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US Market Open: Feb 9, 13:21 PM 2012
NYSE
8085.65
2.67
NASDAQ
2925.23
9.37
and more..
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Processing
Collecting necessary data for
PG
and
GER
...
Asset Comparison and Correlation
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Procter & Gamble Company (
and
General Electric Capital Corpo
Volatility
Matrix
Run Correlation
Diversification
Good diversification
Overlapping area represents amount of risk that can be diversified away by holding Procter & Gamble Company ( and General Electric Capital Corpo in the same portfolio
(assuming nothing else is changed)
Optimize
Correlation Coefficient
-0.07
Parameters
Time Period
1 Month
[
change
]
Direction
Negative
Strength
Insignificant
Accuracy
95.24%
Values
Daily Returns
Suggest
Procter & Gamble Company (The)
Profile
63.88
Intraday
One Month
0.24
0.38%
PG
NYSE
Procter & Gamble Company (
P/E
18.71
Day Low
63.53
Open
63.78
P/B Ratio
2.78
Market Cap
176.0B
Volume
4645105
Sector
Consumer Goods
Last Close
63.64
Short Ratio
2.60
Last Traded
2/9/2012
Year High
67.72
Percent Change
0.38%
EBITDA
18.578B
Year Low
57.56
Absolute Change
0.24
Time
Not Applicable
Book Value
22.902
EPS
3.401
PEG Ratio
1.83
Employees
129,000
Day High
63.995
Industry
Personal Products
Target Price
71.06
Current EPS
3.401
This Year EPS
4.04
Next Year EPS
4.39
Current PE
18.71
This Year PE
15.75
Next Year PE
14.50
Dividend
2.10
Dividend Yield
3.30
Dividend Date
Feb 15
General Electric Capital Corpor
Profile
25.86
Intraday
One Month
(0.02)
0.08%
GER
NYSE
General Electric Capital Corpo
Day Low
25.85
P/B Ratio
Not Applicable
Open
25.88
Market Cap
Not Applicable
Volume
3250
Last Close
25.88
Last Traded
2/9/2012
Year High
26.20
Percent Change
0.08%
EBITDA
Not Applicable
Year Low
24.00
Absolute Change
0.02
Day High
25.92
Target Price
Not Applicable
Dividend
1.612
Dividend Yield
6.23
Dividend Date
Mar 15
Updating Transaction...
Click
"OK"
to permanently delete this portfolio. Click
"Cancel"
if you have changed your mind.
/div>
Report was successfully generated.
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