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BCE BCE Inc

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  • 34.100
  • +0.160+0.47%
Trading May 13 10:56 ET
31.11BMarket Cap24.17P/E (TTM)

BCE Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
124.02%1.66B
1,089.26%1.77B
1,089.26%1.77B
-15.55%619M
51.01%900M
612.50%741M
-48.44%149M
-48.44%149M
-66.17%733M
-65.98%596M
-Cash and cash equivalents
29.55%960M
418.12%772M
418.12%772M
-15.55%619M
51.01%900M
612.50%741M
-48.44%149M
-48.44%149M
-66.17%733M
-65.98%596M
-Short-term investments
--700M
--1B
--1B
----
----
----
--0
--0
----
----
Receivables
2.75%4.36B
-2.19%4.47B
-2.19%4.47B
0.95%4.24B
5.48%4.17B
7.93%4.25B
4.84%4.57B
4.84%4.57B
7.52%4.2B
6.63%3.96B
-Accounts receivable
2.64%3.93B
-3.32%3.84B
-3.32%3.84B
0.50%3.84B
5.22%3.77B
7.86%3.83B
7.18%3.97B
7.18%3.97B
9.18%3.82B
10.48%3.58B
-Taxes receivable
----
-59.32%24M
-59.32%24M
----
----
----
-73.54%59M
-73.54%59M
----
----
-Other receivables
3.82%435M
7.41%754M
7.41%754M
5.48%404M
8.04%403M
8.55%419M
16.61%702M
16.61%702M
-6.59%383M
-20.13%373M
-Recievables adjustments allowances
----
9.38%-145M
9.38%-145M
----
----
----
5.33%-160M
5.33%-160M
----
----
Inventory
-31.95%458M
-29.12%465M
-29.12%465M
1.44%636M
16.11%656M
18.69%673M
36.10%656M
36.10%656M
50.00%627M
35.17%565M
Prepaid assets
1.85%385M
-5.74%230M
-5.74%230M
14.58%338M
8.52%395M
0.80%378M
-3.94%244M
-3.94%244M
1.03%295M
5.20%364M
Current deferred assets
30.86%704M
17.22%633M
17.22%633M
-3.75%590M
-5.89%559M
-4.61%538M
6.51%540M
6.51%540M
32.11%613M
34.69%594M
Other current assets
-16.97%274M
-18.52%264M
-18.52%264M
-14.99%312M
24.78%282M
21.77%330M
28.06%324M
28.06%324M
25.68%367M
-18.71%226M
Total current assets
10.23%7.9B
21.75%7.9B
21.75%7.9B
-1.46%6.74B
10.54%6.97B
23.23%7.17B
4.66%6.49B
4.66%6.49B
-9.34%6.84B
-9.27%6.3B
Non current assets
Net PPE
3.84%30.36B
3.75%30.35B
3.75%30.35B
5.92%30.16B
6.22%29.91B
4.00%29.23B
3.62%29.26B
3.62%29.26B
2.33%28.47B
2.19%28.16B
-Gross PPE
----
3.86%86.84B
3.86%86.84B
----
----
----
1.90%83.61B
1.90%83.61B
----
----
-Accumulated depreciation
----
-3.91%-56.48B
-3.91%-56.48B
----
----
----
-1.00%-54.36B
-1.00%-54.36B
----
----
Goodwill and other intangible assets
2.20%27.77B
1.71%27.55B
1.71%27.55B
2.42%27.51B
2.79%27.42B
2.33%27.17B
3.62%27.09B
3.62%27.09B
12.19%26.86B
11.88%26.67B
-Goodwill
1.54%11B
0.33%10.94B
0.33%10.94B
3.02%11.02B
2.78%11.02B
0.99%10.83B
3.16%10.91B
3.16%10.91B
1.15%10.7B
1.37%10.72B
-Other intangible assets
2.64%16.77B
2.63%16.61B
2.63%16.61B
2.03%16.49B
