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Dataset List: Compustat (COMP)
Dataset List → Compustat (COMP) → Merged Fundamental Quarterly File (FUNDQ)
Position
Variable
Name
Type Length Description
1 gvkey
Char
6 Global Company Key
2 datadate
Num
8 Data Date
3 fyearq
Num
8 Fiscal Year
4 fqtr
Num
8 Fiscal Quarter
5 fyr
Num
8 Fiscal Year-end Month
6 indfmt
Char
7 consol
Char
2 Level of Consolidation - Company Interim Descriptor
8 popsrc
Char
1 Population Source
9 datafmt
Char
12 Industry Format
12 Data Format
10 tic
Char
8 Ticker Symbol
11 cusip
Char
9 CUSIP
12 conm
Char
13 ACCTCHGQ
Char
8 Adoption of Accounting Changes
15 ADRRQ
Num
8 ADR Ratio
16 AJEXQ
Num
8 Adjustment Factor (Company) - Cumulative by Ex-Date
17 AJPQ
Num
8 Adjustment Factor (Company) - Cumulative byPay-Date
18 BSPRQ
Char
8 Balance Sheet Presentation
19 COMPSTQ
Char
8 Comparability Status
20 CURCDQ
Char
3 ISO Currency Code
21 CURNCDQ
Char
3 Native Currency Code
22 CURRTRQ
Num
8 Currency Translation Rate
23 CURUSCNQ
Num
8 US Canadian Translation Rate - Interim
24 DATACQTR
Char
6 Calendar Data Year and Quarter
25 DATAFQTR
Char
6 Fiscal Data Year and Quarter
26 FINALQ
Char
2 Final Indicator Flag
27 OGMQ
Char
8 OIL & GAS METHOD
31 RP
Char
2 Reporting Periodicity
32 SCFQ
Num
8 Cash Flow Model
33 SRCQ
Num
8 Source Code
34 STALTQ
Char
2 Status Alert
35 UPDQ
Num
8 Update Code
36 apdedateq
Num
8 Actual Period End date
37 fdateq
Num
8 Final Date
57 Company Name
38 pdateq
Num
8 Preliminary Date
39 rdq
Num
8 Report Date of Quarterly Earnings
41 ACCHGQ
Num
8 Accounting Changes - Cumulative Effect
43 ACOMINCQ
Num
8 Accumulated Other Comprehensive Income (Loss)
44 ACOQ
Num
8 Current Assets - Other - Total
46 ACTQ
Num
8 Current Assets - Total
48 ALTOQ
Num
8 Other Long-term Assets
50 ANCQ
Num
8 Non-Current Assets - Total
51 ANOQ
Num
8 Assets Netting & Other Adjustments
52 AOCIDERGLQ Num
8 Accum Other Comp Inc - Derivatives Unrealized Gain/Loss
53 AOCIOTHERQ Num
8 Accum Other Comp Inc - Other Adjustments
54 AOCIPENQ
8 Accum Other Comp Inc - Min Pension Liab Adj
Num
55 AOCISECGLQ Num
8 Accum Other Comp Inc - Unreal G/L Ret Int in Sec Assets
56 AOL2Q
Num
8 Assets Level2 (Observable)
57 AOQ
Num
8 Assets - Other - Total
60 APQ
Num
8 Account Payable/Creditors - Trade
61 AQAQ
Num
8 Acquisition/Merger After-Tax
62 AQDQ
Num
8 Acquisition/Merger Diluted EPS Effect
63 AQEPSQ
Num
8 Acquisition/Merger Basic EPS Effect
64 AQPL1Q
Num
8 Assets Level1 (Quoted Prices)
65 AQPQ
Num
8 Acquisition/Merger Pretax
67 ARCEDQ
Num
8 As Reported Core - Diluted EPS Effect
69 ARCEEPSQ
Num
8 As Reported Core - Basic EPS Effect
70 ARCEQ
Num
8 As Reported Core - After-tax
72 ATQ
Num
8 Assets - Total
73 AUL3Q
Num
8 Assets Level3 (Unobservable)
79 CAPR1Q
Num
8 Risk-Adjusted Capital Ratio - Tier 1
80 CAPR2Q
Num
8 Risk-Adjusted Capital Ratio - Tier 2
81 CAPR3Q
Num
8 Risk-Adjusted Capital Ratio - Combined
83 CAPSQ
Num
8 Capital Surplus/Share Premium Reserve
83 CSTKCVQ
Num
8 Carrying Value
85 CEQQ
Num
8 Common/Ordinary Equity - Total
87 DD1Q
Num
8 Long-Term Debt Due in One Year
90 CHEQ
Num
8 Cash and Short-Term Investments
91 CHQ
Num
8 Cash
93 CIBEGNIQ
Num
8 Comp Inc - Beginning Net Income
94 CICURRQ
Num
8 Comp Inc - Currency Trans Adj
95 CIDERGLQ
Num
8 Comp Inc - Derivative Gains/Losses
96 CIMIIQ
Num
8 Comprehensive Income - Noncontrolling Interest
97 CIOTHERQ
Num
8 Comp Inc - Other Adj
98 CIPENQ
Num
8 Comp Inc - Minimum Pension Adj
99 CIQ
Num
8 Comprehensive Income - Total
100 CISECGLQ
Num
8 Comp Inc - Securities Gains/Losses
101 CITOTALQ
Num
8 Comprehensive Income - Parent
103 COGSQ
Num
8 Cost of Goods Sold
104 CSH12Q
Num
8 Common Shares Used to Calculate Earnings Per Share - 12
Months Moving
105 CSHFDQ
Num
8 Com Shares for Diluted EPS
106 CSHIQ
Num
8 Common Shares Issued
107 CSHOPQ
Num
8 Total Shares Repurchased - Quarter
108 CSHOQ
Num
8 Common Shares Outstanding
109 CSHPRQ
Num
8 Common Shares Used to Calculate Earnings Per Share Basic
110 CSTKEQ
Num
8 Common Stock Equivalents - Dollar Savings
111 CSTKQ
Num
8 Common/Ordinary Stock (Capital)
112 DCOMQ
Num
8 Deferred Compensation
115 DILADQ
Num
8 Dilution Adjustment
