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WINN-DIXIE STORES, INC.  (WINN)
Other Ticker:  
 
    Sector  Consumer Non Cyclical    Industry Legacy
   Industry Legacy
   Sector  Consumer Non Cyclical
 
 

Suppliers by WINN's Divisions

(Most recent Quarter in Millions of $)



COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
WINN-DIXIE STORES, INC. WINN Total 2,143.1 -18.0 -
Abbvie Inc. ABBV Total 5,640.0 0.0 -
New Age Beverages Corporation ABRW Total 13.5 0.2 1.21 %
Abbott Laboratories ABT Diagnostics 1,156.0 307.0 26.56 %
Allegiance Bancshares, Inc. ABTX Total 30.0 8.9 29.63 %
Atlantic Capital Bancshares, Inc. ACBI Total 24.8 6.5 26.28 %
Accenture Plc ACN Products 1,883.0 255.0 13.54 %
Allergan Plc AGN Skin Care 135.7 0.0 -
Assurant Inc AIZ Health 572.2 -144.4 -
Ajs Bancorp, Inc. AJSB Total 1.4 0.2 10.96 %
Alamogordo Financial Corp ALMG Total 5.5 0.5 8.76 %
Alarm.com Holdings, Inc. ALRM Total 111.8 -7.7 -
American National Bankshares Inc. AMNB Total 18.2 5.8 31.87 %
American River Bankshares AMRB Total 5.6 1.2 20.65 %
Arrow Financial Corporation AROW Total 27.8 9.3 33.36 %
Avon Products Inc AVP Home 174.4 0.0 -
Avon Products Inc AVP Fragrance 412.3 0.0 -
Bab, Inc. BABB Total 0.6 0.2 31.02 %
Baxter International Inc BAX Medication Delivery 2,464.0 310.0 12.58 %
Baxter International Inc BAX BioScience 1,429.0 427.0 29.88 %
Baxter International Inc BAX Renal 949.0 0.0 -
Becton Dickinson & Co BDX Diagnostic Systems 302.0 0.0 -
Amplify Snack Brands, Inc. BETR Total 94.9 0.7 0.71 %
Bankfinancial Corp BFIN Total 14.6 3.7 25.67 %
B&g Foods, Inc. BGS Total 422.6 32.0 7.57 %
Bioamber Inc. BIOA Total 5.4 -84.1 -
Craft Brew Alliance, Inc. BREW Total 52.9 0.1 0.12 %
Bridgford Foods Corp BRID Total 38.5 1.4 3.76 %
BERKSHIRE HATHAWAY INC. BRK McLane Company 12,264.0 106.0 0.86 %
Brookline Bancorp Inc BRKL Total 66.7 23.2 34.84 %
Anheuser-busch Inbev Sa BUD Domestic Beer 3,465.6 555.4 16.03 %
Anheuser-busch Inbev Sa BUD Total 16,903.0 3,595.0 21.27 %
Blue Buffalo Pet Products, Inc. BUFF Total 337.0 53.6 15.91 %
Cordia Bancorp Inc BVA Total 2.2 -0.1 -
Conagra Brands Inc. CAG Total Consumer Foods 1,859.7 303.8 16.34 %
Conagra Brands Inc. CAG Food Ingredients 1,225.8 154.1 12.57 %
Conagra Brands Inc. CAG Ralcorp Frozen Bakery Products 238.6 20.7 8.68 %
Cardinal Health Inc CAH Pharmaceutical 24,675.0 534.0 2.16 %
Cardinal Health Inc CAH Medical 2,855.0 103.0 3.61 %
Cca Industries Inc CAW Total 5.3 0.4 7.08 %
Commerce Bancshares Inc CBSH Total 321.5 114.1 35.48 %
Cabot Corp CBT Total 818.0 -163.0 -
Celanese Corporation CE Total 1,771.0 402.0 22.7 %