2.79%16.4B
3.24%16.34B
3.94%16.18B
3.94%16.18B
20.92%16.16B
20.26%15.95B
Investments and advances
-51.51%322M
10.57%910M
10.57%910M
-46.99%326M
-49.13%322M
1.53%664M
-3.29%823M
-3.29%823M
-11.76%615M
-12.69%633M
Non current accounts receivable
4.62%272M
10.23%1.02B
10.23%1.02B
1.62%251M
2.53%243M
5.26%260M
8.15%929M
8.15%929M
5.11%247M
3.04%237M
Financial assets
----
-50.21%116M
-50.21%116M
----
----
----
-14.96%233M
-14.96%233M
----
----
Non current deferred assets
17.69%865M
27.37%875M
27.37%875M
59.92%846M
67.23%791M
55.39%735M
39.63%687M
39.63%687M
6.44%529M
-1.87%473M
Defined pension benefit
-3.58%3.29B
-17.53%2.94B
-17.53%2.94B
-10.30%3.3B
-24.49%3.21B
-17.10%3.41B
2.51%3.56B
2.51%3.56B
-2.83%3.68B
33.34%4.25B
Other non current assets
34.15%1.8B
4.89%279M
4.89%279M
-5.84%1.24B
-8.65%1.19B
-2.69%1.34B
10.37%266M
10.37%266M
-27.22%1.32B
12.00%1.31B
Total non current assets
2.96%64.67B
1.91%64.04B
1.91%64.04B
3.10%63.64B
2.20%63.08B
2.10%62.81B
3.76%62.84B
3.76%62.84B
4.98%61.72B
7.94%61.73B
Total assets
3.70%72.57B
3.77%71.94B
3.77%71.94B
2.64%70.37B
2.97%70.05B
3.92%69.98B
3.84%69.33B
3.84%69.33B
3.35%68.56B
6.08%68.03B
Liabilities
Current liabilities
Payables
6.01%5.45B
-1.17%5.23B
-1.17%5.23B
-3.30%5.54B
0.96%5.45B
5.32%5.14B
16.62%5.29B
16.62%5.29B
12.33%5.73B
6.89%5.4B
-accounts payable
6.50%4.35B
-8.16%3.31B
-8.16%3.31B
-5.39%4.35B
2.33%4.35B
6.22%4.08B
22.89%3.6B
22.89%3.6B
11.40%4.6B
8.81%4.25B
-Total tax payable
3.66%170M
92.06%411M
92.06%411M
6.08%279M
-30.77%207M
-13.23%164M
24.42%214M
24.42%214M
62.35%263M
-13.08%299M
-Dividends payable
4.22%938M
4.96%910M
4.96%910M
4.96%910M
5.26%900M
5.39%900M
6.91%867M
6.91%867M
7.04%867M
6.08%855M
-Other payable
----
-1.32%599M
-1.32%599M
----
----
----
-2.41%607M
-2.41%607M
----
----
Current accrued expenses
61.06%335M
18.15%332M
18.15%332M
32.99%258M
20.55%305M
28.40%208M
13.77%281M
13.77%281M
22.01%194M
10.96%253M
Current provisions
----
-12.16%65M
-12.16%65M
----
----
----
-8.64%74M
-8.64%74M
----
----
Current debt and capital lease obligation
0.61%6.39B
47.35%4.85B
47.35%4.85B
10.35%5.17B
82.50%6.04B
105.94%6.35B
71.79%3.29B
71.79%3.29B
135.01%4.69B
43.62%3.31B
-Current debt
0.61%6.39B
59.92%3.77B
59.92%3.77B
10.35%5.17B
82.50%6.04B
105.94%6.35B
124.57%2.36B
124.57%2.36B
135.01%4.69B
43.62%3.31B
-Current capital lease obligation
----
15.48%1.07B
15.48%1.07B
----
----
----
7.64%930M
7.64%930M
----
----
Current deferred liabilities
-4.00%817M
-5.37%811M
-5.37%811M
-0.37%798M
1.02%793M
1.55%851M
7.26%857M
7.26%857M
7.09%801M
2.35%785M