116 DILAVQ
Num
8 Dilution Available - Excluding Extraordinary Items
118 DLCQ
Num
8 Debt in Current Liabilities
119 DLTTQ
Num
8 Long-Term Debt - Total
120 DOQ
Num
8 Discontinued Operations
121 DPACREQ
Num
8 Accumulated Depreciation of RE Property
122 DPACTQ
Num
8 Depreciation, Depletion and Amortization (Accumulated)
123 DPQ
Num
8 Depreciation and Amortization - Total
124 DPRETQ
Num
8 Depr/Amort of Property
127 DRCQ
Num
8 Deferred Revenue - Current
128 DRLTQ
Num
8 Deferred Revenue - Long-term
129 DTEAQ
Num
8 Extinguishment of Debt After-tax
130 DTEDQ
Num
8 Extinguishment of Debt Diluted EPS Effect
131 DTEEPSQ
Num
8 Extinguishment of Debt Basic EPS Effect
132 DTEPQ
Num
8 Extinguishment of Debt Pretax
134 DVPQ
Num
8 Dividends - Preferred/Preference
137 EPSF12
Num
8 Earnings Per Share (Diluted) - Excluding Extraordinary Items
- 12 Months Moving
138 EPSFIQ
Num
8 Earnings Per Share (Diluted) - Including Extraordinary Items
139 EPSFXQ
Num
8 Earnings Per Share (Diluted) - Excluding Extraordinary items
140 EPSPIQ
Num
8 Earnings Per Share (Basic) - Including Extraordinary Items
141 EPSPXQ
Num
8 Earnings Per Share (Basic) - Excluding Extraordinary Items
142 EPSX12
Num
8 Earnings Per Share (Basic) - Excluding Extraordinary Items 12 Months Moving
145 ESOPCTQ
Num
8 Common ESOP Obligation - Total
146 ESOPNRQ
Num
8 Preferred ESOP Obligation - Non-Redeemable
147 ESOPRQ
Num
8 Preferred ESOP Obligation - Redeemable
148 ESOPTQ
Num
8 Preferred ESOP Obligation - Total
149 ESUBQ
Num
8 Equity in Earnings (I/S) - Unconsolidated Subsidiaries
150 FCAQ
Num
8 Foreign Exchange Income (Loss)
153 FFOQ
Num
8 Funds From Operations (REIT)
154 GDWLAMQ
Num
8 Amortization of Goodwill
155 GDWLIA12
Num
8 Impairments of Goodwill AfterTax - 12mm
156 GDWLIAQ
Num
8 Impairment of Goodwill After-tax
157 GDWLID12
Num
8 Impairments Diluted EPS - 12mm
158 GDWLIDQ
Num
8 Impairment of Goodwill Diluted EPS Effect
159 GDWLIEPS12 Num
8 Impairment of Goodwill Basic EPS Effect 12MM
160 GDWLIEPSQ
Num
8 Impairment of Goodwill Basic EPS Effect
161 GDWLIPQ
Num
8 Impairment of Goodwill Pretax
162 GDWLQ
Num
8 Goodwill (net)
163 GLAQ
Num
8 Gain/Loss After-Tax
164 GLCEA12
Num
8 Gain/Loss on Sale (Core Earnings Adjusted) After-tax 12MM
165 GLCEAQ
Num
8 Gain/Loss on Sale (Core Earnings Adjusted) After-tax
166 GLCED12
Num
8 Gain/Loss on Sale (Core Earnings Adjusted) Diluted EPS
Effect 12MM
167 GLCEDQ
Num
8 Gain/Loss on Sale (Core Earnings Adjusted) Diluted EPS
168 GLCEEPS12
Num
8 Gain/Loss on Sale (Core Earnings Adjusted) Basic EPS Effect
12MM
169 GLCEEPSQ
Num
8 Gain/Loss on Sale (Core Earnings Adjusted) Basic EPS Effect
170 GLCEPQ
Num
8 Gain/Loss on Sale (Core Earnings Adjusted) Pretax
171 GLDQ
Num
8 Gain/Loss Diluted EPS Effect
172 GLEPSQ
Num
8 Gain/Loss Basic EPS Effect
173 GLPQ
Num
8 Gain/Loss Pretax
175 HEDGEGLQ
Num
8 Gain/Loss on Ineffective Hedges
177 IBADJ12
Num
8 Income Before Extra Items - Adj for Common Stock
Equivalents - 12MM
178 IBADJQ
Num
8 Income Before Extraordinary Items - Adjusted for Common
Stock Equivalents
179 IBCOMQ
Num
8 Income Before Extraordinary Items - Available for Common
179 NPQ
Num
8 Notes Payable
181 IBMIIQ
Num
8 Income before Extraordinary Items and Noncontrolling
Interests
182 IBQ
Num
8 Income Before Extraordinary Items
183 ICAPTQ
Num
8 Invested Capital - Total - Quarterly
183 OBKQ
Num
8 Order backlog
187 INTACCQ
Num
8 Interest Accrued
188 INTANOQ
Num
8 Other Intangibles
189 INTANQ
Num
8 Intangible Assets - Total
191 INVFGQ
Num
8 Inventory - Finished Goods
192 INVOQ
Num
8 Inventory - Other
193 INVRMQ
Num
8 Inventory - Raw Materials
194 INVTQ
Num
8 Inventories - Total
195 INVWIPQ
Num
8 Inventory - Work in Process
203 IVAEQQ
Num
8 Investment and Advances - Equity
204 IVAOQ
Num
8 Investment and Advances - Other
206 IVLTQ
Num
8 Total Long-term Investments
208 IVSTQ
Num
8 Short-Term Investments- Total
212 LCOQ
Num
8 Current Liabilities - Other - Total
214 LCTQ
Num
8 Current Liabilities - Total
215 LLTQ
Num
8 Long-Term Liabilities (Total)
216 LNOQ
Num
8 Liabilities Netting & Other Adjustments
217 LOL2Q
Num
8 Liabilities Level2 (Observable)
218 LOQ
Num
8 Liabilities - Other