Celsius Holdings, Inc. CELH Total 16.6 -4.1 -
Cephalon, Inc. CEPH Total 730.1 0.0 -
CareFusion Corporation CFN Medical 592.0 124.0 20.95 %
CareFusion Corporation CFN Total Medical Systems 528.0 84.0 15.91 %
Cullen CFR Total 326.7 117.8 36.07 %
Church & Dwight Co Inc CHD Total 1,037.6 146.3 14.1 %
Cheviot Financial Corp. CHEV Total 4.4 0.9 20.63 %
Cigna Corporation CI Health Care 8,090.0 544.0 6.72 %
Colgate Palmolive Co CL Fabric & Home Care Total 3,453.0 1,003.0 29.05 %
Clearwater Paper Corp CLW Total 426.5 34.4 8.08 %
Clorox Co CLX North America 1,274.0 427.0 33.52 %
Clorox Co CLX International 267.0 -3.0 -
Clorox Co CLX Household 580.0 17.0 2.93 %
Clorox Co CLX Cleaning 465.0 -93.0 -
Clorox Co CLX Lifestyle 245.0 -87.0 -
Community First Inc CMFT Total 4.5 0.7 16.58 %
Commercial Bancshares Inc Oh CMOH Total 4.0 0.4 11.01 %
Congaree Bancshares Inc CNRB Total 1.2 0.0 0.14 %
Coca Cola Bottling Co Consolidated COKE Total 1,211.7 27.0 2.22 %
Cott Corp COT Total 609.3 10.0 1.64 %
Campbell Soup Co CPB U.S. Soup, Sauces & Beverages 778.0 193.0 24.81 %
Campbell Soup Co CPB Biscuits 553.0 73.0 13.2 %
Campbell Soup Co CPB International Soup 354.0 41.0 11.58 %
Campbell Soup Co CPB U.S. Simple Meals 505.0 118.0 23.37 %
Campbell Soup Co CPB International Simple Meals & Beverages 142.0 11.0 7.75 %
Campbell Soup Co CPB North America Foodservice 328.0 28.0 8.54 %
Campbell Soup Co CPB U.S. Beverages 165.0 33.0 20 %
Carters Inc CRI Total 923.9 71.8 7.77 %
Cirrus Logic Inc CRUS Total 366.3 58.2 15.88 %
Chase General Corp CSGN Total 0.3 -0.1 -
China Ginseng Holdings Inc CSNG Total 0.0 -0.6 -
Cti Industries Corp CTIB Total 16.0 0.2 1.29 %
Commerce Union Bancshares, Inc. CUBN Total 10.6 1.8 17.29 %
COVENTRY HEALTH CARE, INC. CVH Total 3,535.0 658.1 18.62 %
Crimson Wine Group, Ltd CWGL Total 16.8 0.8 4.55 %
Citizens Bancshares Corp CZBS Total 4.2 0.5 13.05 %
Citizens Community Bancorp Inc. CZWI Total 8.6 0.5 5.85 %
Darling Ingredients Inc. DAR Total 812.6 -5.1 -
Dupont E I De Nemours & Co DD Nutrition & Health 810.0 317.0 39.14 %
Dover Corp DOV Refrigeration & Industrial 492.5 0.0 -
Keurig Dr Pepper Inc. DPS Beverage Concentrates 308.0 204.0 66.23 %
Dsp Group Inc DSPG Total 32.6 0.4 1.24 %
Ecolab Inc. ECL U.S. Cleaning & Sanitizing 733.3 144.1 19.65 %
Ecolab Inc. ECL International Cleaning & Sanitizing 833.1 113.5 13.62 %
Ecolab Inc. ECL Global Industrial 1,268.0 200.5 15.81 %
Ecolab Inc. ECL Global Institutional 1,139.4 263.5 23.13 %
Channeladvisor Corp ECOM Total 32.3 -2.3 -
Eastman Chemical Co EMN CASPI Segment 486.0 114.0 23.46 %
Eastman Chemical Co EMN Additives & Functional Products 602.0 126.0 20.93 %
