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Adesto Technologies Corp (IOTS)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.1/1.0
Sales
Consistency

Sales Consistency Ranking

0.5/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

7/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

13%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
85.60
Acc Dist
1.63
Disc
0.00%
Avg Vol
184,000
Liquidity
0.75%
Below High
8.15%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
89%  66%
EPS Growth
0%
Sls Growth
-4%
Proj Growth
15%
Anal. Rank
5.00
Shares
21.1M
Instit
38%
3-Month Trends of Key Indicators:
Looks Like a Winner?
IOTS looks better than most Top Picks Winners* in 7 out of 10 key factors.
Accum/Dist: 1.63 (median winner: 1.53)
Above 40wkMA: 47% (median winner: 35%)
Instit. Ownership: 38% (median winner: 63%)
Liquidity: 0.75% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 85.60 (winner: 75.66)
Sales Growth: -4% (median winner: 28%)
Below 52wk High: 8.15% (winner: 3.30%)
Relative Strength: 99 (winner: 96)
Avg Qrtly EPS: 77% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Adesto Technologies (NASDAQ:IOTS) is a leading provider of application-specific, ultra-low power, smart non-volatile memory products. The company has designed and built a portfolio of innovative products with intelligent features to conserve energy and enhance performance, including Fusion Serial Flash, DataFlash®, EcoXiP™ and products based on its trademark resistive RAM technology called Conductive Bridging RAM (CBRAM®).

Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr
Daily-6Mo w/2-ATR Stops 3-ATR 4-ATR
Daily-1 Yr (opens in new window)
(Larger Charts. ATR=Average True Range)

Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
IOTS EPS/Sales Growth IOTS vs. Peers

Melco Resorts & Entertainment L (MLCO)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

6/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

10%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
85.40
Acc Dist
1.64
Disc
1.98%
Avg Vol
2,672,700
Liquidity
0.54%
Below High
0.97%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
3%
Proj Growth
29.3%
Anal. Rank
4.65
Shares
492M
Instit
42%
3-Month Trends of Key Indicators:
Looks Like a Winner?
MLCO looks better than most Top Picks Winners* in 6 out of 10 key factors.
Accum/Dist: 1.64 (median winner: 1.53)
Above 40wkMA: 23% (median winner: 35%)
Instit. Ownership: 42% (median winner: 63%)
Liquidity: 0.54% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 85.40 (winner: 75.66)
Sales Growth: 3% (median winner: 28%)
Below 52wk High: 0.97% (winner: 3.30%)
Relative Strength: 91 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Melco Resorts & Entertainment Limited is a developer, owner and operator of casino gaming and entertainment casino resort facilities in Asia.

Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr
Daily-6Mo w/2-ATR Stops 3-ATR 4-ATR
Daily-1 Yr (opens in new window)
(Larger Charts. ATR=Average True Range)

Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
MLCO EPS/Sales Growth MLCO vs. Peers

Everbridge Inc (EVBG)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

1.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

5/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

8%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
84.39
Acc Dist
1.80
Disc
0.00%
Avg Vol
297,900
Liquidity
1.21%
Below High
6.97%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
12%  N/A%
EPS Growth
0%
Sls Growth
35%
Proj Growth
N/A %
Anal. Rank
4.73
Shares
28.3M
Instit
69%
3-Month Trends of Key Indicators:
Looks Like a Winner?
EVBG looks better than most Top Picks Winners* in 5 out of 10 key factors.
Accum/Dist: 1.80 (median winner: 1.53)
Above 40wkMA: 18% (median winner: 35%)
Instit. Ownership: 69% (median winner: 63%)
Liquidity: 1.21% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 84.39 (winner: 75.66)
Sales Growth: 35% (median winner: 28%)
Below 52wk High: 6.97% (winner: 3.30%)
Relative Strength: 91 (winner: 96)
Avg Qrtly EPS: 12% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

We provide enterprise software applications to automate the delivery of critical information to help keep people safe and businesses running.

  • Everbridge Inc (EVBG) CEO & Chairman Jaime Wallace Ellertson Sold $17.2 million of Shares Wed, 22 Nov 2017 23:15:03 +0000
    CEO & Chairman of Everbridge Inc (NASDAQ:EVBG) Jaime Wallace Ellertson sold 650,000 shares of EVBG on 11/20/2017 at an average price of $26.43 a share.
  • Everbridge, Inc. – Value Analysis (NASDAQ:EVBG) : November 21, 2017 Tue, 21 Nov 2017 17:37:16 +0000
    Categories: Fundamental Analysis Yahoo FinanceClick here to see latest analysis Capitalcube gives Everbridge, Inc. a score of 46. Our analysis is based on comparing Everbridge, Inc. with the following peers – OneSoft Solutions Inc., OrangeHook, Inc., Oracle Corporation and Open Text Corporation (OSS-CA, ORHK-US, ORCL-US and OTEX-CA). Investment Outlook Everbridge, Inc. has a fundamental score of 46 and has ... Read more (Read more...)
  • Everbridge, Inc. breached its 50 day moving average in a Bearish Manner : EVBG-US : November 20, 2017 Mon, 20 Nov 2017 13:01:32 +0000
    Categories: ETFs Yahoo FinanceGet full CapitalCube analysis *Disclaimer : This is as of previous day’s closing price. Technical Indicators Below is a quick look at 5 technical indicators for Everbridge, Inc.. More studies are available on the Technical Chart. Indicator Signal Closing Price above/below 50 Day Moving Average Bearish Closing Price above/below 200 Day Moving Average Bullish 50 ... Read more (Read more...)
  • Everbridge Announces Pricing of $100 Million Convertible Notes Offering Thu, 16 Nov 2017 11:00:00 +0000
    Everbridge, Inc. announced today the pricing of an underwritten offering of $100.0 million aggregate principal amount of 1.50% convertible senior notes due 2022 .
  • Everbridge Announces Proposed $100 Million Convertible Notes Offering Tue, 14 Nov 2017 21:05:00 +0000
    Everbridge, Inc. announced today an underwritten offering, subject to market and other conditions, of $100.0 million aggregate principal amount of convertible senior notes due 2022 .
  • Fusion Risk Management and Everbridge Partner to Deliver Enhanced Business Resilience Through Integrated Critical Communications Tue, 07 Nov 2017 07:00:00 +0000
    Fusion Risk Management, Inc. , the leading provider of business continuity risk management software and services, and Everbridge, Inc. , the global leader in critical event management and enterprise safety applications, today announced an enhanced integrated connector offering for businesses.
  • Everbridge reports 3Q loss Mon, 06 Nov 2017 22:25:32 +0000
    On a per-share basis, the Burlington, Massachusetts-based company said it had a loss of 15 cents. Losses, adjusted for stock option expense and amortization costs, were 2 cents per share. The results topped ...
  • Everbridge Announces Third Quarter 2017 Financial Results Mon, 06 Nov 2017 21:10:00 +0000
    Everbridge, Inc. , a global software company that provides critical event management and enterprise safety applications to help keep people safe and businesses running faster, today announced its financial results for the third quarter ended September 30, 2017.
  • ETFs with exposure to Everbridge, Inc. : November 6, 2017 Mon, 06 Nov 2017 16:33:08 +0000
    Categories: ETFs Yahoo FinanceClick here to see latest analysis ETFs with exposure to Everbridge, Inc. Here are 5 ETFs with the largest exposure to EVBG-US. Comparing the performance and risk of Everbridge, Inc. with the ETFs that have exposure to it gives us some ETF choices that could give us similar returns with lower volatility. Ticker Fund Name ... Read more (Read more...)
  • Everbridge, Inc. to Host Earnings Call Mon, 06 Nov 2017 12:25:00 +0000
    NEW YORK, NY / ACCESSWIRE / November 6, 2017 / Everbridge, Inc. (NASDAQ: EVBG ) will be discussing their earnings results in their Q3 Earnings Call to be held on November 6, 2017 at 4:30 PM Eastern Time. ...

Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr
Daily-6Mo w/2-ATR Stops 3-ATR 4-ATR
Daily-1 Yr (opens in new window)
(Larger Charts. ATR=Average True Range)

Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
EVBG EPS/Sales Growth EVBG vs. Peers

Vistra Energy Corp (VST)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

6/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

3%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
83.16
Acc Dist
1.02
Disc
0.00%
Avg Vol
3,892,700
Liquidity
1.18%
Below High
9.06%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
4.38
Shares
428M
Instit
0%
3-Month Trends of Key Indicators:
Looks Like a Winner?
VST looks better than most Top Picks Winners* in 6 out of 10 key factors.
Accum/Dist: 1.02 (median winner: 1.53)
Above 40wkMA: 58% (median winner: 35%)
Instit. Ownership: 0% (median winner: 63%)
Liquidity: 1.18% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 83.16 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 9.06% (winner: 3.30%)
Relative Strength: 81 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Vistra Energy is a premier Texas-based energy company focused on the competitive energy and power generation markets.

Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr
Daily-6Mo w/2-ATR Stops 3-ATR 4-ATR
Daily-1 Yr (opens in new window)
(Larger Charts. ATR=Average True Range)

Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
VST EPS/Sales Growth VST vs. Peers

Savara Inc (SVRA)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

5/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

9%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
83.12
Acc Dist
1.17
Disc
0.00%
Avg Vol
152,800
Liquidity
0.56%
Below High
26.02%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A   
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
5.00
Shares
30.5M
Instit
14%
3-Month Trends of Key Indicators:
Looks Like a Winner?
SVRA looks better than most Top Picks Winners* in 5 out of 10 key factors.
Accum/Dist: 1.17 (median winner: 1.53)
Above 40wkMA: 60% (median winner: 35%)
Instit. Ownership: 14% (median winner: 63%)
Liquidity: 0.56% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 83.12 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 26.02% (winner: 3.30%)
Relative Strength: 98 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Savara Pharmaceuticals is a U.S.-based emerging pharmaceutical development company with an affiliate site in Denmark. The company is focused on advancing a pipeline of novel inhalation therapies for the treatment of patients with rare pulmonary conditions.

Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr
Daily-6Mo w/2-ATR Stops 3-ATR 4-ATR
Daily-1 Yr (opens in new window)
(Larger Charts. ATR=Average True Range)

Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
SVRA EPS/Sales Growth SVRA vs. Peers

LINE Corporation American Depos (LN)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

7/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

6%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
81.83
Acc Dist
2.13
Disc
0.00%
Avg Vol
212,300
Liquidity
0.12%
Below High
0.86%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
29%
Proj Growth
N/A %
Anal. Rank
5.00
Shares
223M
Instit
4%
3-Month Trends of Key Indicators:
Looks Like a Winner?
LN looks better than most Top Picks Winners* in 7 out of 10 key factors.
Accum/Dist: 2.13 (median winner: 1.53)
Above 40wkMA: 23% (median winner: 35%)
Instit. Ownership: 4% (median winner: 63%)
Liquidity: 0.12% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 81.83 (winner: 75.66)
Sales Growth: 29% (median winner: 28%)
Below 52wk High: 0.86% (winner: 3.30%)
Relative Strength: 86 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr
Daily-6Mo w/2-ATR Stops 3-ATR 4-ATR
Daily-1 Yr (opens in new window)
(Larger Charts. ATR=Average True Range)

Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
LN EPS/Sales Growth LN vs. Peers

ProPetro Holding Corp (PUMP)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

8/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

13%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
80.90
Acc Dist
2.07
Disc
0.00%
Avg Vol
1,589,500
Liquidity
2.22%
Below High
1.09%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
4.63
Shares
83M
Instit
60%
3-Month Trends of Key Indicators:
Looks Like a Winner?
PUMP looks better than most Top Picks Winners* in 8 out of 10 key factors.
Accum/Dist: 2.07 (median winner: 1.53)
Above 40wkMA: 48% (median winner: 35%)
Instit. Ownership: 60% (median winner: 63%)
Liquidity: 2.22% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 80.90 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 1.09% (winner: 3.30%)
Relative Strength: 95 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

We are a growth-oriented, Midland, Texas-based oilfield services company providing hydraulic fracturing and other complementary services to leading upstream oil and gas companies engaged in the exploration and production, or E&P, of North American unconventional oil and natural gas resources.

Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr
Daily-6Mo w/2-ATR Stops 3-ATR 4-ATR
Daily-1 Yr (opens in new window)
(Larger Charts. ATR=Average True Range)

Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
PUMP EPS/Sales Growth PUMP vs. Peers

Altaba Inc (AABA)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.3/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

5/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

7%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
80.18
Acc Dist
1.63
Disc
0.00%
Avg Vol
7,000,700
Liquidity
0.80%
Below High
0.44%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
200%  104%
EPS Growth
0%
Sls Growth
1%
Proj Growth
N/A %
Anal. Rank
4.50
Shares
873M
Instit
80%
3-Month Trends of Key Indicators:
Looks Like a Winner?
AABA looks better than most Top Picks Winners* in 5 out of 10 key factors.
Accum/Dist: 1.63 (median winner: 1.53)
Above 40wkMA: 28% (median winner: 35%)
Instit. Ownership: 80% (median winner: 63%)
Liquidity: 0.80% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 80.18 (winner: 75.66)
Sales Growth: 1% (median winner: 28%)
Below 52wk High: 0.44% (winner: 3.30%)
Relative Strength: 93 (winner: 96)
Avg Qrtly EPS: 152% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Altaba Inc. is an independent, publicly traded, non-diversified, closed-end management investment company registered under the 1940 Act. The Fund’s common stock is listed on NASDAQ Global Select Market (“Nasdaq”) under the ticker symbol “AABA.” On June 13, 2017, Yahoo Inc. completed the sale of its operating business to Verizon Communications Inc. Subsequently, the Company was renamed “Altaba Inc.” and began trading under the ticker symbol “AABA.” Because Altaba Inc.’s assets consist primarily of equity investments, short-term debt investments, and cash, the Company was required to register

Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr
Daily-6Mo w/2-ATR Stops 3-ATR 4-ATR
Daily-1 Yr (opens in new window)
(Larger Charts. ATR=Average True Range)

Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
AABA EPS/Sales Growth AABA vs. Peers

Venator Materials PLC Ordinary (VNTR)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

5/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

5%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
80.06
Acc Dist
1.47
Disc
0.00%
Avg Vol
569,800
Liquidity
0.55%
Below High
13.46%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
4.44
Shares
106.3M
Instit
23%
3-Month Trends of Key Indicators:
Looks Like a Winner?
VNTR looks better than most Top Picks Winners* in 5 out of 10 key factors.
Accum/Dist: 1.47 (median winner: 1.53)
Above 40wkMA: 161% (median winner: 35%)
Instit. Ownership: 23% (median winner: 63%)
Liquidity: 0.55% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 80.06 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 13.46% (winner: 3.30%)
Relative Strength: 80 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Venator is a strong, specialized global business with a high value portfolio of innovative pigment and additive products.

  • Venator Materials Plc breached its 50 day moving average in a Bullish Manner : VNTR-US : November 21, 2017 Tue, 21 Nov 2017 12:40:39 +0000
    Categories: ETFs Yahoo FinanceGet full CapitalCube analysis *Disclaimer : This is as of previous day’s closing price. Technical Indicators Below is a quick look at 5 technical indicators for Venator Materials Plc. More studies are available on the Technical Chart. Indicator Signal Closing Price above/below 50 Day Moving Average Bullish Closing Price above/below 200 Day Moving Average Bullish ... Read more (Read more...)
  • Einhorn's Greenlight Capital cuts stakes in GM, Apple Tue, 14 Nov 2017 22:15:47 +0000
    David Einhorn's Greenlight Capital reduced its stakes in iPhone maker Apple Inc. and automaker General Motors Co. in the third quarter, according to a Tuesday regulatory filing. Greenlight's stake in Apple ...
  • Huntsman International LLC -- Moody's upgrades Huntsman's ratings to Ba1; outlook stable Thu, 02 Nov 2017 17:04:07 +0000
    Rating Action: Moody's upgrades Huntsman's ratings to Ba1; outlook stable. Global Credit Research- 02 Nov 2017. New York, November 02, 2017-- Moody's Investors Service, upgraded the Corporate Family Rating ...
  • Venator Announces Third Quarter 2017 Results; Reports Strong Sequential Earnings Growth Fri, 27 Oct 2017 10:05:00 +0000
    WYNYARD , United Kingdom , Oct. 27, 2017 /PRNewswire/ -- Third Quarter 2017 Highlights Net income of $51 million compared to a net loss of $5 million in the prior year period Adjusted EBITDA of $134 million ...
  • Cramer's lightning round: There's no upside story for Kro... Wed, 25 Oct 2017 23:01:00 +0000
    Jim Cramer shared his take on callers' favorite stocks at lightning speed, including a well-known name in grocery.
  • Venator to Discuss Third Quarter 2017 Results on October 27, 2017 Fri, 13 Oct 2017 09:21:00 +0000
    WYNYARD, UK, Oct. 13, 2017 /PRNewswire/ -- Venator Materials PLC (VNTR) ("Venator"), will hold a conference call to discuss its third quarter 2017 financial results on Friday, October 27, 2017 at 9.00 a.m. ET. Third quarter results will be released to the public at approximately 6.00 a.m. ET that day via PR Newswire. In order to facilitate the registration process, you may use the following link to pre-register for the conference call.
  • Cramer Remix: It’s not about sex appeal, it’s about timin... Wed, 11 Oct 2017 23:10:00 +0000
    Jim Cramer didn’t offer up dating advice, he focused on one stock you should have on your radar.
  • Venator to Close Two Manufacturing Sites as part of $90 million Business Improvement Plan Mon, 18 Sep 2017 20:30:00 +0000
    WYNYARD, UK, Sept. 18, 2017 /PRNewswire/ -- Venator Materials PLC (VNTR) announced today that it intends to close its Easton (PA) and St Louis (MO) color pigments manufacturing sites by the end of 2017. Jan Buberl, Vice President of Color Pigments for Venator, said:  "We have been working hard to improve the efficiency of our manufacturing network and we have successfully ramped up production at our Augusta (GA) site. Venator is a global manufacturer and marketer of chemical products that comprise a broad range of pigments and additives that bring color and vibrancy to buildings, protect and extend product life, and reduce energy consumption.
  • Venator Files Second Quarter Results on Form 10-Q Mon, 28 Aug 2017 10:26:00 +0000
    WYNYARD, UK, Aug. 28, 2017 /PRNewswire/ -- Venator Materials PLC (VNTR) ("Venator"), announced today it has filed its quarterly results on Form 10-Q for the period ended June 30, 2017 with the U.S. Securities and Exchange Commission. The announced operating results are the same as those previously reported by Huntsman Corporation for its Pigments and Additives business in its second quarter earnings release issued on July 27, 2017. "The successful close of the IPO and legal separation from Huntsman completed earlier this month were major milestones for Venator and I would like to thank the Huntsman board and management for their support.
  • Huntsman Announces that Venator Closes its IPO Tue, 08 Aug 2017 16:05:00 +0000
    THE WOODLANDS, Texas , Aug. 8, 2017 /PRNewswire/ -- Huntsman Corporation (NYSE: HUN) announced its subsidiary, Venator Materials PLC ("Venator"), a global chemical company dedicated to the development ...