219 LOXDRQ
Num
8 Liabilities - Other - Excluding Deferred Revenue
220 LQPL1Q
Num
8 Liabilities Level1 (Quoted Prices)
221 LSEQ
Num
8 Liabilities and Stockholders Equity - Total
223 LTMIBQ
Num
8 Liabilities - Total and Noncontrolling Interest
224 LTQ
Num
8 Liabilities - Total
225 LUL3Q
Num
8 Liabilities Level3 (Unobservable)
226 MIBNQ
Num
8 Noncontrolling Interests - Nonredeemable - Balance Sheet
227 MIBQ
Num
8 Noncontrolling Interest - Redeemable - Balance Sheet
228 MIBTQ
Num
8 Noncontrolling Interests - Total - Balance Sheet
229 MIIQ
Num
8 Noncontrolling Interest - Income Account
230 MSAQ
Num
8 Accum Other Comp Inc - Marketable Security Adjustments
232 NCOQ
Num
8 Net Charge-Offs
233 NIITQ
Num
8 Net Interest Income (Tax Equivalent)
234 NIMQ
Num
8 Net Interest Margin
235 NIQ
Num
8 Net Income (Loss)
238 NOPIQ
Num
8 Non-Operating Income (Expense) - Total
239 NPATQ
Num
8 Nonperforming Assets - Total
240 NRTXTDQ
Num
8 Nonrecurring Income Taxes Diluted EPS Effect
241 NRTXTEPSQ
Num
8 Nonrecurring Income Taxes Basic EPS Effect
242 NRTXTQ
Num
8 Nonrecurring Income Taxes - After-tax
243 OEPF12
Num
8 Earnings Per Share - Diluted - from Operations - 12MM
244 OEPS12
Num
8 Earnings Per Share from Operations - 12 Months Moving
245 OEPSXQ
Num
8 Earnings Per Share - Diluted - from Operations
246 OIADPQ
Num
8 Operating Income After Depreciation - Quarterly
247 OIBDPQ
Num
8 Operating Income Before Depreciation - Quarterly
248 OPEPSQ
Num
8 Earnings Per Share from Operations
250 OPTDRQ
Num
8 Dividend Rate - Assumption (%)
251 OPTFVGRQ
Num
8 Options - Fair Value of Options Granted
252 OPTLIFEQ
Num
8 Life of Options - Assumption (# yrs)
253 OPTRFRQ
Num
8 Risk Free Rate - Assumption (%)
254 OPTVOLQ
Num
8 Volatility - Assumption (%)
256 PIQ
Num
8 Pretax Income
257 PLLQ
Num
8 Provision for Loan/Asset Losses
258 PNC12
Num
8 Pension Core Adjustment - 12mm
259 PNCD12
Num
8 Core Pension Adjustment Diluted EPS Effect 12MM
260 PNCDQ
Num
8 Core Pension Adjustment Diluted EPS Effect
261 PNCEPS12
Num
8 Core Pension Adjustment Basic EPS Effect 12MM
262 PNCEPSQ
Num
8 Core Pension Adjustment Basic EPS Effect
263 PNCIAPQ
Num
8 Core Pension Interest Adjustment After-tax Preliminary
264 PNCIAQ
Num
8 Core Pension Interest Adjustment After-tax
265 PNCIDPQ
Num
8 Core Pension Interest Adjustment Diluted EPS Effect
Preliminary
266 PNCIDQ
Num
8 Core Pension Interest Adjustment Diluted EPS Effect
267 PNCIEPSPQ
Num
8 Core Pension Interest Adjustment Basic EPS Effect
Preliminary
268 PNCIEPSQ
Num
8 Core Pension Interest Adjustment Basic EPS Effect
269 PNCIPPQ
Num
8 Core Pension Interest Adjustment Pretax Preliminary
270 PNCIPQ
Num
8 Core Pension Interest Adjustment Pretax
271 PNCPD12
Num
8 Core Pension Adjustment 12MM Diluted EPS Effect
Preliminary
272 PNCPDQ
Num
8 Core Pension Adjustment Diluted EPS Effect Preliminary
273 PNCPEPS12
Num
8 Core Pension Adjustment 12MM Basic EPS Effect Preliminary
274 PNCPEPSQ
Num
8 Core Pension Adjustment Basic EPS Effect Preliminary
275 PNCPQ
Num
8 Core Pension Adjustment Preliminary
276 PNCQ
Num
8 Core Pension Adjustment
277 PNCWIAPQ
Num
8 Core Pension w/o Interest Adjustment After-tax Preliminary
278 PNCWIAQ
Num
8 Core Pension w/o Interest Adjustment After-tax
279 PNCWIDPQ
Num
8 Core Pension w/o Interest Adjustment Diluted EPS Effect
Preliminary
280 PNCWIDQ
Num
8 Core Pension w/o Interest Adjustment Diluted EPS Effect
281 PNCWIEPQ
Num
8 Core Pension w/o Interest Adjustment Basic EPS Effect
Preliminary
282 PNCWIEPSQ
Num
8 Core Pension w/o Interest Adjustment Basic EPS Effect
283 PNCWIPPQ
Num
8 Core Pension w/o Interest Adjustment Pretax Preliminary
284 PNCWIPQ
Num
8 Core Pension w/o Interest Adjustment Pretax
285 PNRSHOQ
Num
8 Nonred Pfd Shares Outs (000) - Quarterly
286 PPEGTQ
Num
8 Property, Plant and Equipment - Total (Gross) - Quarterly
287 PPENTQ
Num
8 Property Plant and Equipment - Total (Net)
288 PRCAQ
Num
8 Core Post Retirement Adjustment
289 PRCD12
Num
8 Core Post Retirement Adjustment Diluted EPS Effect 12MM
290 PRCDQ
Num
8 Core Post Retirement Adjustment Diluted EPS Effect
291 PRCE12
Num
8 Core Post Retirement Adjustment 12MM