Embassy Bancorp, Inc. EMYB Total 8.7 2.7 30.98 %
Equity Bancshares Inc EQBK Total 36.9 10.3 27.98 %
Eastside Distilling, Inc. ESDI Total 1.5 -1.9 -
Eastside Distilling, Inc. ESDID Total 0.8 -1.4 -
Essense Water, Inc. ESW Total 0.0 0.0 57.72 %
Everbridge, Inc. EVBG Total 38.9 -8.5 -
Edwards Lifesciences Corp EW Total 906.6 225.9 24.92 %
Farmer Brothers Co FARM Total 147.4 -3.0 -
Fbec Worldwide Inc. FBEC Total 0.0 -0.3 -
First Business Financial Services, Inc. FBIZ Total 22.5 5.3 23.55 %
First Capital Inc. FCAP Total 8.3 2.5 30.62 %
Fidelity D & D Bancorp Inc FDBC Total 9.6 2.9 29.84 %
National Beverage Corp. FIZZ Total 292.6 48.8 16.69 %
Flowers Foods Inc FLO Total 923.4 39.6 4.29 %
F&m Bank Corp FMBM Total 9.7 2.5 26.03 %
First Nbc Bank Holding Co FNBC Total 43.5 4.0 9.1 %
Fncb Bancorp, Inc. FNCB Total 9.4 1.9 19.63 %
Franklin Financial Services Corp FRAF Total 13.2 4.0 30.25 %
FOREST LABORATORIES, INC. FRX Total 878.4 18.0 2.04 %
Forevergreen Worldwide Corp FVRG Total 2.7 -0.4 -
First National Corp FXNC Total 8.9 2.5 27.55 %
GENZYME CORPORATION. GENZ Total 1,151.9 0.0 -
Gevo, Inc. GEVO Total 8.6 -6.9 -
General Mills Inc, GIS U.S. Retail 2,531.2 629.7 24.88 %
General Mills Inc, GIS Bakeries & Foodservice 477.7 79.8 16.71 %
General Mills Inc, GIS International 1,199.0 117.0 9.76 %
Golden Enterprises Inc GLDC Total 35.0 1.0 2.75 %
W R Grace & Co GRA Total 494.9 15.9 3.21 %
Hain Celestial Group Inc. HAIN Total 560.8 -37.4 -
Hills Bancorporation HBIA Total 28.6 10.1 35.15 %
Hcsb Financial Corp HCFB Total 3.0 0.3 9.65 %
Hudson Technologies Inc HDSN Total 42.4 -3.1 -
Life On Earth, Inc. HISP Total 1.4 -1.3 -
Right On Brands, Inc. HLTK Total 0.1 -1.2 -
H. J. HEINZ COMPANY HNZ Ketchup Condiments & Sauces 1,419.5 0.0 -
H. J. HEINZ COMPANY HNZ Convenience Meals 1,054.8 0.0 -
H. J. HEINZ COMPANY HNZ U.S. Foodservice 362.8 55.0 15.17 %
Hormel Foods Corp HRL Grocery Products 388.1 53.1 13.68 %
Heartland Express Inc HTLD Total 165.7 32.2 19.46 %
Hawkins Inc HWKN Total 145.3 7.4 5.1 %
County Bancorp, Inc. ICBK Total 11.8 3.5 29.89 %
Investors Heritage Capital Corp IHRC Total 15.9 0.8 4.75 %
Ingredion Inc INGR Total 1,450.0 98.0 6.76 %
Innospec Inc. IOSP Total 363.1 20.6 5.67 %
Inter Parfums Inc IPAR Total 177.2 24.4 13.78 %
Isabella Bank Corp ISBA Total 15.1 3.7 24.43 %
Investors Bancorp, Inc. ISBC Total 175.2 54.2 30.95 %
Integral Technologies Inc ITKG Total 0.0 -1.0 -
Jammin Java Corp. JAMN Total -3.1 -3.4 -
Janel Corp JANL Total 22.5 -0.0 -
Sanfilippo John B & Son Inc JBSS Total 204.3 6.6 3.23 %
J&j Snack Foods Corp JJSF Total 306.2 26.1 8.53 %
