Northrop Grumman Corporation (NYSE:NOC) shares increased 1.38% in last trading session and ended the day at $192.68. NOC Gross Margin is 24.00% and its has a return on assets of 8.10%. Northrop Grumman Corporation (NYSE:NOC) quarterly performance is 3.69%.
Northrop Grumman (NYSE: NOC) declared a quarterly dividend of $0.80 per share, or $3.2 annualized. The dividend will be payable on March 16, 2016, to stockholders of record on February 29, 2016, with an ex-dividend date of February 25, 2016.
Alexandria Real Estate Equities, Inc. (NYSE:ARE) ended the last trading day at $74.76. Company weekly volatility is calculated as 2.58% and price to cash ratio as 43.85. Alexandria Real Estate Equities, Inc. (NYSE:ARE) showed a weekly performance of 2.62%.
Alexandria Real Estate Equities Inc (NYSE:ARE) had its target price decreased by equities researchers at JPMorgan Chase & Co. from $106.00 to $97.00 in a research report issued on Tuesday, Market Beat.com reports. The brokerage currently has an “overweight” rating on the real estate investment trust’s stock. JPMorgan Chase & Co.’s price objective suggests a potential upside of 30.48% from the company’s previous close.
On 18 February, McGraw Hill Financial, Inc. (NYSE:MHFI) shares fell -1.18% and was closed at $87.82. MHFI EPS growth in last 5 year was 17.70%. McGraw Hill Financial, Inc. (NYSE:MHFI) year to date (YTD) performance is -10.91%.
McGraw Hill Financial (NYSE:MHFI) has won three awards in the International AVA Digital Awards 2016 competition. Administered by the Association of Marketing and Communication Professionals, the competition recognizes excellence by creative professionals responsible for the planning, creative, design and production of digital communications including digital engagement campaigns, audio and video production, website development, social media interaction, and mobile marketing. The McGraw Hill Financial website received a Platinum Award in the Website/Corporation category, and the McGraw Hill Financial Global Institute and S&P Ratings Global Financial Literacy Survey both won Gold Awards in the Creativity/Website Interior category.
Ideal Power, Inc. (NASDAQ:IPWR) shares fell -6.43% in last trading session and ended the day at $4.66. IPWR Gross Margin is 5.30% and its has a return on assets of -59.00%. Ideal Power, Inc. (NASDAQ:IPWR) quarterly performance is -38.93%.
Ideal Power, Inc. (NASDAQ:IPWR) reported 2015 product revenue increased 250% to $4.3 million compared to 2014 product revenue of $1.2 million. 2015 gross margins were 9% compared to negative 22% gross margins in 2014. 2015 net loss was $10.4 million compared to $6.9 million in 2014 on higher research and development expenses.
The Coca-Cola Company (NYSE:KO) caters to the Consumer Goods space. It has a net profit margin of 16.60% and weekly performance is 2.49%. On the last day of trading company shares ended up at $43.61. The Coca-Cola Company (NYSE:KO) distance from 50-day simple moving average (SMA50) is 2.30%.
The Board of Directors of The Coca-Cola Company (NYSE:KO) approved the Company’s 54th consecutive annual dividend increase, raising the quarterly dividend 6 percent from 33 cents to 35 cents per common share. This is equivalent to an annual dividend of $1.40 per share, up from $1.32 per share in 2015. The first quarterly dividend is payable April 1, 2016, to shareowners of record as of March 15, 2016.