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MARKET VALUE: Share price on Nov. 30, 2004, multiplied by the latest available common shares outstanding. RECENT SHARE PRICE: Price for a single share of a company's most widely traded issue of common stock as of the close of trading Nov. 30, 2004. PRICE CHANGE: Percentage change in the company's most widely traded common-stock issue since Dec. 31, 2003. EARNINGS GROWTH: Compound annual growth rate, calculated using the 1999 and 2003 restated basic earnings per share (unless noted otherwise). RETURN ON EQUITY: The latest available net income available for shareholders divided by total equity. PRICE AS PERCENTAGE OF BOOK VALUE: Share price on Nov. 30, 2004, as a percentage of the latest available book value per share, which is the sum of common stock at nominal balance-sheet value, capital surplus, and retained earnings as shown in company accounts divided by the number of shares outstanding. P-E RATIO: Price-earnings ratio based on the latest available 12 months earnings and Nov. 30, 2004, stock price. PRICE-SALES RATIO: Based on the latest available 12 months sales and the Nov. 30, 2004, stock price. PRICE-EARNINGS TO GROWTH RATE: The price-earnings ratio based on the 2003 earnings estimate and Nov. 30, 2004, stock price, divided by the long-term earnings growth rate. DIVIDEND YIELD: Indicated annual dividend as a percent of the Nov. 30, 2004, stock price. EARNINGS PER SHARE: Diluted earnings per share-net income (including proceeds from certain convertible securities, warrants, and options that are common-stock equivalents, but excluding extraordinary profits or losses) divided by number of common and common equivalent shares. EARNINGS PER SHARE ESTIMATES: Analysts' consensus estimates for 2004 and 2005 compiled by Thomson First Call. LONG-TERM EARNINGS GROWTH: The median estimate by analysts of the annual growth rate of earnings compiled by Thomson Financial/First Call. For most companies, this is for the next 3-5 years. S&P EQUITY RANKING: A measure of a company's historical growth of earnings and dividends, using Standard & Poor's computerized scoring system based on the most recent 10 years of earnings per share and dividends. INDUSTRY CODE: 1. Automobiles & Components 2. Consumer Durables & Apparel 3. Hotels Restaurants & Leisure 4. Media 5. Retailing 6. Food & Staples Retailing 7. Food Beverage & Tobacco 8. Household & Personal Products 9. Energy 10. Banks 11. Diversified Financials 12. Insurance 13. Real Estate 14. Health Care Equipment & Services 15. Pharmaceuticals & Biotechnology 16. Capital Goods 17. Commercial Services & Supplies 18. Transportation 19. Software & Services 20. Semiconductors & Semiconductor Equipment 21. Technology Hardware & Equipment 22. Materials 23. Telecommunication Services 24. Utilities Data compiled by Compustat from sources such as statistical services, registration statements, and company reports that Compustat believes to be reliable but are not guaranteed by Comptstat or BusinessWeek as to correctness or completeness. This material is not an offer to buy or sell any security. Additional data: Thomson First Call. |
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