Johnson & Johnson JNJ Total Consumer 3,483.0 1,355.0 38.9 %
Johnson & Johnson JNJ Total Pharmaceutical 7,946.0 4,543.0 57.17 %
Johnson & Johnson JNJ Med. Dev. & Diag. 6,358.0 3,013.0 47.39 %
Jones Soda Co JSDA Total 3.9 -0.4 -
Juniata Valley Financial Corp JUVF Total 6.4 1.4 21.68 %
Kellogg Co K U.S. Morning Foods & Kashi 762.0 110.0 14.44 %
Kellogg Co K U.S. Snacks 795.0 62.0 7.8 %
Kellogg Co K U.S. Specialty 281.0 63.0 22.42 %
Kraft Foods Inc. KFT North America Beverages 779.0 138.0 17.72 %
Kraft Foods Inc. KFT North America Cheese & Foodservice 2,175.0 331.0 15.22 %
Kraft Foods Inc. KFT North America Convenient Meals 807.0 93.0 11.52 %
Kraft Foods Inc. KFT North America Grocery 852.0 309.0 36.27 %
Kraft Foods Inc. KFT North America Snacks & Cereals 1,540.0 204.0 13.25 %
Kraft Foods Inc. KFT U.S. Beverages 708.0 98.0 13.84 %
Kraft Foods Inc. KFT North America Foodservice 1,173.0 0.0 -
Kraft Heinz Co KHC Total 6,378.0 628.0 9.85 %
Kimberly Clark Corp KMB Business-to-Business 822.0 145.0 17.64 %
Knowles Corp KN Total 188.4 4.6 2.44 %
Knight-swift Transportation Holdings Inc. KNX Total 1,346.6 106.3 7.9 %
Coca Cola Co KO North America 5,635.0 681.0 12.09 %
Koss Corp KOSS Total 5.8 0.1 1.17 %
Konared Corp KRED Total 0.7 -1.0 -
Kraft Foods Inc. KRFT Beverages 702.0 123.0 17.52 %
Kraft Foods Inc. KRFT Cheese 1,020.0 224.0 21.96 %
Kraft Foods Inc. KRFT Refrigerated Meals 833.0 97.0 11.64 %
Kraft Foods Inc. KRFT Grocery 981.0 274.0 27.93 %
Kraft Foods Inc. KRFT International & Foodservice 816.0 110.0 13.48 %
Lancaster Colony Corp LANC Total 316.7 39.0 12.33 %
Lnb Bancorp Inc LNBB Total 11.6 2.1 17.96 %
Snyders-lance, Inc. LNCE Total 1,638.0 104.3 6.36 %
Landec Corp Ca LNDC Total 124.7 0.2 0.15 %
Lrad Corp LRAD Total 7.5 -0.1 -
Long Blockchain Corp. LTEA Total 0.5 -3.6 -
Lifeway Foods, Inc. LWAY Total 27.1 0.2 0.63 %
Lsb Industries Inc LXU Total 79.8 -26.2 -
Lyondellbasell Industries N.v. LYB Total O&P 4,712.0 1,390.0 29.5 %
Mckesson Corp MCK Pharmaceutical Solutions 46,469.0 926.0 1.99 %
Mckesson Corp MCK Medical-Surgical Solutions 1,571.0 0.0 -
Mondelez International, Inc. MDLZ Biscuits 2,904.0 0.0 -
Mondelez International, Inc. MDLZ Beverages 342.0 0.0 -
Mondelez International, Inc. MDLZ Cheese & Grocery 634.0 0.0 -
Medifast Inc MED Total 139.2 13.8 9.9 %
Mendocino Brewing Co Inc MENB Total 7.0 -0.5 -
Metlife Inc MET INTERNATIONAL 3,187.0 333.0 10.45 %
Mackinac Financial Corp MFNC Total 11.6 0.4 3.42 %
Welbilt, Inc. MFS Total 367.5 75.9 20.65 %
Mgp Ingredients Inc MGPI Total 95.0 8.8 9.3 %
Mccormick & Co Inc MKC Consumer Food 630.5 114.6 18.18 %