Other current liabilities
-86.24%15M
-50.80%826M
-50.80%826M
----
----
--109M
9.31%1.68B
9.31%1.68B
----
----
Current liabilities
2.74%13.01B
5.56%12.11B
5.56%12.11B
3.13%11.77B
29.15%12.59B
41.19%12.66B
25.85%11.47B
25.85%11.47B
42.59%11.41B
16.71%9.75B
Non current liabilities
Long term provisions
----
-0.69%286M
-0.69%286M
----
----
----
-11.93%288M
-11.93%288M
----
----
Long term debt and capital lease obligation
13.94%31.28B
12.06%31.14B
12.06%31.14B
10.33%29.53B
4.84%28.31B
2.15%27.46B
2.72%27.78B
2.72%27.78B
-1.12%26.77B
6.23%27.01B
-Long term debt
13.94%31.28B
12.06%31.14B
12.06%31.14B
10.33%29.53B
4.84%28.31B
2.15%27.46B
2.72%27.78B
2.72%27.78B
-1.12%26.77B
6.23%27.01B
Non current deferred liabilities
0.86%5.26B
-0.68%5.15B
-0.68%5.15B
1.61%5.23B
-3.81%5.16B
-1.81%5.21B
5.20%5.18B
5.20%5.18B
1.44%5.14B
12.30%5.36B
Employee benefits
-8.98%1.23B
-1.53%1.55B
-1.53%1.55B
-5.26%1.23B
5.77%1.34B
-7.92%1.35B
-23.77%1.57B
-23.77%1.57B
-22.67%1.29B
-26.99%1.27B
Derivative product liabilities
----
217.80%607M
217.80%607M
----
----
----
344.19%191M
344.19%191M
----
----
Other non current liabilities
37.69%1.42B
67.67%555M
67.67%555M
36.20%1.31B
35.86%1.2B
10.49%1.03B
8.17%331M
8.17%331M
-4.74%964M
-18.22%884M
Total non current liabilities
11.81%39.19B
11.12%39.28B
11.12%39.28B
9.16%37.3B
4.33%36.01B
1.34%35.05B
1.83%35.35B
1.83%35.35B
-1.89%34.17B
4.57%34.52B
Total liabilities
9.41%52.2B
9.76%51.38B
9.76%51.38B
7.65%49.07B
9.79%48.6B
9.55%47.71B
6.83%46.81B
6.83%46.81B
6.43%45.58B
7.02%44.27B
Shareholders'equity
Share capital
-0.83%24.47B
-0.74%24.53B
-0.74%24.53B
-0.49%24.6B
-0.33%24.64B
-0.15%24.68B
0.18%24.71B
0.18%24.71B
0.30%24.72B
1.03%24.72B
-common stock
0.04%20.86B
0.09%20.86B
0.09%20.86B
0.10%20.86B
0.11%20.86B
0.10%20.85B
0.86%20.84B
0.86%20.84B
0.93%20.84B
1.81%20.84B
-Preferred stock
-5.57%3.61B
-5.25%3.67B
-5.25%3.67B
-3.68%3.74B
-2.68%3.78B
-1.49%3.83B
-3.32%3.87B
-3.32%3.87B
-2.95%3.89B
-2.95%3.89B
Retained earnings
-45.47%-5.71B
-51.08%-5.51B
-51.08%-5.51B
-44.93%-4.72B
-70.47%-4.62B
-43.28%-3.93B
-7.32%-3.65B
-7.32%-3.65B
-9.86%-3.25B
20.35%-2.71B
Paid-in capital
5.26%1.24B
7.34%1.26B
7.34%1.26B
5.85%1.23B
4.60%1.2B
3.69%1.18B
1.30%1.17B
1.30%1.17B
0.96%1.16B
-0.43%1.15B
Gains losses not affecting retained earnings
1,433.33%46M
23.64%-42M
23.64%-42M
-1,550.00%-145M
-138.46%-105M
-99.15%3M
-125.82%-55M
-125.82%-55M
-96.88%10M
33.82%273M
Total stockholders'equity
-8.59%20.05B
-8.79%20.23B
-8.79%20.23B
-7.38%20.97B
-9.88%21.12B
-6.53%21.93B
-2.02%22.18B
-2.02%22.18B
-2.23%22.64B
4.49%23.44B