292 PRCEPS12
Num
8 Core Post Retirement Adjustment Basic EPS Effect 12MM
293 PRCEPSQ
Num
8 Core Post Retirement Adjustment Basic EPS Effect
294 PRCPD12
Num
8 Core Post Retirement Adjustment 12MM Diluted EPS Effect
Preliminary
295 PRCPDQ
Num
8 Core Post Retirement Adjustment Diluted EPS Effect
Preliminary
296 PRCPEPS12
Num
8 Core Post Retirement Adjustment 12MM Basic EPS Effect
Preliminary
297 PRCPEPSQ
Num
8 Core Post Retirement Adjustment Basic EPS Effect
Preliminary
298 PRCPQ
Num
8 Core Post Retirement Adjustment Preliminary
300 PRCRAQ
Num
8 Repurchase Price - Average per share Quarter
301 PRSHOQ
Num
8 Redeem Pfd Shares Outs (000)
302 PSTKNQ
Num
8 Preferred/Preference Stock - Nonredeemable
303 PSTKQ
Num
8 Preferred/Preference Stock (Capital) - Total
304 PSTKRQ
Num
8 Preferred/Preference Stock - Redeemable
308 TXDBCAQ
Num
8 Current Deferred Tax Asset
309 TXDBCLQ
Num
8 Current Deferred Tax Liability
310 RCAQ
Num
8 Restructuring Cost After-tax
311 RCDQ
Num
8 Restructuring Cost Diluted EPS Effect
312 RCEPSQ
Num
8 Restructuring Cost Basic EPS Effect
313 RCPQ
Num
8 Restructuring Cost Pretax
314 RDIPAQ
Num
8 In Process R&D Expense After-tax
315 RDIPDQ
Num
8 In Process R&D Expense Diluted EPS Effect
316 RDIPEPSQ
Num
8 In Process R&D Expense Basic EPS Effect
317 RDIPQ
Num
8 In Process R&D
319 RECDQ
Num
8 Receivables - Estimated Doubtful
320 RECTAQ
Num
8 Accum Other Comp Inc - Cumulative Translation
Adjustments
321 RECTOQ
Num
8 Receivables - Current Other incl Tax Refunds
322 RECTQ
Num
8 Receivables - Total
323 RECTRQ
Num
8 Receivables - Trade
324 RECUBQ
Num
8 Unbilled Receivables - Quarterly
326 REQ
Num
8 Retained Earnings
327 RETQ
Num
8 Total RE Property
328 REUNAQ
Num
8 Unadjusted Retained Earnings
329 REVTQ
Num
8 Revenue - Total
331 RLLQ
Num
8 Reserve for Loan/Asset Losses
333 RRA12
Num
8 Reversal - Restructruring/Acquisition Aftertax 12MM
334 RRAQ
Num
8 Reversal - Restructruring/Acquisition Aftertax
335 RRD12
Num
8 Reversal - Restructuring/Acq Diluted EPS Effect 12MM
336 RRDQ
Num
8 Reversal - Restructuring/Acq Diluted EPS Effect
337 RREPS12
Num
8 Reversal - Restructuring/Acq Basic EPS Effect 12MM
338 RREPSQ
Num
8 Reversal - Restructuring/Acq Basic EPS Effect
339 RRPQ
Num
8 Reversal - Restructruring/Acquisition Pretax
344 SALEQ
Num
8 Sales/Turnover (Net)
350 SEQOQ
Num
8 Other Stockholders- Equity Adjustments
350 XACCQ
Num
8 Accrued Expenses
351 SEQQ
Num
8 Stockholders Equity > Parent > Index Fundamental >
Quarterly
352 SETA12
Num
8 Settlement (Litigation/Insurance) AfterTax - 12mm
353 SETAQ
Num
8 Settlement (Litigation/Insurance) After-tax
354 SETD12
Num
8 Settlement (Litigation/Insurance) Diluted EPS Effect 12MM
355 SETDQ
Num
8 Settlement (Litigation/Insurance) Diluted EPS Effect
356 SETEPS12
Num
8 Settlement (Litigation/Insurance) Basic EPS Effect 12MM
357 SETEPSQ
Num
8 Settlement (Litigation/Insurance) Basic EPS Effect
358 SETPQ
Num
8 Settlement (Litigation/Insurance) Pretax
359 SPCE12
Num
8 S&P Core Earnings 12MM
360 SPCED12
Num
8 S&P Core Earnings EPS Diluted 12MM
361 SPCEDPQ
Num
8 S&P Core Earnings EPS Diluted - Preliminary
362 SPCEDQ
Num
8 S&P Core Earnings EPS Diluted
363 SPCEEPS12
Num
8 S&P Core Earnings EPS Basic 12MM
364 SPCEEPSP12
Num
8 S&P Core 12MM EPS - Basic - Preliminary
365 SPCEEPSPQ
Num
8 S&P Core Earnings EPS Basic - Preliminary
366 SPCEEPSQ
Num
8 S&P Core Earnings EPS Basic
367 SPCEP12
Num
8 S&P Core Earnings 12MM - Preliminary
368 SPCEPD12
Num
8 S&P Core Earnings 12MM EPS Diluted - Preliminary
369 SPCEPQ
Num
8 S&P Core Earnings - Preliminary
370 SPCEQ
Num
8 S&P Core Earnings
371 SPIDQ
Num
8 Other Special Items Diluted EPS Effect
372 SPIEPSQ
Num
8 Other Special Items Basic EPS Effect
373 SPIOAQ
Num
8 Other Special Items After-tax
374 SPIOPQ
Num
8 Other Special Items Pretax
375 SPIQ
Num
8 Special Items
376 SRETQ
Num
8 Gain/Loss on Sale of Property
379 STKCOQ
Num
8 Stock Compensation Expense
380 STKCPAQ
Num
8 After-tax stock compensation
383 TEQQ
Num
8 Stockholders Equity - Total
384 TFVAQ
Num
8 Total Fair Value Assets
385 TFVCEQ
Num
8 Total Fair Value Changes including Earnings
386 TFVLQ
Num
8 Total Fair Value Liabilities
