Sentences with phrase «measure periods of»

Fitbits already track how much sleep people get and use sensors to measure periods of being awake or restless while in bed.
To perform the test, a prick is made in the inner surface of your dog's lip and a stop watch is used to measure the period of time it takes before the flow of blood from the wound to cease.

Not exact matches

The process is fairly simple: Extract the cell's DNA, measure its carbon - 14 levels with a tool called a mass spectrometer, and check the result against tables of carbon - 14 decay in the period since 1963.
DTS earnings before tax as a percentage of DTS total revenue and DTS operating revenue (a non-GAAP measure) were 4.4 % and 6.5 %, respectively, up 20 and 70 basis points from the year - earlier period.
LLC's 2016 FDD provides that $ 3,187,100 is the average annual gross sales achieved by the «top third» of PSP franchisees (measured by gross sales), which consists of 55 reporting franchised stores during the measurement period beginning 1/4/15 and ending 1/2/16.
The above series is Statistics Canada's New Housing Price Index (NHPI), which «measures changes over time in the contractors» selling prices of new residential houses, where detailed specifications pertaining to each house remain the same between two consecutive periods
We report our financial results in accordance with GAAP, but believe that certain non-GAAP financial measures provide useful supplemental information to investors regarding the underlying business trends and performance of our ongoing operations and are useful for period - over-period comparisons of those operations.
Adjusted cash flows from operations, a non-GAAP financial measure defined below, were $ 174.9 million in the first quarter of 2018, compared to $ 113.7 million in the comparable 2017 period.
The DHS is accepting public comments on the measure, for a period of 45 days.
From our definition there flows an important corollary: The riskiness of an investment is not measured by beta (a Wall Street term encompassing volatility and often used in measuring risk) but rather by the probability — the reasoned probability — of that investment causing its owner a loss of purchasing power over his contemplated holding period.
The company considers same - property NOI as an important operating performance measure because it is frequently used by securities analysts and investors to measure only the net operating income of properties that have been owned by the company for the entire current and prior year reporting periods.
FFO as Adjusted: A supplemental non-GAAP measure that the company believes is more reflective of its core operating performance and provides investors and analysts an additional measure to compare the company's performance across reporting periods on a consistent basis by excluding items that we do not believe are indicative of our core operating performance.
Rather, it's only when information on sexual activity is integrated with other measures — such as the date of a woman's last menstrual period — that such tracking becomes useful, experts said.
While that might suggest the «smart money» is signaling a swift correction, don't necessarily buy it: Lipper research found that «following the most recent periods of four or more consecutive weeks of net outflows from the Lipper High Yield ETF segment, the market — as measured by the BofA Merrill Lynch U.S. High Yield Master II Index — performed relatively well in the calendar month that immediately followed.
In addition to reporting financial results in accordance with U.S. GAAP, the Company also provides non-GAAP measures that adjust for the impacts of the NRD resolution and measurement period adjustment to the impact of enactment of the TCJA.
And if you condense the period of comparison to 63 days, the measure of stock - specific risk is the highest since 2000, when the dotcom bubble was still swelling, according to Morgan Stanley data.
Management believes these measures offer the ability to make period - to - period comparisons that are not impacted by certain items that can cause dramatic changes in reported operating results, to perform trend analysis, to better identify operating trends that may otherwise be masked or distorted by these types of items and to provide additional transparency of certain items.
Like the income statement, the statement of cash flow measures financial activity over a period of time.
The Company believes that discussion of these additional non-GAAP measures provides investors with meaningful comparisons of current results to prior periods» results by excluding items that the Company does not believe reflect its fundamental business performance.
Renowned journalist and academic Thomas B. Edsall foresees a period of austerity measures in the United States.
Noting that the value of tech stocks at the height of the dot - com bubble was many times the size of the current cryptocurrency market (with a total value of about $ 519 billion), Citi's report conceded that it may be a while before the crypto bubble bursts: «Bubbles can build in plain sight, be duly identified, and prove highly durable for a period measured in years.»
By disclosing these non-GAAP measures, we intend to provide investors with a consistent comparison of our operating results and trends for the periods presented.
MKS management believes the presentation of these non-GAAP measures is useful to investors for comparing prior periods and analyzing ongoing business trends and operating results.
Over the period measured, such funds produced a net return of 8.95 percent, which is far better than the 2.69 percent average return of hedge funds in general.
Therefore, we believe that the presentation of non-GAAP financial measures that adjust for the amortization of intangible assets provides investors and others with a consistent basis for comparison across accounting periods.
