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
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