387 TIEQ
Num
8 Interest Expense - Total (Financial Services)
388 TIIQ
Num
8 Interest Income - Total (Financial Services)
390 TSTKNQ
Num
8 Treasury Stock - Number of Common Shares
391 TSTKQ
Num
8 Treasury Stock - Total (All Capital)
392 TXDBAQ
Num
8 Deferred Tax Asset - Long Term
393 TXDBQ
Num
8 Deferred Taxes - Balance Sheet
394 TXDIQ
Num
8 Income Taxes - Deferred
395 TXDITCQ
Num
8 Deferred Taxes and Investment Tax Credit
396 TXPQ
Num
8 Income Taxes Payable
397 TXTQ
Num
8 Income Taxes - Total
398 TXWQ
Num
8 Excise Taxes
399 UACOQ
Num
8 Current Assets - Other - Utility
400 UAOQ
Num
8 Other Assets - Utility
401 UAPTQ
Num
8 Accounts Payable - Utility
402 UCAPSQ
Num
8 Paid In Capital - Other - Utility
403 UCCONSQ
Num
8 Contributions In Aid Of Construction
404 UCEQQ
Num
8 Common Equity - Total - Utility
405 UDDQ
Num
8 Debt (Debentures) - Utility
406 UDMBQ
Num
8 Debt (Mortgage Bonds)
407 UDOLTQ
Num
8 Debt (Other Long-Term)
408 UDPCOQ
Num
8 Debt (Pollution Control Obligations)
409 UDVPQ
Num
8 Preferred Dividend Requirements
410 UGIQ
Num
8 Gross Income (Income Before Interest Charges)
411 UINVQ
Num
8 Inventories
412 ULCOQ
Num
8 Current Liabilities - Other
413 UNIAMIQ
Num
8 Net Income before Extraordinary Items After Noncontrolling
Interest
415 UNOPINCQ
Num
8 Nonoperating Income (Net) - Other
416 UOPIQ
Num
8 Operating Income - Total - Utility
417 UPDVPQ
Num
8 Preference Dividend Requirements - Utility
418 UPMCSTKQ
Num
8 Premium On Common Stock - Utility
419 UPMPFQ
Num
8 Premium On Preferred Stock - Utility
420 UPMPFSQ
Num
8 Premium On Preference Stock - Utility
421 UPMSUBPQ
Num
8 Premium On Subsidiary Preferred Stock - Utility
422 UPSTKCQ
Num
8 Preference Stock At Carrying Value - Utility
423 UPSTKQ
Num
8 Preferred Stock At Carrying Value - Utility
424 URECTQ
Num
8 Receivables (Net) - Utility
425 USPIQ
Num
8 Special Items - Utility
426 USUBDVPQ
Num
8 Subsidiary Preferred Dividends - Utility
427 USUBPCVQ
Num
8 Subsidiary Preferred Stock At Carrying Value - Utility
428 UTEMQ
Num
8 Maintenance Expense - Total
429 WCAPQ
Num
8 Working Capital (Balance Sheet)
430 WDAQ
Num
8 Writedowns After-tax
431 WDDQ
Num
8 Writedowns Diluted EPS Effect
432 WDEPSQ
Num
8 Writedowns Basic EPS Effect
433 WDPQ
Num
8 Writedowns Pretax
439 XIDOQ
Num
8 Extraordinary Items and Discontinued Operations
440 XINTQ
Num
8 Interest and Related Expense- Total
442 XIQ
Num
8 Extraordinary Items
448 XOPRQ
Num
8 Operating Expense- Total
449 XOPT12
Num
8 Implied Option Expense - 12mm
450 XOPTD12
Num
8 Implied Option EPS Diluted 12MM
451 XOPTD12P
Num
8 Implied Option 12MM EPS Diluted Preliminary
452 XOPTDQ
Num
8 Implied Option EPS Diluted
453 XOPTDQP
Num
8 Implied Option EPS Diluted Preliminary
454 XOPTEPS12
Num
8 Implied Option EPS Basic 12MM
455 XOPTEPSP12 Num
8 Implied Option 12MM EPS Basic Preliminary
456 XOPTEPSQ
Num
8 Implied Option EPS Basic
457 XOPTEPSQP
Num
8 Implied Option EPS Basic Preliminary
458 XOPTQ
Num
8 Implied Option Expense
459 XOPTQP
Num
8 Implied Option Expense Preliminary
462 XRDQ
Num
8 Research and Development Expense
464 XSGAQ
Num
8 Selling, General and Administrative Expenses
469 ACCHGY
Num
8 Accounting Changes - Cumulative Effect
474 AFUDCCY
Num
8 Allowance for Funds Used During Construction (Cash Flow)
475 AFUDCIY
Num
8 Allowance for Funds Used During Construction (Investing)
(Cash Flow)
476 AMCY
Num
8 Amortization (Cash Flow)
478 AOLOCHY
Num
8 Assets and Liabilities - Other (Net Change)
479 APALCHY
Num
8 Accounts Payable and Accrued Liabilities - Increase
(Decrease)
481 AQAY
Num
8 Acquisition/Merger After-Tax
482 AQCY
Num
8 Acquisitions
483 AQDY
Num
8 Acquisition/Merger Diluted EPS Effect
484 AQEPSY
Num
8 Acquisition/Merger Basic EPS Effect
485 AQPY
Num
8 Acquisition/Merger Pretax
486 ARCEDY
Num
8 As Reported Core - Diluted EPS Effect
487 ARCEEPSY
Num
8 As Reported Core - Basic EPS Effect
488 ARCEY
Num
8 As Reported Core - After-tax
499 CAPXY
Num
8 Capital Expenditures
500 CDVCY
Num
8 Cash Dividends on Common Stock (Cash Flow)
506 CHECHY
Num
8 Cash and Cash Equivalents - Increase (Decrease)
508 CIBEGNIY
Num
8 Comp Inc - Beginning Net Income
509 CICURRY