Like the income statement, the cash - flow statement measures financial activity over a period of time.
Three Statistics Canada analysts have recently used newly available data to measure Canadian replacement rates over the period from the early 1980s to the middle of the current decade.
After accounting for the impacts of measures and adjustments, the Sales Tax revenue base is projected to grow at an average annual rate of 4.3 per cent over the forecast period, roughly consistent with the average annual growth in nominal consumption of 4.0 per cent over this period.
This repeated counting is not an issue, since the objective of the analysis is to measure the number of mini flash crashes in the test window against the number of mini flash crashes in each window of similar duration during the control period.
Unadjusted career average earnings will result in a smaller denominator than career average earnings that are adjusted to reflect wage growth, as in the C / QPP benefit rate calculation, and both are likely to be lower than a measure of best average earnings for people whose earnings are high relative to average earnings for limited periods of time.
2 The percentage change has been calculated using actual exchange rates in use during the comparative prior year period to enhance the visibility of the underlying business trends by excluding the impact of translation arising from foreign currency exchange rate fluctuations, which is considered a non-GAAP financial measure.
The closure of Hydro - Quebec's Gentilly - 2 nuclear power plant temporarily lowers Quebec's fiscal capacity, as measured under the Equalization program, which in turn lowers Ontario's Equalization entitlement over a three - year period.
A similar measure, «usual weekly earnings» of employed, full - time, wage and salary workers, tells much the same story, albeit over a shorter time period.
Inflation measures how much more expensive a set of goods and services has become over a certain period, usually a year
In a hastily arranged meeting with industry executives that stunned many inside the West Wing, Mr. Trump said he would formally sign the trade measures next week and promised they would be in effect «for a long period of time.»
Over a 12 - month period (ended June 30, 2017), global hedge funds, as measured by the HFRX Global Hedge Fund Index, delivered decent gains of 6.0 % in US dollar terms.1 That's a vast improvement in the performance of these alternative investments from the prior two years.
It is a well - established fact that, over longer periods of time, companies with lower accruals handily beat companies with higher accruals when measured by total return.
In latest data, for the first 10 months of 2015, governments around the world passed 539 protectionist measures, up from 407 in the same period of 2014 and 183 in 2012.
Powerful budget committees in the State House and Senate signed off on a package of bills on Tuesday that would raise the minimum age to purchase a firearm to 21 from 18, mandate a three - day waiting period for most gun purchases, and increase funding for school safety measures and access to mental health care.
In particular, the exclusion of certain expenses in calculating adjusted EBITDA can provide a useful measure for period - to - period comparisons of our core business.
In every period of speculation, investors begin to abandon historically reliable measures on the grounds that the world has changed in some way that makes these measures invalid.
The horizontal axis measures the average monthly return net of the US return over the same periods.
We measure the effectiveness of our spending by evaluating the «payback period,» which we view as the number of quarters it takes for a quarterly cohort of sellers» cumulative transaction revenue net of transaction costs to surpass our sales and marketing spending in the quarter in which we acquired that cohort.
Moderate interest rates were associated with a whole range of subsequent returns over the following decade, and we know that those outcomes were 90 % correlated with the level of valuations at the beginning of those periods (on reliable measures such as market cap / GDP, price / revenue, Tobin's Q, the margin - adjusted Shiller P / E, and others we've presented over time - see Ockham's Razor and the Market Cycle).
We measure the effectiveness of our spending by evaluating the «payback period,» which we view as the number of quarters it takes for a cohort of sellers» cumulative transaction revenue net of transaction costs to surpass our sales and marketing spending in the quarter in which we acquired that cohort.
«On the other hand, using the same essential measures of valuation and market action, but including periods of major economic dislocation into the dataset, produces average return / risk inferences that are substantially less favorable.
Tracking repeat calls within a specified period (we recommend seven to 14 days) is not only easier than measuring FCR but also casts a wider net, capturing the implicit, or nonobvious, reasons customers call back, such as related downstream issues or an emotional disconnect with a rep.. A word of caution: Tracking repeat calls instead of using FCR inevitably makes performance appear worse.
Average Daily Trading Volume («ADTV») is a measure of the number of shares traded per day, averaged over a specific period of time (we use 50 days).
Portfolio risk is measured using standard deviation, which is a statistical measure of how much a return varies over an extended period of time.
Consider this a period for an experiment in measuring the micro behaviour of those individuals drawing their insurance.
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