HomeMarketsSharesOtter Tail Corp

Trade Otter Tail Corp - OTTR CFD

Market is not available at the momentMarket information is presented
as of 2026-04-20 19:45:33
Trading Conditions
Type
This financial instrument is available for trading through CFDs and Knock-outs.

Knock-out options available only for selected countries.
Learn more about:CFDsKnock-outs
Spread0.18
Long position overnight funding adjustment
Long position overnight funding adjustment

Margin. Your investment
$1,000.00
Overnight funding adjustment
Charges from full value of position
-0.021568 %
(-$1.08)

Trade size with leverage ~ $5,000.00

Money from leverage ~$4,000.00


-0.02157%
Short position overnight funding adjustment
Short position overnight funding adjustment

Margin. Your investment
$1,000.00
Overnight funding adjustment
Charges from full value of position
-0.000654 %
(-$0.03)

Trade size with leverage ~ $5,000.00

Money from leverage ~$4,000.00


-0.00065%
Overnight funding adjustment time21:00 (UTC)
CurrencyUSD
Min traded quantity0.1
Margin20.00%
Stock exchangeUnited States of America
Commission on trade10%
Guaranteed stop premium
A guaranteed stop-loss (GSL) fee is only charged if the GSL is triggered. Please consult the Charges and Fees section of our website for more details.
1%

1Our charge for executing your trade is the spread, the difference between the buy and sell price. Please consult the Charges and Fees section of our website for further information

Key Stats
Prev. Close88.08
Open87.46
1-Year Change11.02%
Day's Range86.95 - 88.44

Trade Otter Tail Corp - OTTR CFD

About Otter Tail Corporation

Otter Tail Corporation is a holding company. The Company operates through three segments: Electric, Manufacturing and Plastics. The Electric segment includes the generation, purchase, transmission, distribution and sale of electric energy in western Minnesota, eastern North Dakota and northeastern South Dakota. The Manufacturing segment consists of businesses in manufacturing activities, such as contract machining; metal parts stamping, fabrication and painting; and production of plastic thermoformed horticultural containers, life science and industrial packaging, material handling components, and extruded raw material stock. These businesses have manufacturing facilities in Georgia, Illinois and Minnesota and sell products primarily in the United States. The Plastics segment consists of businesses producing polyvinyl chloride (PVC) pipe at plants in North Dakota and Arizona. Its PVC pipes are sold primarily in the western half of the United States and Canada.

Financial summary

BRIEF: For the fiscal year ended 31 December 2021, Otter Tail Corporation revenues increased 34% to $1.2B. Net income increased 84% to $176.8M. Revenues reflect Plastics segment increase of 85% to $380.2M, Manufacturing segment increase of 41% to $336.3M, Electric segment increase of 8% to $480.3M. Net income benefited from Plastics segment income increase from $37.8M to $132.8M, Manufacturing segment income increase of 50% to $24.1M.

Equity composition

Common Stock $5 Par, 02/15, 50M auth., 36,002,739 issd. Insiders own 1.65%. PO 5/81, 500K shs. @ $17 by Blyth Eastman Paine Webber. 3/00, 7/88, 2-for-1 stock splits. 4/01, Name changed from Otter Tail Power Co. FY'01 Q's are restated for T.O. Plastic & St. George Steel Fabrication, Inc. acquisition. PO: 9/08, 4.5M shares.

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