Num
8 Comp Inc - Currency Trans Adj
510 CIDERGLY
Num
8 Comp Inc - Derivative Gains/Losses
511 CIMIIY
Num
8 Comprehensive Income - Noncontrolling Interest
512 CIOTHERY
Num
8 Comp Inc - Other Adj
513 CIPENY
Num
8 Comp Inc - Minimum Pension Adj
514 CISECGLY
Num
8 Comp Inc - Securities Gains/Losses
515 CITOTALY
Num
8 Comprehensive Income - Parent
516 CIY
Num
8 Comprehensive Income - Total
517 COGSY
Num
8 Cost of Goods Sold
518 CSHFDY
Num
8 Com Shares for Diluted EPS
519 CSHPRY
Num
8 Common Shares Used to Calculate Earnings Per Share Basic
520 CSTKEY
Num
8 Common Stock Equivalents - Dollar Savings
523 DEPCY
Num
8 Depreciation and Depletion (Cash Flow)
525 DILADY
Num
8 Dilution Adjustment
526 DILAVY
Num
8 Dilution Available - Excluding Extraordinary Items
529 DLCCHY
Num
8 Changes in Current Debt
530 DLTISY
Num
8 Long-Term Debt - Issuance
531 DLTRY
Num
8 Long-Term Debt - Reduction
533 DOY
Num
8 Discontinued Operations
534 DPCY
Num
8 Depreciation and Amortization - Statement of Cash Flows
535 DPRETY
Num
8 Depr/Amort of Property
536 DPY
Num
8 Depreciation and Amortization - Total
537 DTEAY
Num
8 Extinguishment of Debt After-tax
538 DTEDY
Num
8 Extinguishment of Debt Diluted EPS Effect
539 DTEEPSY
Num
8 Extinguishment of Debt Basic EPS Effect
540 DTEPY
Num
8 Extinguishment of Debt Pretax
542 DVPY
Num
8 Dividends - Preferred/Preference
546 DVY
Num
8 Cash Dividends
548 EPSFIY
Num
8 Earnings Per Share (Diluted) - Including Extraordinary Items
549 EPSFXY
Num
8 Earnings Per Share (Diluted) - Excluding Extraordinary items
550 EPSPIY
Num
8 Earnings Per Share (Basic) - Including Extraordinary Items
551 EPSPXY
Num
8 Earnings Per Share (Basic) - Excluding Extraordinary Items
553 ESUBCY
Num
8 Equity in Net Loss/Earnings (C/F)
554 ESUBY
Num
8 Equity in Earnings (I/S)- Unconsolidated Subsidiaries
557 EXREY
Num
8 Exchange Rate Effect
558 FCAY
Num
8 Foreign Exchange Income (Loss)
559 FFOY
Num
8 Funds From Operations (REIT)
560 FIAOY
Num
8 Financing Activities - Other
561 FINCFY
Num
8 Financing Activities - Net Cash Flow
566 FOPOXY
Num
8 Funds from Operations - Other excluding Option Tax Benefit
567 FOPOY
Num
8 Funds from Operations - Other
568 FOPTY
Num
8 Funds From Operations - Total
571 FSRCOY
Num
8 Sources of Funds - Other
572 FSRCTY
Num
8 Sources of Funds - Total
573 FUSEOY
Num
8 Uses of Funds - Other
574 FUSETY
Num
8 Uses of Funds - Total
575 GDWLAMY
Num
8 Amortization of Goodwill
576 GDWLIAY
Num
8 Impairment of Goodwill After-tax
577 GDWLIDY
Num
8 Impairment of Goodwill Diluted EPS Effect
578 GDWLIEPSY
Num
8 Impairment of Goodwill Basic EPS Effect
579 GDWLIPY
Num
8 Impairment of Goodwill Pretax
580 GLAY
Num
8 Gain/Loss After-Tax
581 GLCEAY
Num
8 Gain/Loss on Sale (Core Earnings Adjusted) After-tax
582 GLCEDY
Num
8 Gain/Loss on Sale (Core Earnings Adjusted) Diluted EPS
583 GLCEEPSY
Num
8 Gain/Loss on Sale (Core Earnings Adjusted) Basic EPS Effect
584 GLCEPY
Num
8 Gain/Loss on Sale (Core Earnings Adjusted) Pretax
585 GLDY
Num
8 Gain/Loss Diluted EPS Effect
586 GLEPSY
Num
8 Gain/Loss Basic EPS Effect
587 GLPY
Num
8 Gain/Loss Pretax
589 HEDGEGLY
Num
8 Gain/Loss on Ineffective Hedges
590 IBADJY
Num
8 Income Before Extraordinary Items - Adjusted for Common
Stock Equivalents
591 IBCOMY
Num
8 Income Before Extraordinary Items - Available for Common
592 IBCY
Num
8 Income Before Extraordinary Items - Statement of Cash
Flows
594 IBMIIY
Num
8 Income before Extraordinary Items and Noncontrolling
Interests
595 IBY
Num
8 Income Before Extraordinary Items
607 INTPNY
Num
8 Interest Paid - Net
609 INVCHY
Num
8 Inventory - Decrease (Increase)
617 ITCCY
Num
8 Investment Tax Credit - Net (Cash Flow)
618 IVACOY
Num
8 Investing Activities - Other
619 IVCHY
Num
8 Increase in Investments
621 IVNCFY
Num
8 Investing Activities - Net Cash Flow
622 IVSTCHY
Num
8 Short-Term Investments - Change
633 MIIY
Num
8 Noncontrolling Interest - Income Account
636 NCOY
Num
8 Net Charge-Offs
638 NIITY
Num
8 Net Interest Income (Tax Equivalent)
639 NIMY
Num
8 Net Interest Margin
641 NIY
Num
8 Net Income (Loss)
644 NOPIY
Num
8 Non-Operating Income (Expense) - Total
645 NRTXTDY
Num