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
VNTR EPS/Sales Growth VNTR vs. Peers

Mazor Robotics Ltd (MZOR)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

8/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

6%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
80.04
Acc Dist
1.28
Disc
0.00%
Avg Vol
607,100
Liquidity
2.70%
Below High
5.85%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
31%
Proj Growth
N/A %
Anal. Rank
2.50
Shares
25.5M
Instit
26%
3-Month Trends of Key Indicators:
Looks Like a Winner?
MZOR looks better than most Top Picks Winners* in 8 out of 10 key factors.
Accum/Dist: 1.28 (median winner: 1.53)
Above 40wkMA: 53% (median winner: 35%)
Instit. Ownership: 26% (median winner: 63%)
Liquidity: 2.70% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 80.04 (winner: 75.66)
Sales Growth: 31% (median winner: 28%)
Below 52wk High: 5.85% (winner: 3.30%)
Relative Strength: 98 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
MZOR EPS/Sales Growth MZOR vs. Peers

Solaris Oilfield Infrastructure (SOI)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

5/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

15%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
80.01
Acc Dist
0.71
Disc
-33.27%
Avg Vol
309,300
Liquidity
0.91%
Below High
8.31%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
4.59
Shares
43.7M
Instit
0%
3-Month Trends of Key Indicators:
Looks Like a Winner?
SOI looks better than most Top Picks Winners* in 5 out of 10 key factors.
Accum/Dist: 0.71 (median winner: 1.53)
Above 40wkMA: 75% (median winner: 35%)
Instit. Ownership: 0% (median winner: 63%)
Liquidity: 0.91% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 80.01 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 8.31% (winner: 3.30%)
Relative Strength: 90 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

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Solaris Oilfield Infrastructure offers products, services and solutions to enhance efficiency and safety in U.S. shale plays.

  • Solaris Oilfield Infrastructure, Inc. Prices Public Offering Thu, 09 Nov 2017 22:57:00 +0000
    Solaris Oilfield Infrastructure, Inc. announced today the pricing of a public offering of 7,000,000 shares of its Class A common stock at $15.75 per share, of which 3,000,000 shares are to be sold by Solaris and 4,000,000 shares are to be sold by the selling stockholders named in the registration statement on Form S-1 filed previously with the U.S.
  • Solaris Oilfield Infrastructure, Inc. Announces Launch of Public Offering Tue, 07 Nov 2017 21:36:00 +0000
    Solaris Oilfield Infrastructure, Inc. announced today that it has launched a public offering of 7,000,000 shares of its Class A common stock , of which 3,000,000 shares are to be sold by Solaris and 4,000,000 shares are to be sold by the selling stockholders named in the registration statement on Form S-1 filed previously with the Securities and Exchange Commission .
  • Oilfield Services: Remember, You Have a Choice Mon, 16 Oct 2017 14:53:00 +0000
    As we discussed earlier today, refiners have rallied recently, but they  aren't the only part of the oil sector seeing gains, as the oilfield services names have also enjoyed greater strength. Wells Fargo's Judson Bailey and his team take a look at oilfield services today, writing that there could be more volatility ahead, especially for the mid-cap stocks, as growth in the lower 48 states starts to slow and margins become more challenging. As part of this thesis, Bailey takes a look at the mid-cap stocks in his coverage, writing that he prefers names where he has confidence in EBIDTA estimates, business mix, managements' ability to execute, free cash flow and balance sheet flexibility, and the ability to take market share.
  • Solaris Oilfield Infrastructure Schedules Third Quarter 2017 Conference Call Thu, 05 Oct 2017 21:53:00 +0000
    Solaris Oilfield Infrastructure, Inc.  will host a conference call to discuss its third quarter 2017 results on Friday, November 3, 2017 at 7:30 a.m.
  • Solaris Oilfield Infrastructure to Present at Barclays CEO Energy-Power Conference Fri, 25 Aug 2017 20:30:00 +0000
    Solaris Oilfield Infrastructure, Inc.  announced today that the Company’s Chief Executive Officer, Greg Lanham, will present at the Barclays CEO Energy-Power Conference in New York.
  • Imperial Initiates Coverage Of Oil & Oilfield Services Companies Fri, 18 Aug 2017 14:51:36 +0000
    With energy prices range bound and constrained by the $50-a-barrel upper resistance, oil and oil services companies aren't having the best of the times. That said, these companies are striving to circumvent ...
  • Edited Transcript of SOI.N earnings conference call or presentation 15-Aug-17 12:30pm GMT Fri, 18 Aug 2017 14:15:37 +0000
    Q2 2017 Solaris Oilfield Infrastructure Inc Earnings Call
  • Solaris Oilfield Infrastructure, Inc. Announces Second Quarter 2017 Results Mon, 14 Aug 2017 12:00:00 +0000
    Solaris Oilfield Infrastructure, Inc. , a leading manufacturer and provider of patented mobile proppant management systems for oil and natural gas well sites, today reported financial results for the second quarter 2017, as further described in the Company’s Quarterly Report on Form 10-Q for the quarter ended June 30, 2017, filed with the Securities and Exchange Commission today.
  • Solaris Announces Long-Term Customer Contract in Connection with Strategic Expansion to Develop a New High-Capacity Transload Facility Wed, 02 Aug 2017 20:30:00 +0000
    Solaris Oilfield Infrastructure, Inc.  , a leading manufacturer and provider of patented mobile proppant management systems for oil and natural gas well sites, today announced a major new customer contract in connection with Solaris’ strategic expansion to integrate transloading logistics with its existing operations.
  • Solaris Oilfield Infrastructure Schedules Second Quarter 2017 Conference Call Thu, 27 Jul 2017 21:00:00 +0000
    Solaris Oilfield Infrastructure, Inc.  will host a conference call to discuss its second quarter 2017 results on Tuesday, August 15, 2017 at 7:30 a.m.

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
SOI EPS/Sales Growth SOI vs. Peers

DASAN Zhone Solutions Inc (DZSI)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.6/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

6/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

1%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
79.91
Acc Dist
1.76
Disc
0.00%
Avg Vol
13,700
Liquidity
0.08%
Below High
2.97%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
104%  97%
EPS Growth
0%
Sls Growth
7%
Proj Growth
N/A %
Anal. Rank
5.00
Shares
16.4M
Instit
9%
3-Month Trends of Key Indicators:
Looks Like a Winner?
DZSI looks better than most Top Picks Winners* in 6 out of 10 key factors.
Accum/Dist: 1.76 (median winner: 1.53)
Above 40wkMA: 31% (median winner: 35%)
Instit. Ownership: 9% (median winner: 63%)
Liquidity: 0.08% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 79.91 (winner: 75.66)
Sales Growth: 7% (median winner: 28%)
Below 52wk High: 2.97% (winner: 3.30%)
Relative Strength: 92 (winner: 96)
Avg Qrtly EPS: 101% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

DASAN Networks, the holding company of DASAN Group, has taken the lead in Korea network solutions and greatly helped Korea to become an IT power house. DASAN has five major global affiliates that work together to help ensure success and maintain the company's vision. They include the NASDAQ-listed global network solution company ‘DZS(DASAN Zhone Solutions)’, the renowned software company ‘HANDYSOFT’, the global auto parts company ‘DMC’, the No. 1 provider of electromagnetic wave shielding materials in Korea ‘SOLUETA‘, and the expert engineering company for heat exchangers ‘DTS‘. As a new drivi