Noncontrolling interests
-3.00%323M
-2.67%328M
-2.67%328M
-0.88%337M
0.00%328M
4.72%333M
10.13%337M
10.13%337M
-3.13%340M
-3.53%328M
Total equity
-8.51%20.37B
-8.70%20.56B
-8.70%20.56B
-7.28%21.31B
-9.75%21.45B
-6.38%22.27B
-1.86%22.52B
-1.86%22.52B
-2.25%22.98B
4.37%23.77B
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
--
--
--
--
(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 124.02%1.66B1,089.26%1.77B1,089.26%1.77B-15.55%619M51.01%900M612.50%741M-48.44%149M-48.44%149M-66.17%733M-65.98%596M
-Cash and cash equivalents 29.55%960M418.12%772M418.12%772M-15.55%619M51.01%900M612.50%741M-48.44%149M-48.44%149M-66.17%733M-65.98%596M
-Short-term investments --700M--1B--1B--------------0--0--------
Receivables 2.75%4.36B-2.19%4.47B-2.19%4.47B0.95%4.24B5.48%4.17B7.93%4.25B4.84%4.57B4.84%4.57B7.52%4.2B6.63%3.96B
-Accounts receivable 2.64%3.93B-3.32%3.84B-3.32%3.84B0.50%3.84B5.22%3.77B7.86%3.83B7.18%3.97B7.18%3.97B9.18%3.82B10.48%3.58B
-Taxes receivable -----59.32%24M-59.32%24M-------------73.54%59M-73.54%59M--------
-Other receivables 3.82%435M7.41%754M7.41%754M5.48%404M8.04%403M8.55%419M16.61%702M16.61%702M-6.59%383M-20.13%373M
-Recievables adjustments allowances ----9.38%-145M9.38%-145M------------5.33%-160M5.33%-160M--------
Inventory -31.95%458M-29.12%465M-29.12%465M1.44%636M16.11%656M18.69%673M36.10%656M36.10%656M50.00%627M35.17%565M
Prepaid assets 1.85%385M-5.74%230M-5.74%230M14.58%338M8.52%395M0.80%378M-3.94%244M-3.94%244M1.03%295M5.20%364M
Current deferred assets 30.86%704M17.22%633M17.22%633M-3.75%590M-5.89%559M-4.61%538M6.51%540M6.51%540M32.11%613M34.69%594M
Other current assets -16.97%274M-18.52%264M-18.52%264M-14.99%312M24.78%282M21.77%330M28.06%324M28.06%324M25.68%367M-18.71%226M
Total current assets 10.23%7.9B21.75%7.9B21.75%7.9B-1.46%6.74B10.54%6.97B23.23%7.17B4.66%6.49B4.66%6.49B-9.34%6.84B-9.27%6.3B
Non current assets
Net PPE 3.84%30.36B3.75%30.35B3.75%30.35B5.92%30.16B6.22%29.91B4.00%29.23B3.62%29.26B3.62%29.26B2.33%28.47B2.19%28.16B
-Gross PPE ----3.86%86.84B3.86%86.84B------------1.90%83.61B1.90%83.61B--------
-Accumulated depreciation -----3.91%-56.48B-3.91%-56.48B-------------1.00%-54.36B-1.00%-54.36B--------
Goodwill and other intangible assets 2.20%27.77B1.71%27.55B1.71%27.55B2.42%27.51B2.79%27.42B2.33%27.17B3.62%27.09B3.62%27.09B12.19%26.86B11.88%26.67B
-Goodwill 1.54%11B0.33%10.94B0.33%10.94B3.02%11.02B2.78%11.02B0.99%10.83B3.16%10.91B3.16%10.91B1.15%10.7B1.37%10.72B
-Other intangible assets 2.64%16.77B2.63%16.61B2.63%16.61B2.03%16.49B2.79%16.4B3.24%16.34B3.94%16.18B3.94%16.18B20.92%16.16B20.26%15.95B