Mamamancinis Holdings, Inc. MMMB Total 5.6 -0.2 -
Monster Beverage Corp MNST Total 1,016.2 267.7 26.35 %
Mojo Organics, Inc. MOJO Total 0.5 -0.1 -
Momentive Performance Materials Inc. MPMQ Total 599.0 3.0 0.5 %
Marten Transport Ltd MRTN Total 199.6 15.3 7.64 %
Mannatech Inc MTEX Total 43.0 -1.7 -
Manitowoc Co Inc MTW Foodservice equipment 425.3 70.4 16.55 %
Mylan N.v. MYL Total 2,862.4 176.7 6.17 %
Natural Alternatives International Inc NAII Total 39.2 2.9 7.35 %
National Bank Holdings Corp NBHC Total 67.0 18.2 27.21 %
National Commerce Corp NCOM Total 43.8 12.7 28.89 %
Ncr Corp NCR Retail & Hospitality 574.0 45.0 7.84 %
Ncr Corp NCR Hospitality 177.0 30.0 16.95 %
Newmarket Corp NEU Total 563.2 58.5 10.38 %
Newstar Financial, Inc. NEWS Total 19.6 4.6 23.35 %
Nightfood Holdings, Inc. NGTF Total 0.1 -1.7 -
Nates Food Co. NHMD Total 0.0 -0.2 -
Nicolet Bankshares Inc NICO Total 27.6 6.3 22.73 %
Northern Technologies International Corporation NTIC Total 12.9 2.3 17.83 %
Nutraceutical International Corp NUTR Total 65.0 1.9 2.86 %
New Peoples Bankshares Inc NWPP Total 7.8 -0.0 -
News Corp NWS News and Information Services 1,290.0 83.0 6.43 %
Omega Protein Corp OME Total 90.3 0.9 1.02 %
Ominto, Inc. OMNT Total 14.4 -1.6 -
Ourpets Co OPCO Total 6.5 0.2 2.53 %
Pacific Ventures Group, Inc. PACV Total 1.2 -0.3 -
Prosperity Bancshares Inc PB Total 185.6 82.5 44.46 %
Pen Inc. PENC Total 1.6 -0.3 -
Pepsico Inc PEP Frito-Lay North America 3,555.0 1,085.0 30.52 %
Pepsico Inc PEP PepsiCo Beverages North America 5,360.0 860.0 16.04 %
Pepsico Inc PEP Quaker Foods North America 583.0 150.0 25.73 %
Pepsico Inc PEP PepsiCo International 3,056.0 418.0 13.68 %
Principal Financial Group Inc PFG Life & Health Insurance 853.6 114.5 13.41 %
Performance Food Group Company PFGC Total 4,539.7 28.2 0.62 %
Procter & Gamble Co PG Fabric & Home Care 5,251.0 1,120.0 21.33 %
Procter & Gamble Co PG Health Care 1,796.0 448.0 24.94 %
Pilgrim Bancshares, Inc. PLRM Total 2.2 0.1 2.5 %
Pulse Beverage Corp PLSB Total 0.4 -0.9 -
Prime Meridian Holding Co PMHG Total 3.8 1.0 26.7 %
Polyone Corp POL Total 883.0 50.2 5.69 %
Post Holdings, Inc. POST Total 1,608.1 96.8 6.02 %
Elizabeth Arden Inc RDEN Total 192.7 -23.2 -
Reeds, Inc. REED Total 9.4 -3.4 -
Remedent, Inc. REMI Total 0.4 -0.2 -
Revlon Inc REV Total 655.4 -11.1 -
Rocky Mountain Chocolate Factory, Inc. RMCF Total 7.8 0.8 9.63 %
Rocky Mountain High Brands, Inc. RMHB Total 0.1 0.0 -
Castle Brands Inc ROX Total 23.3 -0.0 -
Boston Beer Co Inc SAM Total 306.9 38.0 12.39 %
Southeastern Bank Financial Corp SBFC Total 19.3 4.8 24.78 %
Sealed Air Corp SEE Diversey 501.8 66.4 13.23 %
