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May 27, 2021
The pending Ninth Circuit appeal was held in abeyance pending AMG’s outcome. Following the AMG decision, the parties filed supplemental briefs regarding how the appeal should proceed. Both the FTC and defendants conceded that the monetary judgment under 13(b) should be vacated. The FTC argued AMG has no other effect; defendants disagree. The appeal remains pending. FTC v. American Future Systems, Inc., No. 20-cv-02266 (E.D. Pa.) On April 30, defendants filed a notice of supplemental author...
May 12, 2021
/PRNewswire/ -- Below is the April 2021 Monthly Update for the Liberty All-Star Growth Fund, Inc. (NYSE: ASG) Liberty All-Star Growth Fund, Inc. Ticker: ASG...
May 5, 2021
FleetCor Technologies: Q1 Earnings Snapshot May 5, 2021 FacebookTwitterEmail ATLANTA (AP) _ FleetCor Technologies Inc. (FLT) on Wednesday reported first-quarter profit of $184.2 million. The Atlanta-based company said it had net income of $2.15 per share. Earnings, adjusted for one-time gains and costs, were $2.82 per share. The results beat Wall Street expectations. The average estimate of nine analysts surveyed by Zacks Investment Research was for earnings of $2.70 per share. The provider of ...
May 5, 2021
FleetCor Technologies, Inc. Q1 adjusted earnings Beat Estimates WASHINGTON (dpa-AFX) - FleetCor Technologies, Inc. (FLT) reported earnings for its first quarter that climbed from last year. The companys bottom line totaled $184.24 million, or $2.15 per share. This compares with $147.06 million, or $1.67 per share, in last years first quarter. Excluding items, FleetCor Technologies, Inc. reported adjusted earnings of $242.15 million or $2.82 per share for the period. Analysts had expected the c...
March 11, 2021
None The net asset value (NAV) of a closed-end fund is the market value of the underlying investments (i.e., stocks and bonds) in the Funds portfolio, minus liabilities, divided by the total number of Fund shares outstanding. However, the Fund also has a market price; the value at which it trades on an exchange. If the market price is above the NAV the Fund is trading at a premium. If the market price is below the NAV the Fund is trading at a discount. Performance returns for the Fund are tota...
December 14, 2020
Xilinx, Inc. The net asset value (NAV) of a closed-end fund is the market value of the underlying investments (i.e., stocks and bonds) in the Funds portfolio, minus liabilities, divided by the total number of Fund shares outstanding. However, the Fund also has a market price; the value at which it trades on an exchange. If the market price is above the NAV the Fund is trading at a premium. If the market price is below the NAV the Fund is trading at a discount. Performance returns for the Fund a...