Investments and advances -51.51%322M10.57%910M10.57%910M-46.99%326M-49.13%322M1.53%664M-3.29%823M-3.29%823M-11.76%615M-12.69%633M
Non current accounts receivable 4.62%272M10.23%1.02B10.23%1.02B1.62%251M2.53%243M5.26%260M8.15%929M8.15%929M5.11%247M3.04%237M
Financial assets -----50.21%116M-50.21%116M-------------14.96%233M-14.96%233M--------
Non current deferred assets 17.69%865M27.37%875M27.37%875M59.92%846M67.23%791M55.39%735M39.63%687M39.63%687M6.44%529M-1.87%473M
Defined pension benefit -3.58%3.29B-17.53%2.94B-17.53%2.94B-10.30%3.3B-24.49%3.21B-17.10%3.41B2.51%3.56B2.51%3.56B-2.83%3.68B33.34%4.25B
Other non current assets 34.15%1.8B4.89%279M4.89%279M-5.84%1.24B-8.65%1.19B-2.69%1.34B10.37%266M10.37%266M-27.22%1.32B12.00%1.31B
Total non current assets 2.96%64.67B1.91%64.04B1.91%64.04B3.10%63.64B2.20%63.08B2.10%62.81B3.76%62.84B3.76%62.84B4.98%61.72B7.94%61.73B
Total assets 3.70%72.57B3.77%71.94B3.77%71.94B2.64%70.37B2.97%70.05B3.92%69.98B3.84%69.33B3.84%69.33B3.35%68.56B6.08%68.03B
Liabilities
Current liabilities
Payables 6.01%5.45B-1.17%5.23B-1.17%5.23B-3.30%5.54B0.96%5.45B5.32%5.14B16.62%5.29B16.62%5.29B12.33%5.73B6.89%5.4B
-accounts payable 6.50%4.35B-8.16%3.31B-8.16%3.31B-5.39%4.35B2.33%4.35B6.22%4.08B22.89%3.6B22.89%3.6B11.40%4.6B8.81%4.25B
-Total tax payable 3.66%170M92.06%411M92.06%411M6.08%279M-30.77%207M-13.23%164M24.42%214M24.42%214M62.35%263M-13.08%299M
-Dividends payable 4.22%938M4.96%910M4.96%910M4.96%910M5.26%900M5.39%900M6.91%867M6.91%867M7.04%867M6.08%855M
-Other payable -----1.32%599M-1.32%599M-------------2.41%607M-2.41%607M--------
Current accrued expenses 61.06%335M18.15%332M18.15%332M32.99%258M20.55%305M28.40%208M13.77%281M13.77%281M22.01%194M10.96%253M
Current provisions -----12.16%65M-12.16%65M-------------8.64%74M-8.64%74M--------
Current debt and capital lease obligation 0.61%6.39B47.35%4.85B47.35%4.85B10.35%5.17B82.50%6.04B105.94%6.35B71.79%3.29B71.79%3.29B135.01%4.69B43.62%3.31B
-Current debt 0.61%6.39B59.92%3.77B59.92%3.77B10.35%5.17B82.50%6.04B105.94%6.35B124.57%2.36B124.57%2.36B135.01%4.69B43.62%3.31B
-Current capital lease obligation ----15.48%1.07B15.48%1.07B------------7.64%930M7.64%930M--------
Current deferred liabilities -4.00%817M-5.37%811M-5.37%811M-0.37%798M1.02%793M1.55%851M7.26%857M7.26%857M7.09%801M2.35%785M
Other current liabilities -86.24%15M-50.80%826M-50.80%826M----------109M9.31%1.68B9.31%1.68B--------
Current liabilities 2.74%13.01B5.56%12.11B5.56%12.11B3.13%11.77B29.15%12.59B41.19%12.66B25.85%11.47B25.85%11.47B42.59%11.41B16.71%9.75B