8 Nonrecurring Income Taxes Diluted EPS Effect
646 NRTXTEPSY
Num
8 Nonrecurring Income Taxes Basic EPS Effect
647 NRTXTY
Num
8 Nonrecurring Income Taxes - After-tax
650 OANCFY
Num
8 Operating Activities - Net Cash Flow
651 OEPSXY
Num
8 Earnings Per Share - Diluted - from Operations
652 OIADPY
Num
8 Operating Income After Depreciation - Year-to-Date
653 OIBDPY
Num
8 Operating Income Before Depreciation
654 OPEPSY
Num
8 Earnings Per Share from Operations
657 OPTDRY
Num
8 Dividend Rate - Assumption (%)
658 OPTFVGRY
Num
8 Options - Fair Value of Options Granted
659 OPTLIFEY
Num
8 Life of Options - Assumption (# yrs)
660 OPTRFRY
Num
8 Risk Free Rate - Assumption (%)
661 OPTVOLY
Num
8 Volatility - Assumption (%)
663 PDVCY
Num
8 Cash Dividends on Preferred/Preference Stock (Cash Flow)
664 PIY
Num
8 Pretax Income
666 PLLY
Num
8 Provision for Loan/Asset Losses
667 PNCDY
Num
8 Core Pension Adjustment Diluted EPS Effect
668 PNCEPSY
Num
8 Core Pension Adjustment Basic EPS Effect
669 PNCIAPY
Num
8 Core Pension Interest Adjustment After-tax Preliminary
670 PNCIAY
Num
8 Core Pension Interest Adjustment After-tax
671 PNCIDPY
Num
8 Core Pension Interest Adjustment Diluted EPS Effect
Preliminary
672 PNCIDY
Num
8 Core Pension Interest Adjustment Diluted EPS Effect
673 PNCIEPSPY
Num
8 Core Pension Interest Adjustment Basic EPS Effect
Preliminary
674 PNCIEPSY
Num
8 Core Pension Interest Adjustment Basic EPS Effect
675 PNCIPPY
Num
8 Core Pension Interest Adjustment Pretax Preliminary
676 PNCIPY
Num
8 Core Pension Interest Adjustment Pretax
677 PNCPDY
Num
8 Core Pension Adjustment Diluted EPS Effect Preliminary
678 PNCPEPSY
Num
8 Core Pension Adjustment Basic EPS Effect Preliminary
679 PNCPY
Num
8 Core Pension Adjustment Preliminary
680 PNCWIAPY
Num
8 Core Pension w/o Interest Adjustment After-tax Preliminary
681 PNCWIAY
Num
8 Core Pension w/o Interest Adjustment After-tax
682 PNCWIDPY
Num
8 Core Pension w/o Interest Adjustment Diluted EPS Effect
Preliminary
683 PNCWIDY
Num
8 Core Pension w/o Interest Adjustment Diluted EPS Effect
684 PNCWIEPSY
Num
8 Core Pension w/o Interest Adjustment Basic EPS Effect
685 PNCWIEPY
Num
8 Core Pension w/o Interest Adjustment Basic EPS Effect
Preliminary
686 PNCWIPPY
Num
8 Core Pension w/o Interest Adjustment Pretax Preliminary
687 PNCWIPY
Num
8 Core Pension w/o Interest Adjustment Pretax
688 PNCY
Num
8 Core Pension Adjustment
689 PRCAY
Num
8 Core Post Retirement Adjustment
690 PRCDY
Num
8 Core Post Retirement Adjustment Diluted EPS Effect
691 PRCEPSY
Num
8 Core Post Retirement Adjustment Basic EPS Effect
692 PRCPDY
Num
8 Core Post Retirement Adjustment Diluted EPS Effect
Preliminary
693 PRCPEPSY
Num
8 Core Post Retirement Adjustment Basic EPS Effect
Preliminary
694 PRCPY
Num
8 Core Post Retirement Adjustment Preliminary
696 PRSTKCCY
Num
8 Purchase of Common Stock (Cash Flow)
697 PRSTKCY
Num
8 Purchase of Common and Preferred Stock
698 PRSTKPCY
Num
8 Purchase of Preferred/Preference Stock (Cash Flow)
705 RCAY
Num
8 Restructuring Cost After-tax
706 RCDY
Num
8 Restructuring Cost Diluted EPS Effect
707 RCEPSY
Num
8 Restructuring Cost Basic EPS Effect
708 RCPY
Num
8 Restructuring Cost Pretax
709 RDIPAY
Num
8 In Process R&D Expense After-tax
710 RDIPDY
Num
8 In Process R&D Expense Diluted EPS Effect
711 RDIPEPSY
Num
8 In Process R&D Expense Basic EPS Effect
712 RDIPY
Num
8 In Process R&D
713 RECCHY
Num
8 Accounts Receivable - Decrease (Increase)
715 REVTY
Num
8 Revenue - Total
717 RRAY
Num
8 Reversal - Restructruring/Acquisition Aftertax
718 RRDY
Num
8 Reversal - Restructuring/Acq Diluted EPS Effect
719 RREPSY
Num
8 Reversal - Restructuring/Acq Basic EPS Effect
720 RRPY
Num
8 Reversal - Restructruring/Acquisition Pretax
722 SALEY
Num
8 Sales/Turnover (Net)
723 SCSTKCY
Num
8 Sale of Common Stock (Cash Flow)
724 SETAY
Num
8 Settlement (Litigation/Insurance) After-tax
725 SETDY
Num
8 Settlement (Litigation/Insurance) Diluted EPS Effect
726 SETEPSY
Num
8 Settlement (Litigation/Insurance) Basic EPS Effect
727 SETPY
Num
8 Settlement (Litigation/Insurance) Pretax
729 SIVY
Num
8 Sale of Investments
730 SPCEDPY
Num
8 S&P Core Earnings EPS Diluted - Preliminary