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
DZSI EPS/Sales Growth DZSI vs. Peers

NorthStar Realty Europe Corp C (NRE)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.4/1.0
Sales
Consistency

Sales Consistency Ranking

0.8/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

5/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

11%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
79.52
Acc Dist
3.84
Disc
0.00%
Avg Vol
199,700
Liquidity
0.37%
Below High
0.68%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
45%  67%
EPS Growth
0%
Sls Growth
267%
Proj Growth
N/A %
Anal. Rank
5.00
Shares
55.4M
Instit
74%
3-Month Trends of Key Indicators:
Looks Like a Winner?
NRE looks better than most Top Picks Winners* in 5 out of 10 key factors.
Accum/Dist: 3.84 (median winner: 1.53)
Above 40wkMA: 18% (median winner: 35%)
Instit. Ownership: 74% (median winner: 63%)
Liquidity: 0.37% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 79.52 (winner: 75.66)
Sales Growth: 267% (median winner: 28%)
Below 52wk High: 0.68% (winner: 3.30%)
Relative Strength: 86 (winner: 96)
Avg Qrtly EPS: 56% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
NRE EPS/Sales Growth NRE vs. Peers

Jupai Holdings Limited American (JP)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

8/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

14%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
79.21
Acc Dist
1.21
Disc
0.00%
Avg Vol
767,700
Liquidity
2.74%
Below High
24.34%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
93%
Proj Growth
N/A %
Anal. Rank
0.00
Shares
32.3M
Instit
0%
3-Month Trends of Key Indicators:
Looks Like a Winner?
JP looks better than most Top Picks Winners* in 8 out of 10 key factors.
Accum/Dist: 1.21 (median winner: 1.53)
Above 40wkMA: 86% (median winner: 35%)
Instit. Ownership: 0% (median winner: 63%)
Liquidity: 2.74% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 79.21 (winner: 75.66)
Sales Growth: 93% (median winner: 28%)
Below 52wk High: 24.34% (winner: 3.30%)
Relative Strength: 99 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Jupai is a leading third-party wealth management service provider focusing on distributing wealth management products and providing quality product advisory services to high-net-worth individuals in China. With our network of 76 client centers in 47 economically vibrant cities as of June 30, 2017, we maintain extensive and targeted coverage of China’s high-net-worth population, one of the fastest growing in the world.

  • Jupai Reports Third Quarter 2017 Results Mon, 13 Nov 2017 09:00:00 +0000
    SHANGHAI , Nov. 13, 2017 /PRNewswire/ -- Jupai Holdings Limited ("Jupai" or the "Company") (NYSE: JP), a leading third-party wealth management service provider, focusing on distributing ...
  • Jupai - A Value Play in a High Growing Industry Fri, 10 Nov 2017 01:00:00 +0000
    NEW YORK, NY / ACCESSWIRE / November 9, 2017 / Stone Street Group LLC ("Stone Street") publishes research reports on publicly-traded companies. Stone Street has been retained by the company discussed ...
  • A Tale of Two Markets Wed, 08 Nov 2017 21:30:00 +0000
    A small group of big caps is driving the indices while the bulk of remaining stocks are trading with a negative bias.
  • Seeing Red and Considering Hedges Wed, 08 Nov 2017 16:06:00 +0000
    Tightening stops, closely watching momentum stocks and considering index shorts as I get more defensive.
  • Investor Indifference To Catalonia Strife Belies Risks To Securitizations Wed, 25 Oct 2017 20:57:00 +0000
    While investors in European and US markets have shrugged off for now the results of the Catalan independence referendum, the implications for securitisations in the event of a break-up include potential currency redenomination, legal and asset-value risk.
  • China-Based Wealth Manager In Sweet Spot Of Growth Fri, 13 Oct 2017 17:11:59 +0000
    China-based Jupai Holdings debuted in Friday's exclusive Sector Leaders screen, helped by strong fundamentals and leading price performance.
  • 3 Ways To Play China's Rate Decision Mon, 09 Oct 2017 17:35:22 +0000
    The Chinese central bank said over the weekend that it would be open to changing its monetary policy in the coming months, Bloomberg reported. China's central bank, the People's Bank of China, is unique ...
  • U.S. Stocks Quiet; China Issues Pop As Holidays End Mon, 09 Oct 2017 15:56:35 +0000
    U.S. stocks showed a defensive posture in midday trade. The day's best performing groups included tobacco, meat and gold miners.
  • Jupai Holdings Q2 2017 Note Mon, 02 Oct 2017 15:42:00 +0000
    NEW YORK, NY / ACCESSWIRE / October 2, 2017 / Stone Street Group LLC ("Stone Street") publishes research reports on publicly-traded companies. DISCLOSURES AND DISCLAIMERS Stone Street has been ...
  • CANADA STOCKS-TSX futures little changed after July GDP data Fri, 29 Sep 2017 13:13:43 +0000
    Futures for Canada's main stock index were little changed on Friday after data showed the economy paused in July following eight consecutive months of growth. Declines in oil extraction and the manufacturing ...

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
JP EPS/Sales Growth JP vs. Peers

Alteryx Inc Class A (AYX)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

6/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

29%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
78.50
Acc Dist
1.93
Disc
0.00%
Avg Vol
423,600
Liquidity
0.64%
Below High
1.34%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
4.46
Shares
59.2M
Instit
70%
3-Month Trends of Key Indicators:
Looks Like a Winner?
AYX looks better than most Top Picks Winners* in 6 out of 10 key factors.
Accum/Dist: 1.93 (median winner: 1.53)
Above 40wkMA: 52% (median winner: 35%)
Instit. Ownership: 70% (median winner: 63%)
Liquidity: 0.64% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 78.50 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 1.34% (winner: 3.30%)
Relative Strength: 86 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Self-Service Data Analytics. Repeatable workflow for self-service BI, data preparation, data blending, and advanced analytics. Deeper insights in hours, not weeks.

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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
AYX EPS/Sales Growth AYX vs. Peers

Iovance Biotherapeutics Inc (IOVA)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

3/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

22%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
78.01
Acc Dist
1.17
Disc
0.00%
Avg Vol
575,500
Liquidity
0.62%
Below High
1.64%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A   
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
5.00
Shares
72.6M
Instit
76%
3-Month Trends of Key Indicators:
Looks Like a Winner?
IOVA looks better than most Top Picks Winners* in 3 out of 10 key factors.
Accum/Dist: 1.17 (median winner: 1.53)
Above 40wkMA: 32% (median winner: 35%)
Instit. Ownership: 76% (median winner: 63%)
Liquidity: 0.62% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 78.01 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 1.64% (winner: 3.30%)
Relative Strength: 95 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Iovance Biotherapeutics is focused on the development and commercialization of novel cancer immunotherapies based on tumor infiltrating lymphocytes (TIL). This approach, also known as adoptive T-cell therapy, was initially developed by Dr. Steven A. Rosenberg at the National Cancer Institute (NCI). In Phase 2 clinical trials conducted at the NCI, 56% and 24% of patients treated with this technology were reported by NCI to have achieved objective and complete response criteria, respectively.

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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
IOVA EPS/Sales Growth IOVA vs. Peers

Instructure Inc Common Stock (INST)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

1.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

4/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

12%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
77.95
Acc Dist
1.26
Disc
0.00%
Avg Vol
251,300
Liquidity
0.91%
Below High
0.55%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
5%  15%
EPS Growth
0%
Sls Growth
62%
Proj Growth
N/A %
Anal. Rank
4.73
Shares
29.8M
Instit
83%
3-Month Trends of Key Indicators:
Looks Like a Winner?
INST looks better than most Top Picks Winners* in 4 out of 10 key factors.
Accum/Dist: 1.26 (median winner: 1.53)
Above 40wkMA: 26% (median winner: 35%)
Instit. Ownership: 83% (median winner: 63%)
Liquidity: 0.91% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 77.95 (winner: 75.66)
Sales Growth: 62% (median winner: 28%)
Below 52wk High: 0.55% (winner: 3.30%)
Relative Strength: 93 (winner: 96)
Avg Qrtly EPS: 10% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