Non current liabilities
Long term provisions -----0.69%286M-0.69%286M-------------11.93%288M-11.93%288M--------
Long term debt and capital lease obligation 13.94%31.28B12.06%31.14B12.06%31.14B10.33%29.53B4.84%28.31B2.15%27.46B2.72%27.78B2.72%27.78B-1.12%26.77B6.23%27.01B
-Long term debt 13.94%31.28B12.06%31.14B12.06%31.14B10.33%29.53B4.84%28.31B2.15%27.46B2.72%27.78B2.72%27.78B-1.12%26.77B6.23%27.01B
Non current deferred liabilities 0.86%5.26B-0.68%5.15B-0.68%5.15B1.61%5.23B-3.81%5.16B-1.81%5.21B5.20%5.18B5.20%5.18B1.44%5.14B12.30%5.36B
Employee benefits -8.98%1.23B-1.53%1.55B-1.53%1.55B-5.26%1.23B5.77%1.34B-7.92%1.35B-23.77%1.57B-23.77%1.57B-22.67%1.29B-26.99%1.27B
Derivative product liabilities ----217.80%607M217.80%607M------------344.19%191M344.19%191M--------
Other non current liabilities 37.69%1.42B67.67%555M67.67%555M36.20%1.31B35.86%1.2B10.49%1.03B8.17%331M8.17%331M-4.74%964M-18.22%884M
Total non current liabilities 11.81%39.19B11.12%39.28B11.12%39.28B9.16%37.3B4.33%36.01B1.34%35.05B1.83%35.35B1.83%35.35B-1.89%34.17B4.57%34.52B
Total liabilities 9.41%52.2B9.76%51.38B9.76%51.38B7.65%49.07B9.79%48.6B9.55%47.71B6.83%46.81B6.83%46.81B6.43%45.58B7.02%44.27B
Shareholders'equity
Share capital -0.83%24.47B-0.74%24.53B-0.74%24.53B-0.49%24.6B-0.33%24.64B-0.15%24.68B0.18%24.71B0.18%24.71B0.30%24.72B1.03%24.72B
-common stock 0.04%20.86B0.09%20.86B0.09%20.86B0.10%20.86B0.11%20.86B0.10%20.85B0.86%20.84B0.86%20.84B0.93%20.84B1.81%20.84B
-Preferred stock -5.57%3.61B-5.25%3.67B-5.25%3.67B-3.68%3.74B-2.68%3.78B-1.49%3.83B-3.32%3.87B-3.32%3.87B-2.95%3.89B-2.95%3.89B
Retained earnings -45.47%-5.71B-51.08%-5.51B-51.08%-5.51B-44.93%-4.72B-70.47%-4.62B-43.28%-3.93B-7.32%-3.65B-7.32%-3.65B-9.86%-3.25B20.35%-2.71B
Paid-in capital 5.26%1.24B7.34%1.26B7.34%1.26B5.85%1.23B4.60%1.2B3.69%1.18B1.30%1.17B1.30%1.17B0.96%1.16B-0.43%1.15B
Gains losses not affecting retained earnings 1,433.33%46M23.64%-42M23.64%-42M-1,550.00%-145M-138.46%-105M-99.15%3M-125.82%-55M-125.82%-55M-96.88%10M33.82%273M
Total stockholders'equity -8.59%20.05B-8.79%20.23B-8.79%20.23B-7.38%20.97B-9.88%21.12B-6.53%21.93B-2.02%22.18B-2.02%22.18B-2.23%22.64B4.49%23.44B
Noncontrolling interests -3.00%323M-2.67%328M-2.67%328M-0.88%337M0.00%328M4.72%333M10.13%337M10.13%337M-3.13%340M-3.53%328M
Total equity -8.51%20.37B-8.70%20.56B-8.70%20.56B-7.28%21.31B-9.75%21.45B-6.38%22.27B-1.86%22.52B-1.86%22.52B-2.25%22.98B4.37%23.77B
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion----------------

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