Smithfield Foods Inc SFD Total 3,538.6 -143.8 -
Steven Madden, Ltd. SHOO Total 364.4 24.8 6.8 %
Skullcandy, Inc. SKUL Total 57.3 -1.6 -
Sara Lee Corporation SLE Sara Lee Meats 726.0 74.0 10.19 %
Sara Lee Corporation SLE Sara Lee Bakery 30.0 -2.0 -
Sara Lee Corporation SLE Beverage 996.0 119.0 11.95 %
Sara Lee Corporation SLE Foodservice 260.0 17.0 6.54 %
Sara Lee Corporation SLE North American Retail 675.0 72.0 10.67 %
Scotts Liquid Gold Inc SLGD Total 10.8 1.3 11.88 %
Smartfinancial Inc. SMBK Total 20.4 4.3 21.21 %
Inventure Foods, Inc. SNAK Total 27.4 -25.4 -
Sun Bancorp Inc SNBC Total 18.9 2.7 14.52 %
Security National Financial Corp SNFCA Total 68.9 3.2 4.7 %
Sunnyside Bancorp, Inc. SNNY Total 0.6 0.0 3.21 %
Skypeople Fruit Juice, Inc SPU Total 3.0 -2.5 -
Square 1 Financial Inc SQBK Total 35.3 9.9 28.12 %
Surrey Bancorp SRYB Total 3.5 1.1 32.11 %
Sunopta Inc. STKL Total 308.4 -4.5 -
Constellation Brands, Inc. STZ Beer 1,985.3 320.1 16.12 %
Swift Transportation Co SWFT Total 993.1 26.3 2.65 %
Swisher Hygiene Inc. SWSH Total 49.7 -7.8 -
Atlas Technology International, Inc. SWTS Total 2.2 -11.1 -
Synchrony Financial SYF Total 2,818.0 671.0 23.81 %
Molson Coors Brewing Co TAP Total 3,625.1 345.6 9.53 %
Trident Brands Incorporated TDNT Total 1.6 -1.8 -
Treehouse Foods, Inc. THS Total 1,394.0 5.4 0.39 %
Truett-hurst, Inc. THST Total -11.9 0.6 -
Thermo Fisher Scientific Inc. TMO Laboratory Sciences 1,638.2 249.6 15.24 %
Tootsie Roll Industries Inc TR Total 182.3 26.1 14.31 %
True Drinks Holdings, Inc. TRUU Total 1.6 -3.1 -
Tumi Holdings, Inc. TUMI Total 147.5 13.2 8.95 %
Tupperware Brands Corp TUP Total 485.8 39.1 8.05 %
Mufg Americas Holdings Corporation UB Total 1,394.0 300.0 21.52 %
United Bancshares Inc UBOH Total 9.4 1.8 19.03 %
United Bancshares Inc USBI Total 9.0 1.2 13.46 %
United Technologies Corp UTX UTC Climate Controls & Security 4,279.0 771.0 18.02 %
Uwharrie Capital Corp UWHR Total 7.1 0.6 9 %
Vodka Brands Corp VBCO Total 0.0 -0.1 -
Vodka Brands Corp VDKB Total 13.7 -0.2 -
Washington Trust Bancorp Inc WASH Total 48.3 17.5 36.24 %
Wilson Bank Holding Co WBHC Total 28.1 8.0 28.38 %
Wd 40 Co WDFC Total 102.6 21.6 21.08 %
Watson Pharmaceuticals Inc WPI Total 1,285.2 333.9 25.98 %
Wsfs Financial Corp WSFS Total 101.3 38.9 38.44 %
West Bancorporation Inc WTBA Total 18.2 7.1 39.19 %
Willamette Valley Vineyards Inc WVVI Total 5.8 0.8 13.8 %
Whitewave Foods Co WWAV Total 4,198.1 62.1 1.48 %
Agritech Worldwide, Inc. ZTHO Total 0.4 -0.7 -
APROX. MARKET   SUBTOTAL 313,267 37,985 12.13 %



     
       
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