  • ETFs with exposure to Instructure, Inc. : November 21, 2017 Tue, 21 Nov 2017 16:56:28 +0000
    Categories: ETFs Yahoo FinanceClick here to see latest analysis ETFs with exposure to Instructure, Inc. Here are 5 ETFs with the largest exposure to INST-US. Comparing the performance and risk of Instructure, Inc. with the ETFs that have exposure to it gives us some ETF choices that could give us similar returns with lower volatility. Ticker Fund Name ... Read more (Read more...)
  • Work-Related Stress Wreaking Havoc on Today's Employees, Finds New Survey from Bridge by Instructure Tue, 14 Nov 2017 13:00:00 +0000
    SALT LAKE CITY, Nov. 14, 2017 /PRNewswire/ -- Bridge by Instructure, Inc. (INST), a talent management software suite for businesses, revealed that unspoken workplace expectations often pressure employees to adopt a less-balanced lifestyle as a way to progress in their careers. Notably, the research, which comes from Bridge's recent national survey of more than 1,000 office employees, showed that 78 percent of respondents believe working more hours is at least moderately important in getting promoted. "Because of today's workplace atmosphere, many employees aren't able to fully disconnect after traditional work hours and feel they need to work more in order to advance.
  • Instructure Ranked Among the Fastest Growing Companies in North America on Deloitte's 2017 Technology Fast 500™ Fri, 10 Nov 2017 13:00:00 +0000
    SALT LAKE CITY, Nov. 10, 2017 /PRNewswire/ -- Instructure, Inc. (INST) today announced it ranked number 280 on Deloitte's Technology Fast 500™, a ranking of the 500 fastest growing technology, media, telecommunications, life sciences and energy tech companies in North America. "Recognition for the growth we have achieved is heartening, and it's only possible thanks to the incredible work of our team who are so passionate about delivering quality online learning," said Jeff Weber, SVP of people and places for Instructure. Deloitte Technology Fast 500 selects companies based on percentage fiscal year revenue growth over a three year period.
  • Instructure, Inc. :INST-US: Earnings Analysis: Q3, 2017 By the Numbers : November 8, 2017 Wed, 08 Nov 2017 13:12:32 +0000
    Categories: Yahoo FinanceGet free summary analysis Instructure, Inc. reports financial results for the quarter ended September 30, 2017. We analyze the earnings along side the following peers of Instructure, Inc. – Oracle Corporation and OneSoft Solutions Inc. (ORCL-US and OSS-CA) that have also reported for this period. Highlights Summary numbers: Revenues of USD 42.95 million, Net Earnings ... Read more (Read more...)
  • Edited Transcript of INST earnings conference call or presentation 30-Oct-17 9:00pm GMT Tue, 31 Oct 2017 22:01:09 +0000
    Q3 2017 Instructure Inc Earnings Call
  • Instructure Inc Continues to Add to Its Sticky Revenue Tue, 31 Oct 2017 19:44:00 +0000
    And it shows with this one key metric, which management promised would be impressive.
  • Instructure reports 3Q loss Mon, 30 Oct 2017 21:23:52 +0000
    On a per-share basis, the Salt Lake City-based company said it had a loss of 42 cents. Losses, adjusted for stock option expense and non-recurring costs, were 27 cents per share. The results beat Wall ...
  • Instructure Reports Third Quarter 2017 Financial Results Mon, 30 Oct 2017 20:05:00 +0000
    Q3 2017 Revenue of $42.9 Million , Up 42% Year-Over-Year SALT LAKE CITY , Oct. 30, 2017 /PRNewswire/ -- Instructure, Inc. (NYSE: INST), a leading software-as-a-service (SaaS) technology company that makes ...
  • Instructure, Inc. to Host Earnings Call Mon, 30 Oct 2017 17:00:00 +0000
    NEW YORK, NY / ACCESSWIRE / October 30, 2017 / Instructure, Inc. (NYSE: INST ) will be discussing their earnings results in their Q3 Earnings Call to be held on October 30, 2017 at 5:00 PM Eastern Time. ...
  • Interested In The Tech Industry? Take A Look At Instructure Inc (INST) Mon, 30 Oct 2017 12:01:33 +0000
    Instructure Inc (NYSE:INST), is a USD$968.05M small-cap, which operates in the software industry based in United States. The past two decades have experienced unprecedented changes in technology, and the nextRead More...

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
INST EPS/Sales Growth INST vs. Peers

Centennial Resource Development (CDEV)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.6/1.0
Sales
Consistency

Sales Consistency Ranking

1.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

4/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

9%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
77.94
Acc Dist
1.28
Disc
61.88%
Avg Vol
1,697,100
Liquidity
0.79%
Below High
6.11%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
9%
Proj Growth
N/A %
Anal. Rank
4.78
Shares
276M
Instit
0%
3-Month Trends of Key Indicators:
Looks Like a Winner?
CDEV looks better than most Top Picks Winners* in 4 out of 10 key factors.
Accum/Dist: 1.28 (median winner: 1.53)
Above 40wkMA: 20% (median winner: 35%)
Instit. Ownership: 0% (median winner: 63%)
Liquidity: 0.79% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 77.94 (winner: 75.66)
Sales Growth: 9% (median winner: 28%)
Below 52wk High: 6.11% (winner: 3.30%)
Relative Strength: 82 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Centennial Resource Development, Inc., together with its subsidiary, Centennial Resource Production, LLC, operates as an independent oil and natural gas company in the United States. It focuses on the development and acquisition of unconventional oil and associated natural gas reserves located in Reeves, Ward, and Pecos counties, West Texas. The company was formerly known as Silver Run Acquisition Corporation and changed its name to Centennial Resource Development, Inc. in October 2016. Centennial Resource Development, Inc. is based in Denver, Colorado.

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
CDEV EPS/Sales Growth CDEV vs. Peers

Grupo Supervielle SA American (SUPV)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

1.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

5/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

24%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
77.62
Acc Dist
1.44
Disc
-35.42%
Avg Vol
478,600
Liquidity
0.67%
Below High
1.60%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
7%
Proj Growth
24.1%
Anal. Rank
5.00
Shares
72.8M
Instit
65%
3-Month Trends of Key Indicators:
Looks Like a Winner?
SUPV looks better than most Top Picks Winners* in 5 out of 10 key factors.
Accum/Dist: 1.44 (median winner: 1.53)
Above 40wkMA: 41% (median winner: 35%)
Instit. Ownership: 65% (median winner: 63%)
Liquidity: 0.67% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 77.62 (winner: 75.66)
Sales Growth: 7% (median winner: 28%)
Below 52wk High: 1.60% (winner: 3.30%)
Relative Strength: 95 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
SUPV EPS/Sales Growth SUPV vs. Peers

Advanced Accelerator Applicatio (AAAP)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.4/1.0
Sales
Consistency

Sales Consistency Ranking

0.7/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

9/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

0%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
77.36
Acc Dist
4.85
Disc
0.00%
Avg Vol
828,000
Liquidity
2.36%
Below High
0.34%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
16%
Proj Growth
N/A %
Anal. Rank
3.13
Shares
44M
Instit
22%
3-Month Trends of Key Indicators:
Looks Like a Winner?
AAAP looks better than most Top Picks Winners* in 9 out of 10 key factors.
Accum/Dist: 4.85 (median winner: 1.53)
Above 40wkMA: 65% (median winner: 35%)
Instit. Ownership: 22% (median winner: 63%)
Liquidity: 2.36% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 77.36 (winner: 75.66)
Sales Growth: 16% (median winner: 28%)
Below 52wk High: 0.34% (winner: 3.30%)
Relative Strength: 98 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
AAAP EPS/Sales Growth AAAP vs. Peers

News Ord Shs Class B (NWS)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.2/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

5/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

15%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
77.30
Acc Dist
2.54
Disc
0.00%
Avg Vol
483,700
Liquidity
0.09%
Below High
2.27%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
500%  -593%
EPS Growth
0%
Sls Growth
-2%
Proj Growth
N/A %
Anal. Rank
3.13
Shares
583M
Instit
28%
3-Month Trends of Key Indicators:
Looks Like a Winner?
NWS looks better than most Top Picks Winners* in 5 out of 10 key factors.
Accum/Dist: 2.54 (median winner: 1.53)
Above 40wkMA: 16% (median winner: 35%)
Instit. Ownership: 28% (median winner: 63%)
Liquidity: 0.09% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 77.30 (winner: 75.66)
Sales Growth: -2% (median winner: 28%)
Below 52wk High: 2.27% (winner: 3.30%)
Relative Strength: 83 (winner: 96)
Avg Qrtly EPS: -47% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
NWS EPS/Sales Growth NWS vs. Peers

argenx SE (ARGX)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

5/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

16%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
77.26
Acc Dist
1.40
Disc
0.00%
Avg Vol
42,100
Liquidity
0.19%
Below High
5.32%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
5.00
Shares
26.9M
Instit
26%
3-Month Trends of Key Indicators:
Looks Like a Winner?
ARGX looks better than most Top Picks Winners* in 5 out of 10 key factors.
Accum/Dist: 1.40 (median winner: 1.53)
Above 40wkMA: 69% (median winner: 35%)
Instit. Ownership: 26% (median winner: 63%)
Liquidity: 0.19% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 77.26 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 5.32% (winner: 3.30%)
Relative Strength: 85 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Argenx discovers, designs and develops innovative antibody therapeutics for its own pipeline of treatments for cancer and autoimmune diseases and for its partners. Harnessing our technology and know-how, we aim to meet the needs of patients by engineering antibodies to target diseases too complex for other antibody technologies.

