Chart - you can draw at the chart
Starting Amount
$
After
years
Dividend yield
%
Dividends reinvested
$
Cott Corporation
Type
Public
Traded as TSX: BCB
NYSE: COT
Industry Beverage
Founded 1952
Headquarters Mississauga, Ontario, Canada
Number of locations
33 strategically located beverage manufacturing and fruit processing facilities, including 20 in the United States, five in Canada, six in the United Kingdom and one in Mexico, as well as one vertically-integrated global concentrate manufacturing facility in Columbus, GA.
Key people
Chairman: David T. Gibbons
President and CEO: Jerry Fowden
CFO: Jay Wells
Products soft drinks, sports drinks, energy drinks, teas and water
Services Private label
Revenue $2.25 Billion
Operating income
$109.7 Million
Net income
$47.8 Million
Total assets $1.6 Billion
Total equity $622.9 Million
Number of employees
3,960
Subsidiaries see below
Website www.cott.com

The Cott Corporation is a supplier of private label carbonated soft drinks distributing to Canada, the United States, Mexico, the United Kingdom, and Europe. In addition to producing private-label beverages for retailers, Cott also has portfolio of its own brands, including Cott, RC (excluding North America, where it is part of Dr Pepper Snapple Group), Ben Shaws, Stars & Stripes, Vintage and Vess soft drinks, ready-to-drink teas, sparkling and flavoured waters, sports and energy drinks, juice drinks and smoothies. Newer Cott brands include Orient Emporium, GL-7, Red Rain Energy and After Shock Energy.

Investment goal date:
Dividends reinvested
Cott Corporation COT report Q2 2017
Period
Date
Adjusted Actuals EPS
GAAP EPS
Q4 2017
2018-02-22
--
--
Q3 2017
2017-11-03
--
--
Q2 2017
2017-08-03
0.0600
-0.1800
Q1 2017
2017-05-04
-0.1300
-0.2600
Q4 2016
2017-02-23
0.0100
-0.5600
Q3 2016
2016-11-10
0.0900
-0.0300
Q2 2016
2016-08-04
0.1500
0.0600
Q1 2016
2016-05-05
-0.0200
-0.0200
Q4 2015
2016-02-18
0.0300
-0.0400
Q3 2015
2015-10-28
0.0900
0.0400
There is presents forecasts or rating agencies and recommendation for investors about this ticker
Funds
Fund Name
Ticker shares
1832 Asset Management L.P.
2072139
ALLIANCEBERNSTEIN L.P.
1584778
Connor, Clark & Lunn Investment Management Ltd.
11472558
FMR LLC
9745914
LEVIN CAPITAL STRATEGIES, L.P.
17865145
Owl Creek Asset Management, L.P.
2740800
P2 Capital Partners, LLC
4314614
PRUDENTIAL PLC
1817700
RENAISSANCE TECHNOLOGIES LLC
1740530
ROYAL BANK OF CANADA
7701054
RUSSELL FRANK CO/
5710963
TD ASSET MANAGEMENT INC
2518271
Vanguard Group, Inc
2684388
VICTORY CAPITAL MANAGEMENT INC
2293173
WELLS FARGO & CO/MN
2150660
Major Shareholders
Name Relationship
Total Shares
Holding stocks