per unit

3-5 year projected total sales per unit

3-5 Year Projected Total Segment Revenues

3-5 year projected total revenues for selected financial companies

3-5 Year Projected Translation Rate ($/#)

3-5 Year Projected Translation rate of foreign currency as it relates to the US dollar ($/#)

3-5 Year Projected Translation Rate ($/CHF)

3-5 Year Projected Translation rate of foreign currency as it relates to the US dollar ($/CHF)

3-5 Year Projected Translation Rate ($/Euro)

3-5 Year Projected Translation rate of foreign currency as it relates to the US dollar ($/Euro)

3-5 Year Projected Translation Rate ($/Rand)

3-5 Year Projected Translation rate of foreign currency as it relates to the US dollar ($/Rand)

3-5 Year Projected Translation Rate ($/RMB)

3-5 Year Projected Translation rate of foreign currency as it relates to the US dollar ($/RMB)

3-5 Year Projected Translation Rate (A$/US$)

3-5 Year Projected Translation rate of foreign currency as it relates to the US dollar (A$/US$)

3-5 Year Projected Translation Rate (Cdn.$/US$)

3-5 Year Projected Translation rate of foreign currency as it relates to the US dollar (Cdn.$/US$)

3-5 Year Projected Translation Rate (ChP/$)

3-5 Year Projected Translation rate of foreign currency as it relates to the US dollar (ChP/$)

3-5 Year Projected Translation Rate (DKr/$)

3-5 Year Projected Translation rate of foreign currency as it relates to the US dollar (DKr/$)

3-5 Year Projected Translation Rate (Euro/$)

3-5 Year Projected Translation rate of foreign currency as it relates to the US dollar (Euro/$)

3-5 Year Projected Translation Rate (FF/$)

3-5 Year Projected Translation rate of foreign currency as it relates to the US dollar (FF/$)

3-5 Year Projected Translation Rate (Fl/$)

3-5 Year Projected Translation rate of foreign currency as it relates to the US dollar (Fl/$)

3-5 Year Projected Translation Rate (HK$/US$)

3-5 Year Projected Translation rate of foreign currency as it relates to the US dollar (HK$/US$)

3-5 Year Projected Translation Rate (INR/$)

3-5 Year Projected Translation rate of foreign currency as it relates to the US dollar (INR/$)

3-5 Year Projected Translation Rate (MexP/$)

3-5 Year Projected Translation rate of foreign currency as it relates to the US dollar (MexP/$)

3-5 Year Projected Translation Rate (Nkr/$)

3-5 Year Projected Translation rate of foreign currency as it relates to the US dollar (Nkr/$)

3-5 Year Projected Translation Rate (NT$/$)

3-5 Year Projected Translation rate of foreign currency as it relates to the US dollar (NT$/$)

3-5 Year Projected Translation Rate (R$/$)

3-5 Year Projected Translation rate of foreign currency as it relates to the US dollar (R$/$)

3-5 Year Projected Translation Rate (Skr/$)

3-5 Year Projected Translation rate of foreign currency as it relates to the US dollar (Skr/$)

3-5 Year Projected Translation Rate (US$/A$)

3-5 Year Projected Translation rate of foreign currency as it relates to the US dollar (US$/A$)

3-5 Year Projected Translation Rate (US$/C$)

3-5 Year Projected Translation rate of foreign currency as it relates to the US dollar (US$/C$)

3-5 Year Projected Translation Rate (US$/Cdn.$)

3-5 Year Projected Translation rate of foreign currency as it relates to the US dollar (US$/Cdn.$)

3-5 Year Projected Translation Rate (US$/NZ$)

3-5 Year Projected Translation rate of foreign currency as it relates to the US dollar (US$/NZ$)

3-5 Year Projected Translation Rate (W/$)

3-5 Year Projected Translation rate of foreign currency as it relates to the US dollar (W/$)

3-5 Year Projected Translation Rate (W/US$)

3-5 Year Projected Translation rate of foreign currency as it relates to the US dollar (W/US$)

3-5 Year Projected Translation Rate (Yen/$)

3-5 Year Projected Translation rate of foreign currency as it relates to the US dollar (Yen/$)

3-5 Year Projected Trust Equity

3-5 year projected trust holders' equity

3-5 Year Projected Underwriting Income per (common) share

3-5 year projected underwriting income per common share

3-5 Year Projected Underwriting Margin

3-5 year projected underwriting margin

3-5 Year Projected Unitholders' Capital

3-5 year projected unitholders' equity

3-5 Year Projected Units Outstanding

3-5 year projected number of partnership units outstanding

3-5 Year Projected Unrealized Appreciation

3-5 projected unrealized investment portfolio appreciation for select financial companies

3-5 Year Projected Unrealized Appreciation per share

3-5 year projected unrealized investment portfolio appreciation per share for select financial companies

3-5 Year Projected Working Capital

3-5 year projected working capital

52-Week Low/High

The lowest /highest share price in the most recent 52 weeks