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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
ARGX EPS/Sales Growth ARGX vs. Peers

tronc Inc (TRNC)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.4/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

6/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

21%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
77.13
Acc Dist
2.07
Disc
0.00%
Avg Vol
93,400
Liquidity
0.29%
Below High
1.20%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
119%  36%
EPS Growth
0%
Sls Growth
-4%
Proj Growth
N/A %
Anal. Rank
5.00
Shares
33.6M
Instit
37%
3-Month Trends of Key Indicators:
Looks Like a Winner?
TRNC looks better than most Top Picks Winners* in 6 out of 10 key factors.
Accum/Dist: 2.07 (median winner: 1.53)
Above 40wkMA: 26% (median winner: 35%)
Instit. Ownership: 37% (median winner: 63%)
Liquidity: 0.29% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 77.13 (winner: 75.66)
Sales Growth: -4% (median winner: 28%)
Below 52wk High: 1.20% (winner: 3.30%)
Relative Strength: 89 (winner: 96)
Avg Qrtly EPS: 78% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
TRNC EPS/Sales Growth TRNC vs. Peers

Nutanix Inc (NTNX)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.1/1.0
Sales
Consistency

Sales Consistency Ranking

1.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

8/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

22%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
77.12
Acc Dist
1.69
Disc
0.00%
Avg Vol
3,846,400
Liquidity
1.86%
Below High
1.52%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
55%  33%
EPS Growth
0%
Sls Growth
78%
Proj Growth
20%
Anal. Rank
4.11
Shares
155M
Instit
51%
3-Month Trends of Key Indicators:
Looks Like a Winner?
NTNX looks better than most Top Picks Winners* in 8 out of 10 key factors.
Accum/Dist: 1.69 (median winner: 1.53)
Above 40wkMA: 57% (median winner: 35%)
Instit. Ownership: 51% (median winner: 63%)
Liquidity: 1.86% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 77.12 (winner: 75.66)
Sales Growth: 78% (median winner: 28%)
Below 52wk High: 1.52% (winner: 3.30%)
Relative Strength: 94 (winner: 96)
Avg Qrtly EPS: 44% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Nutanix hyperconverged solution simplifies enterprise datacenter infrastructure by integrating server and storage resources into a turnkey platform.

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
NTNX EPS/Sales Growth NTNX vs. Peers

Tellurian Inc (TELL)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

3/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

15%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
76.76
Acc Dist
1.19
Disc
0.00%
Avg Vol
410,700
Liquidity
0.18%
Below High
44.48%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A   
EPS Growth
0%
Sls Growth
-100%
Proj Growth
N/A %
Anal. Rank
5.00
Shares
212.7M
Instit
10%
3-Month Trends of Key Indicators:
Looks Like a Winner?
TELL looks better than most Top Picks Winners* in 3 out of 10 key factors.
Accum/Dist: 1.19 (median winner: 1.53)
Above 40wkMA: 13% (median winner: 35%)
Instit. Ownership: 10% (median winner: 63%)
Liquidity: 0.18% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 76.76 (winner: 75.66)
Sales Growth: -100% (median winner: 28%)
Below 52wk High: 44.48% (winner: 3.30%)
Relative Strength: 90 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Tellurian Investments was founded as a private company on February 23, 2016 by Charif Souki and Martin Houston. On February 10, 2017, it merged with Magellan Petroleum and became a public company known as Tellurian Inc.listed on the Nasdaq under TELL.

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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
TELL EPS/Sales Growth TELL vs. Peers

Ichor Holdings (ICHR)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.2/1.0
Sales
Consistency

Sales Consistency Ranking

0.9/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

5/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

11%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
76.72
Acc Dist
1.18
Disc
0.00%
Avg Vol
967,300
Liquidity
4.41%
Below High
18.16%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
28%
Proj Growth
N/A %
Anal. Rank
4.50
Shares
25.6M
Instit
76%
3-Month Trends of Key Indicators:
Looks Like a Winner?
ICHR looks better than most Top Picks Winners* in 5 out of 10 key factors.
Accum/Dist: 1.18 (median winner: 1.53)
Above 40wkMA: 28% (median winner: 35%)
Instit. Ownership: 76% (median winner: 63%)
Liquidity: 4.41% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 76.72 (winner: 75.66)
Sales Growth: 28% (median winner: 28%)
Below 52wk High: 18.16% (winner: 3.30%)
Relative Strength: 94 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

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Ichor Systems is a leading manufacturer of gas and chemical delivery systems for semiconductor process equipment, with capabilities in many other industries.

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
ICHR EPS/Sales Growth ICHR vs. Peers

Herc Holdings Inc Common Stock (HRI)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.3/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

3/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

8%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
76.70
Acc Dist
1.24
Disc
0.00%
Avg Vol
238,800
Liquidity
0.89%
Below High
0.71%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
309%  -234%
EPS Growth
0%
Sls Growth
-36%
Proj Growth
N/A %
Anal. Rank
4.16
Shares
28.4M
Instit
100%
3-Month Trends of Key Indicators:
Looks Like a Winner?
HRI looks better than most Top Picks Winners* in 3 out of 10 key factors.
Accum/Dist: 1.24 (median winner: 1.53)
Above 40wkMA: 27% (median winner: 35%)
Instit. Ownership: 100% (median winner: 63%)
Liquidity: 0.89% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 76.70 (winner: 75.66)
Sales Growth: -36% (median winner: 28%)
Below 52wk High: 0.71% (winner: 3.30%)
Relative Strength: 94 (winner: 96)
Avg Qrtly EPS: 37% (median winner: 68%)
Industry Group: 1. Not Available

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Welcome to Herc Holdings Inc! We are a newly independent and publicly traded company listed on the New York Stock Exchange under 'HRI'.

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
HRI EPS/Sales Growth HRI vs. Peers

National Energy Services Reunit (NESR)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

7/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

4%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
76.57
Acc Dist
3.10
Disc
0.00%
Avg Vol
47,100
Liquidity
0.27%
Below High
0.70%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
0.00
Shares
28.7M
Instit
40%
3-Month Trends of Key Indicators:
Looks Like a Winner?
NESR looks better than most Top Picks Winners* in 7 out of 10 key factors.
Accum/Dist: 3.10 (median winner: 1.53)
Above 40wkMA: 71% (median winner: 35%)
Instit. Ownership: 40% (median winner: 63%)
Liquidity: 0.27% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 76.57 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 0.70% (winner: 3.30%)
Relative Strength: 73 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

National Energy Services Reunited Corp. is a blank check company. The Company formed for the purpose of acquiring, engaging in a share exchange, share reconstruction and amalgamation, purchasing all of the assets of, entering into contractual arrangements, or engaging in any other similar business combination. The Company intends to focus its search on target businesses that operate in the energy services industry, with an emphasis on oil and gas services globally. The Company will either seek shareholder approval of its initial business combination at a meeting called for such purpose at whic

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
NESR EPS/Sales Growth NESR vs. Peers

Hutchison China MediTech Limited (HCM)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.3/1.0
Sales
Consistency

Sales Consistency Ranking

0.9/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

8/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

2%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
76.41
Acc Dist
2.47
Disc
0.00%
Avg Vol
82,100
Liquidity
0.09%
Below High
4.76%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
57%
Proj Growth
N/A %
Anal. Rank
5.00
Shares
121.5M
Instit
4%
3-Month Trends of Key Indicators:
Looks Like a Winner?
HCM looks better than most Top Picks Winners* in 8 out of 10 key factors.
Accum/Dist: 2.47 (median winner: 1.53)
Above 40wkMA: 48% (median winner: 35%)
Instit. Ownership: 4% (median winner: 63%)
Liquidity: 0.09% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 76.41 (winner: 75.66)
Sales Growth: 57% (median winner: 28%)
Below 52wk High: 4.76% (winner: 3.30%)
Relative Strength: 97 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
HCM EPS/Sales Growth HCM vs. Peers

Pure Storage Inc (PSTG)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.2/1.0
Sales
Consistency

Sales Consistency Ranking

0.9/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

6/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

14%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
76.39
Acc Dist
2.06
Disc
0.00%
Avg Vol
1,453,700
Liquidity
0.63%
Below High
0.43%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
3%  12%
EPS Growth
0%
Sls Growth
157%
Proj Growth
N/A %
Anal. Rank
4.41
Shares
211.5M
Instit
85%
3-Month Trends of Key Indicators:
Looks Like a Winner?
PSTG looks better than most Top Picks Winners* in 6 out of 10 key factors.
Accum/Dist: 2.06 (median winner: 1.53)
Above 40wkMA: 40% (median winner: 35%)
Instit. Ownership: 85% (median winner: 63%)
Liquidity: 0.63% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 76.39 (winner: 75.66)
Sales Growth: 157% (median winner: 28%)
Below 52wk High: 0.43% (winner: 3.30%)
Relative Strength: 92 (winner: 96)
Avg Qrtly EPS: 7% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

