earning
symIBM
exchLSE
200DayMA121.44
50DayMA124.36
52WeekHigh158.76
52WeekLow91.18
OperatingMarginTTM0.118
PEGRatio7.908
PERatio14.18
PayoutRatio0.735
Beta1.17
BookValue23.07
TrailingPE14.18
DilutedEpsTTM8.811
DividendDate0000-00-00
DividendShare6.52
DividendYield0.052
EBITDA15.57B
EPSEstimateCurrentQuarter0
EPSEstimateCurrentYear
EPSEstimateNextQuarter0
EPSEstimateNextYear
EarningsShare8.811
EnterpriseValueEbitda11.05
EnterpriseValueRevenue2.210
ExDividendDate2020-08-07
business
PriceBookMRQ5.422
PriceSalesTTM 1.481
ProfitMargin0.104
QuarterlyEarningsGrowthYOY -0.45
QuarterlyRevenueGrowthYOY-0.05
ReturnOnAssetsTTM0.036
ReturnOnEquityTTM0.409
RevenuePerShareTTM85.05
RevenueTTM75.49B
ShortRatio0
SharesShort0
SharesShortPriorMonth0
ShortPercent0
ShortPercentFloat0
ShortPercentOutstanding0
FiscalYearEnd December
ForwardAnnualDividendRate6.52
ForwardAnnualDividendYield0.052
ForwardPE 10.20
PercentInstitutions58.55
SharesFloat889.18M
SharesOutstanding890.57M
FullTimeEmployees352.6K
GrossProfitTTM36.48B
WallStreetTargetPrice
MarketCapitalization 105.25B
MarketCapitalizationMln105.25K
PercentInsiders0.108
fundamentals
AddressOne New Orchard Road, Armonk, NY, United States, 10504
CIK
CodeIBM
CountryISOUK
CountryNameUK
CurrencyCodeUSD
CurrencyNameUS Dollar
CurrencySymbol$
DescriptionInternational Business Machines Corporation operates as an integrated solutions and services company worldwide. Its Cloud & Cognitive Software segment offers software for vertical and domain-specific solutions in health, financial services, and Internet o
Exchange LSE
GicGroup
GicIndustry
GicSector
GicSubIndustry
IPODate
ISIN
IndustryInformation Technology Services
InternationalDomestic
LastSplitDate0000-00-00
LastSplitFactor
LogoURL/img/logos/LSE/IBM.png
MostRecentQuarter2020-06-30
NameInternational Business Machines Corporation
EmployerIdNumber
Phone914 499 1900
SectorTechnology
Type Common Stock
UpdatedAt 2020-09-21
WebURLhttp://www.ibm.com
Category
CUSIP
Fund_Summary
fiscal_Year_End
Fund_Family
isDelisted
DelistedDate
HomeCategory
Fund_Style
Fund_Category