731 SPCEDY
Num
8 S&P Core Earnings EPS Diluted
732 SPCEEPSPY
Num
8 S&P Core Earnings EPS Basic - Preliminary
733 SPCEEPSY
Num
8 S&P Core Earnings EPS Basic
734 SPCEPY
Num
8 S&P Core Earnings - Preliminary
735 SPCEY
Num
8 S&P Core Earnings
736 SPIDY
Num
8 Other Special Items Diluted EPS Effect
737 SPIEPSY
Num
8 Other Special Items Basic EPS Effect
738 SPIOAY
Num
8 Other Special Items After-tax
739 SPIOPY
Num
8 Other Special Items Pretax
740 SPIY
Num
8 Special Items
742 SPPEY
Num
8 Sale of Property
743 SPPIVY
Num
8 Sale of PP&E and Investments - (Gain) Loss
744 SPSTKCY
Num
8 Sale of Preferred/Preference Stock (Cash Flow)
745 SRETY
Num
8 Gain/Loss on Sale of Property
746 SSTKY
Num
8 Sale of Common and Preferred Stock
750 STKCOY
Num
8 Stock Compensation Expense
751 STKCPAY
Num
8 After-tax stock compensation
754 TDCY
Num
8 Deferred Income Taxes - Net (Cash Flow)
756 TFVCEY
Num
8 Total Fair Value Changes including Earnings
757 TIEY
Num
8 Interest Expense - Total (Financial Services)
758 TIIY
Num
8 Interest Income - Total (Financial Services)
759 TSAFCY
Num
8 Total Srcs of Funds (FOF)
760 TXACHY
Num
8 Income Taxes - Accrued - Increase (Decrease)
761 TXBCOFY
Num
8 Excess Tax Benefit of Stock Options - Cash Flow Financing
762 TXBCOY
Num
8 Excess Tax Benefit of Stock Options - Cash Flow Operating
763 TXDCY
Num
8 Deferred Taxes (Statement of Cash Flows)
764 TXDIY
Num
8 Income Taxes - Deferred
766 TXPDY
Num
8 Income Taxes Paid
767 TXTY
Num
8 Income Taxes - Total
768 TXWY
Num
8 Excise Taxes
770 UAOLOCHY
Num
8 Other Assets and Liabilities - Net Change (Statement of
Cash Flows)
771 UDFCCY
Num
8 Deferred Fuel - Increase (Decrease) (Statement of Cash
Flows)
772 UDVPY
Num
8 Preferred Dividend Requirements - Utility
773 UFRETSDY
Num
8 Tot Funds Ret ofSec&STD (FOF)
774 UGIY
Num
8 Gross Income (Income Before Interest Charges) - Utility
775 UNIAMIY
Num
8 Net Income before Extraordinary Items After Noncontrolling
Interest - Utility
776 UNOPINCY
Num
8 Nonoperating Income (Net) - Other - Utility
777 UNWCCY
Num
8 Inc(Dec)Working Cap (FOF)
778 UOISY
Num
8 Other Internal Sources - Net (Cash Flow)
779 UPDVPY
Num
8 Preference Dividend Requirements - Utility
780 UPTACY
Num
8 Utility Plant - Gross Additions (Cash Flow)
781 USPIY
Num
8 Special Items - Utility
782 USTDNCY
Num
8 Net Decr in ST Debt (FOF)
783 USUBDVPY
Num
8 Subsidiary Preferred Dividends - Utility
784 UTFDOCY
Num
8 Total Funds From Ops (FOF)
785 UTFOSCY
Num
8 Tot Funds Frm Outside Sources (FOF)
786 UTMEY
Num
8 Maintenance Expense - Total
787 UWKCAPCY
Num
8 Dec(Inc) in Working Capital (FOF)
789 WCAPCHY
Num
8 Working Capital Changes - Total
790 WCAPCY
Num
8 Working Capital Change - Other - Increase/(Decrease)
797 WDAY
Num
8 Writedowns After-tax
798 WDDY
Num
8 Writedowns Diluted EPS Effect
799 WDEPSY
Num
8 Writedowns Basic EPS Effect
800 WDPY
Num
8 Writedowns Pretax
806 XIDOCY
Num
8 Extraordinary Items and Discontinued Operations
(Statement of Cash Flows)
807 XIDOY
Num
8 Extraordinary Items and Discontinued Operations
808 XINTY
Num
8 Interest and Related Expense- Total
812 XIY
Num
8 Extraordinary Items
816 XOPRY
Num
8 Operating Expense- Total
817 XOPTDQPY
Num
8 Implied Option EPS Diluted Preliminary
818 XOPTDY
Num
8 Implied Option EPS Diluted
819 XOPTEPSQPY Num
8 Implied Option EPS Basic Preliminary
820 XOPTEPSY
Num
8 Implied Option EPS Basic
821 XOPTQPY
Num
8 Implied Option Expense Preliminary
822 XOPTY
Num
8 Implied Option Expense
824 XRDY
Num
8 Research and Development Expense
826 XSGAY
Num
8 Selling, General and Administrative Expenses
831 iid
Char
3 Issue ID - Security
832 EXCHG
Num
8 Stock Exchange Code
833 CIK
Char
834 COSTAT
Char
1 Active/Inactive Status Marker
835 FIC
Char
3 Current ISO Country Code - Incorporation
836 CSHTRQ
Num
8 Common Shares Traded - Quarter
837 DVPSPQ
Num
8 Dividends per Share - Pay Date - Quarter
838 DVPSXQ
Num
8 Div per Share - Exdate - Quarter
839 MKVALTQ
Num
8 Market Value - Total
840 PRCCQ
Num
8 Price Close - Quarter
841 PRCHQ
Num
8 Price High - Quarter
842 PRCLQ
Num
8 Price Low - Quarter
843 ADJEX
Num
8 Cumulative Adjustment Factor by Ex-Date
10 CIK Number