  • Pure Storage's (PSTG) Q3 Earnings to Gain From Flash Adoption Fri, 24 Nov 2017 11:46:11 +0000
    Pure Storage's (PSTG) third-quarter fiscal 2018 earnings will benefit from rapid adoption of its flash-based solutions.
  • See what the IHS Markit Score report has to say about Pure Storage Inc. Tue, 21 Nov 2017 13:08:00 +0000
    Short interest is low for PSTG with fewer than 5% of shares on loan. The last change in the short interest score occurred more than 1 month ago and implies that there has been little change in sentiment among investors who seek to profit from falling equity prices. Over the last month, ETFs holding PSTG are favorable, with net inflows of $2.61 billion.
  • CORRECTING and REPLACING – Recent Analysis Shows Pure Storage, Catalent, Boyd Gaming, Halozyme Therapeutics, Clovis Oncology, and General Cable Market Influences – Renewed Outlook, Key Drivers of Growth Tue, 14 Nov 2017 19:55:43 +0000
    NEW YORK, Nov. 14, 2017-- In a release issued under the same headline on November 13th, 2017 by Fundamental Markets, please note that in the P ure Storage's Recent Financial Performance section, the first ...
  • Pure Storage Honored with CRN 2017 Tech Innovator Award Mon, 13 Nov 2017 21:10:00 +0000
    MOUNTAIN VIEW, Calif., Nov. 13, 2017 /PRNewswire/ -- Pure Storage (PSTG), the market's leading independent all-flash data platform vendor for the cloud era, announced today that CRN, a brand of The Channel Company, has recognized the company with a 2017 CRN Tech Innovator Award. This year, CRN editors evaluated 216 products across 32 technology categories using several criteria including technological advancements, uniqueness of features and potential to help solution providers solve end users' IT challenges. In April 2017, Pure Storage introduced FlashArray//X, the first enterprise-class, direct-to-flash, all-NVMe array.
  • Recent Analysis Shows Pure Storage, Catalent, Boyd Gaming, Halozyme Therapeutics, Clovis Oncology, and General Cable Market Influences – Renewed Outlook, Key Drivers of Growth Mon, 13 Nov 2017 12:50:00 +0000
    NEW YORK, Nov. 13, 2017-- In new independent research reports released early this morning, Fundamental Markets released its latest key findings for all current investors, traders, and shareholders of Pure ...
  • Why Micron Should Consider Buying Pure Storage Tue, 24 Oct 2017 14:56:04 +0000
    Shares of Pure Storage Inc (NYSE: PSTG ) were trading higher by around 3 percent Tuesday morning after analysts at Susquehanna Financial Group suggested the company is an attractive takeover target with ...
  • Pure Storage chairman explains speculation over its stock Thu, 12 Oct 2017 08:36:00 +0000
    Pure Storage Chairman Scott Dietzen said artificial intelligence and data storage are the key drivers for his company's growth.
  • Harry Boxer’s four stocks to watch today Wed, 11 Oct 2017 16:30:02 +0000
    In focus: Diodes, Nutanix, Pure Storage and Abeona Therapeutics.
  • ETFs with exposure to Pure Storage, Inc. : October 4, 2017 Wed, 04 Oct 2017 14:56:51 +0000
    Categories: ETFs Yahoo FinanceClick here to see latest analysis ETFs with exposure to Pure Storage, Inc. Here are 5 ETFs with the largest exposure to PSTG-US. Comparing the performance and risk of Pure Storage, Inc. with the ETFs that have exposure to it gives us some ETF choices that could give us similar returns with lower volatility. Ticker ... Read more (Read more...)
  • FlashBlade wins AIconics Best Innovation in AI Hardware Fri, 29 Sep 2017 13:00:00 +0000
    SAN FRANCISCO, Sept. 29, 2017 /PRNewswire/ -- Pure Storage (PSTG), the market's leading independent all-flash data platform vendor for the cloud era, today announced that its FlashBlade™ array won Best Innovation in AI Hardware at AI Summit 2017. Optimized and self tuned for any workload powered by unstructured data,FlashBlade provides the fast, highly scalable and effortlessly simple storage infrastructure required by data-intensive analytics such as artificial intelligence, deep learning and machine learning. "While the conversation around AI and ML solutions tends to focus on analytics software, a new, comprehensive set of purpose-built infrastructure software and hardware support is essential to capitalize on the AI revolution," said Par Botes, VP of Product, Pure Storage.

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
PSTG EPS/Sales Growth PSTG vs. Peers

JELD (JELD)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.2/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

5/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

18%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
76.24
Acc Dist
2.06
Disc
65.72%
Avg Vol
731,700
Liquidity
0.77%
Below High
0.05%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
-40%  -39%
EPS Growth
0%
Sls Growth
2%
Proj Growth
N/A %
Anal. Rank
4.30
Shares
105.5M
Instit
46%
3-Month Trends of Key Indicators:
Looks Like a Winner?
JELD looks better than most Top Picks Winners* in 5 out of 10 key factors.
Accum/Dist: 2.06 (median winner: 1.53)
Above 40wkMA: 22% (median winner: 35%)
Instit. Ownership: 46% (median winner: 63%)
Liquidity: 0.77% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 76.24 (winner: 75.66)
Sales Growth: 2% (median winner: 28%)
Below 52wk High: 0.05% (winner: 3.30%)
Relative Strength: 90 (winner: 96)
Avg Qrtly EPS: -39% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

JELD-WEN is one of the world’s leading manufacturers of reliable windows and doors. Our extensive product offering encompasses windows, exterior doors, interior doors and related building products that are sold globally through multiple distribution channels, including retail home centers, wholesale distributors and building products dealers. Consistently ranked as Oregon’s largest privately owned company, JELD-WEN began in 1960 as a small Oregon millwork plant with 15 employees and today has approximately 20,000 employees across more than 100 locations in the Americas, Europe, Asia and Austr

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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
JELD EPS/Sales Growth JELD vs. Peers

PCSB Financial Corporation (PCSB)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

1.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

7/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

6%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
76.24
Acc Dist
2.13
Disc
0.00%
Avg Vol
35,500
Liquidity
0.16%
Below High
2.69%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
10%
Proj Growth
N/A %
Anal. Rank
5.00
Shares
18.2M
Instit
40%
3-Month Trends of Key Indicators:
Looks Like a Winner?
PCSB looks better than most Top Picks Winners* in 7 out of 10 key factors.
Accum/Dist: 2.13 (median winner: 1.53)
Above 40wkMA: 40% (median winner: 35%)
Instit. Ownership: 40% (median winner: 63%)
Liquidity: 0.16% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 76.24 (winner: 75.66)
Sales Growth: 10% (median winner: 28%)
Below 52wk High: 2.69% (winner: 3.30%)
Relative Strength: 78 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

PCSB has a heart for people and a head for progress. We’re rooted in a 150-year tradition of family values, yet we’re always innovating to make banking easier for you. We’re dedicated to making our communities better, so there is no finish line. We’re always sharpening our skills, brainstorming solutions, creating opportunities, preserving shared values and enjoying the journey with you—because we believe in you. We’re your partners who are here to help you succeed with a modern, forward-thinking approach that’s propelling this community toward progress.

