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Glen Burnie Bancorp  (GLBZ)
Other Ticker:  
 
    Sector  Financial    Industry Regional Banks
 
 
 

Suppliers by GLBZ's Divisions

(Most recent Quarter in Millions of $)



COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Glen Burnie Bancorp GLBZ Total 3.2 0.4 12.74 %
Citigroup Inc C Global Cards 15,750.0 1,359.0 8.63 %
Bank Of America Corp BAC Global Card Services 7,695.0 4,364.0 56.71 %
Convergys Corp. CVG Total CMG 605.7 0.0 -
Cognizant Technology Solutions Corp CTSH Financial services 1,284.0 430.0 33.49 %
Ncr Corp NCR Financial Services 820.0 135.0 16.46 %
Accenture Plc ACN Financial Services 1,638.0 266.0 16.24 %
Ca, Inc. CA Total 1,005.0 357.0 35.52 %
Fiserv Inc FISV Financial 714.0 217.0 30.39 %
Hp Inc. HPQ Enterprise Systems 7,007.0 912.0 13.02 %
International Business Machines Corp IBM Hardware 1,492.0 -24.0 -
International Business Machines Corp IBM Software 5,136.0 1,899.0 36.97 %
Moodys Corp MCO Total Investors Services 571.6 286.6 50.14 %
Pitney Bowes Inc PBI Global Mailing 457.8 170.1 37.15 %
Unisys Corp UIS Total Services 656.0 91.3 13.92 %
Unisys Corp UIS Total Technology 83.2 49.3 59.25 %
Deluxe Corp DLX Financial Services 110.9 23.4 21.07 %
Deluxe Corp DLX Direct Checks 40.0 14.1 35.37 %
Fidelity National Information Services, Inc. FIS Transaction Processing Services 609.1 116.9 19.19 %
News Corp NWS News and Information Services 1,290.0 83.0 6.43 %
S&p Global Inc. MHFI Standard & Poors Ratings 587.0 194.0 33.05 %
Federal Home Loan Mortgage Corp FMCC Total 8,247.0 4,671.0 56.64 %
Euronet Worldwide Inc EEFT Total 637.8 100.4 15.73 %
Bgc Partners, Inc. BGCP Total 827.0 110.5 13.37 %
Cboe Global Markets, Inc. CBOE Total 611.4 60.3 9.86 %
Cowen Inc. COWN Total 178.8 9.8 5.5 %
Gain Capital Holdings, Inc. GCAP Total 159.8 -2.4 -
Intl Fcstone Inc. INTL Total -97,729,000.0 -39.6 -
Marketaxess Holdings Inc MKTX Total 97.3 38.0 39.07 %
Net 1 Ueps Technologies Inc UEPS Total 152.6 19.7 12.93 %
Everi Holdings Inc. EVRI Total 247.3 -4.3 -
Green Dot Corp GDOT Total 201.6 13.6 6.76 %
Blackhawk Network Holdings, Inc HAWK Total 419.3 -7.6 -
Cpi Card Group Inc. PMTS Total 68.0 -0.7 -
Synchrony Financial SYF Total 2,642.0 555.0 21.01 %
Transunion TRU Total 502.1 71.9 14.32 %
Atlantic American Corp AAME Total 44.8 0.7 1.67 %
American National Insurance Co ANAT Total 872.8 76.6 8.78 %
Citizens Inc CIA Total 64.3 3.4 5.36 %
Fbl Financial Group Inc FFG Total 181.6 27.1 14.92 %
Fidelity & Guaranty Life FGL Total 514.0 159.0 30.93 %
First Trinity Financial Corp. FTFC Total 8.7 1.2 14.29 %
Emergent Capital, Inc.. IFT Total 25.6 1.7 6.62 %
National Security Group Inc NSEC Total 16.6 -0.6 -
National Western Life Group, Inc. NWLI Total 204.0 21.8 10.69 %
Protective Life Corp PL Total 1,084.4 82.5 7.61 %
Utg Inc UTGN Total 6.2 0.2 2.68 %
Voya Financial, Inc. VOYA Total 2,550.2 214.0 8.39 %
China United Insurance Service, Inc. CUII Total 16.2 2.0 12.2 %
Horace Mann Educators Corp HMN Total 291.4 2.3 0.78 %
United Fire Group Inc UFCS Total 269.6 -17.9 -
Veritec Inc VRTC Total 0.1 0.3 261.03 %
Diebold Nixdorf, Inc DBD Total 1,122.7 -28.8 -
Verifone Systems, Inc. PAY Total 466.9 -70.8 -
APROX. MARKET   SUBTOTAL -97,658,716 17,014 -



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