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SOCG

Southern California Gas Company PFD SER A 6%

SOCGP OTCQB
$31.10$0.00  (0%)
Estimate
Beta
0.22
Growth
Revenue, YoY
-68.78%
Net income, YoY
-88.22%
FCF, YoY
-155.36%
Dividends
Dividend yield
4.82%
Annual payout
$1.50
Next ex. div date
September 10, 26
Payout
13.07%
Div.rating
About the company
Ticker
SOCGP
ISIN
US8424343007
Country
Other
Sector (GICS)
Other
Southern California Gas Company owns and operates a natural gas distribution, transmission, and storage system. The company provides natural gas services to approximately 21.7 million customers in Central and Southern California. As of December 31, 2017, it had 2,964 miles of transmission and storage pipelines; 50,577 miles of distribution pipelines; 47,779 miles of service pipelines; and 9 transmission compressor stations, as well as 168 miles of transmission pipelines; 8,928 miles of distribution pipelines; 6,503 miles of service pipelines and 1 compressor station. The company was founded in 1867 and is based in Los Angeles, California. Southern California Gas Company is a subsidiary of Pacific Enterprises Inc.

Frequently asked questions

What sector does Southern California Gas Company PFD SER A 6% (SOCGP) operate in?

Southern California Gas Company PFD SER A 6% belongs to the Other sector and operates in the Other industry.

What is Southern California Gas Company PFD SER A 6% (SOCGP) current stock price?

As of the latest data, Southern California Gas Company PFD SER A 6% stock price is $31.10, with a previous close of $31.10.

Does Southern California Gas Company PFD SER A 6% (SOCGP) pay dividends?

Yes. Southern California Gas Company PFD SER A 6% pays quarterly dividends with an annualized yield of 4.82% and an estimated annual payout of $1.50 per share.

When is the next ex-dividend date for Southern California Gas Company PFD SER A 6% (SOCGP)?

The next ex-dividend date is scheduled for September 10, 2026.

What is Southern California Gas Company PFD SER A 6% (SOCGP) beta (volatility) score?

Southern California Gas Company PFD SER A 6% has a beta of 0.220, indicating lower volatility than the overall market.