  • PCSB Financial Corp. – Value Analysis (NASDAQ:PCSB) : November 13, 2017 Mon, 13 Nov 2017 19:17:00 +0000
    Categories: Fundamental Analysis Yahoo FinanceClick here to see latest analysis Capitalcube gives PCSB Financial Corp. a score of 20. Our analysis is based on comparing PCSB Financial Corp. with the following peers – Northeast Bancorp, NBT Bancorp Inc., Nicolet Bankshares, Inc. and National Bank Holdings Corporation Class A (NBN-US, NBTB-US, NCBS-US and NBHC-US). Fundamental Overview PCSB Financial Corp. has ... Read more (Read more...)
  • PCSB Financial Corp. breached its 50 day moving average in a Bearish Manner : PCSB-US : November 10, 2017 Fri, 10 Nov 2017 12:40:02 +0000
    Categories: ETFs Yahoo FinanceGet full CapitalCube analysis *Disclaimer : This is as of previous day’s closing price. Technical Indicators Below is a quick look at 5 technical indicators for PCSB Financial Corp.. More studies are available on the Technical Chart. Indicator Signal Closing Price above/below 50 Day Moving Average Bearish Closing Price above/below 200 Day Moving Average Bullish ... Read more (Read more...)
  • PCSB Financial Corporation Announces Results for Three Months Ended September 30, 2017 Thu, 26 Oct 2017 12:30:00 +0000
    YORKTOWN HEIGHTS, NY, Oct. 26, 2017-- PCSB Financial Corporation, parent of PCSB Bank, today announced net income of $1.8 million, or $0.10 per basic and diluted share, for the three months ended September ...
  • ETFs with exposure to PCSB Financial Corp. : October 13, 2017 Fri, 13 Oct 2017 15:08:45 +0000
    Categories: ETFs Yahoo FinanceClick here to see latest analysis ETFs with exposure to PCSB Financial Corp. Here are 5 ETFs with the largest exposure to PCSB-US. Comparing the performance and risk of PCSB Financial Corp. with the ETFs that have exposure to it gives us some ETF choices that could give us similar returns with lower volatility. Ticker ... Read more (Read more...)
  • PCSB Financial Corp. :PCSB-US: Earnings Analysis: Q4, 2017 By the Numbers : September 29, 2017 Fri, 29 Sep 2017 12:53:39 +0000
    Categories: Yahoo FinanceGet free summary analysis PCSB Financial Corp. reports financial results for the quarter ended June 30, 2017. Highlights Summary numbers: Revenues of USD 10.05 million, Net Earnings of USD -1.79 million. Net interest income margins narrowed from 95.20% to 93.56% compared to the same period last year. Change in operating cash flow of 153.51% compared ... Read more (Read more...)
  • PCSB Financial Corp (PCSB) Files 10-K for the Fiscal Year Ended on June 30, 2017 Wed, 27 Sep 2017 23:48:03 +0000
    PCSB Financial Corp (NASDAQ:PCSB) files its latest 10-K with SEC for the fiscal year ended on June 30, 2017.
  • PCSB Financial Corp. breached its 50 day moving average in a Bullish Manner : PCSB-US : September 12, 2017 Tue, 12 Sep 2017 12:53:41 +0000
    Categories: ETFs Yahoo FinanceGet full CapitalCube analysis *Disclaimer : This is as of previous day’s closing price. Technical Indicators Below is a quick look at 5 technical indicators for PCSB Financial Corp.. More studies are available on the Technical Chart. Indicator Signal Closing Price above/below 50 Day Moving Average Bullish Closing Price above/below 200 Day Moving Average Bullish ... Read more (Read more...)
  • PCSB Financial Corp. – Value Analysis (NASDAQ:PCSB) : August 17, 2017 Thu, 17 Aug 2017 01:50:18 +0000
    Categories: Fundamental Analysis Yahoo FinanceClick here to see latest analysis Capitalcube gives PCSB Financial Corp. a score of 30. Our analysis is based on comparing PCSB Financial Corp. with the following peers – National Bank Holdings Corporation Class A, Northeast Bancorp, NBT Bancorp Inc. and National Bank of Greece S.A. (NBHC-US, NBN-US, NBTB-US and NBGIF-US). Fundamental Overview PCSB Financial ... Read more (Read more...)
  • PCSB Financial Corp. breached its 50 day moving average in a Bullish Manner : PCSB-US : August 15, 2017 Tue, 15 Aug 2017 12:34:10 +0000
    Categories: ETFs Yahoo FinanceGet full CapitalCube analysis *Disclaimer : This is as of previous day’s closing price. Technical Indicators Below is a quick look at 5 technical indicators for PCSB Financial Corp.. More studies are available on the Technical Chart. Indicator Signal Closing Price above/below 50 Day Moving Average Bullish Closing Price above/below 200 Day Moving Average Bullish ... Read more (Read more...)
  • PCSB Financial Corp. breached its 50 day moving average in a Bearish Manner : PCSB-US : August 3, 2017 Thu, 03 Aug 2017 13:22:06 +0000
    Categor

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
PCSB EPS/Sales Growth PCSB vs. Peers

Lantheus Holdings Inc (LNTH)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.1/1.0
Sales
Consistency

Sales Consistency Ranking

0.5/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

5/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

8%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
76.15
Acc Dist
1.30
Disc
80.92%
Avg Vol
431,700
Liquidity
1.19%
Below High
5.81%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
62%  46%
EPS Growth
0%
Sls Growth
2%
Proj Growth
12%
Anal. Rank
5.00
Shares
37.5M
Instit
92%
3-Month Trends of Key Indicators:
Looks Like a Winner?
LNTH looks better than most Top Picks Winners* in 5 out of 10 key factors.
Accum/Dist: 1.30 (median winner: 1.53)
Above 40wkMA: 38% (median winner: 35%)
Instit. Ownership: 92% (median winner: 63%)
Liquidity: 1.19% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 76.15 (winner: 75.66)
Sales Growth: 2% (median winner: 28%)
Below 52wk High: 5.81% (winner: 3.30%)
Relative Strength: 96 (winner: 96)
Avg Qrtly EPS: 54% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

antheus Holdings, Inc. is the parent company of Lantheus Medical Imaging, Inc. (“Lantheus”), which is a global leader in the development, distribution and commercialization of innovative diagnostic image agents and products. For 60 years, Lantheus has been dedicated to creating and providing pioneering medical imaging solutions to improve the treatment of human disease. Our agents and products assist physicians in the diagnosis of conditions affecting the heart, brain, lungs and other organs using echocardiography and nuclear imaging technologies.

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Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
LNTH EPS/Sales Growth LNTH vs. Peers

BlackLine Inc (BL)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

1.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

3/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

11%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
76.13
Acc Dist
0.81
Disc
0.00%
Avg Vol
214,100
Liquidity
0.37%
Below High
3.67%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
-47%  N/A%
EPS Growth
0%
Sls Growth
54%
Proj Growth
N/A %
Anal. Rank
4.46
Shares
52.9M
Instit
79%
3-Month Trends of Key Indicators:
Looks Like a Winner?
BL looks better than most Top Picks Winners* in 3 out of 10 key factors.
Accum/Dist: 0.81 (median winner: 1.53)
Above 40wkMA: 17% (median winner: 35%)
Instit. Ownership: 79% (median winner: 63%)
Liquidity: 0.37% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 76.13 (winner: 75.66)
Sales Growth: 54% (median winner: 28%)
Below 52wk High: 3.67% (winner: 3.30%)
Relative Strength: 88 (winner: 96)
Avg Qrtly EPS: -47% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Blair Homepage

  • BlackLine CEO And Employees Pledge To Provide New Clothing To 50,000+ Who Are Homeless In Los Angeles This Holiday Season Tue, 21 Nov 2017 14:00:00 +0000
    BlackLine Employees, Customers and Partners To Help Hand Out 180,000+ Items as Part of Latest LA Tech Company-Led Philanthropic Initiative Serving the Homeless LOS ANGELES , Nov. 21, 2017 /PRNewswire/ ...
  • Confidence In Blackline Grows As Total Addressable Market Seen Approaching $20 Billion Fri, 17 Nov 2017 19:52:22 +0000
    Cloud-based accounting software maker Blackline Inc (NASDAQ: BL ) hosted a user conference this week, which has left sell-side analysts upbeat about the company's prospects. The Analyst KeyBanc Capital ...
  • Building A Modern Finance Organization: KPMG And BlackLine Form Alliance Wed, 15 Nov 2017 14:07:00 +0000
    LOS ANGELES, Nov. 15, 2017 /PRNewswire/ -- KPMG LLP and BlackLine, Inc. (BL), a leading provider of financial automation software solutions, today announced at IntheBlack 2017 an alliance to empower finance and accounting (F&A) teams to deliver real-time financial intelligence to executives and add strategic value to the enterprise. The combination of BlackLine's cloud platform for automation and analytics with KPMG's finance process enablement and automation vision will provide clients with financial solutions that can be implemented into their business processes to help improve staff efficiencies, shift focus from transactional to analytical, and align finance strategies with those of the business.
  • BlackLine Platform Enhancements To Be Unveiled At InTheBlack 2017 In LA Wed, 15 Nov 2017 14:05:00 +0000
    LOS ANGELES, Nov. 15, 2017 /PRNewswire/ -- BlackLine, Inc. (BL), a leading provider of financial automation solutions that enable Continuous Accounting, today announced updates to its flagship cloud platform designed to further enable Finance & Accounting departments to transform their operations and adopt a true Continuous Accounting model.  The new features will be unveiled this week at BlackLine's global user conference InTheBlack North America 2017: The Accounting & Finance Innovation Summit in Los Angeles.
  • BlackLine Makes Deloitte's Fast 500™ List Of The Fastest-Growing Tech Companies In North America For 8th Year In A Row Thu, 09 Nov 2017 14:00:00 +0000
    Financial Automation Software Provider Attributes Success to Focus on Client Satisfaction, Growing Global Demand for Cloud Platform LOS ANGELES , Nov. 9, 2017 /PRNewswire/ -- BlackLine, Inc . (Nasdaq: ...
  • BlackLine Announces Financial Analyst Day Wed, 08 Nov 2017 21:05:00 +0000
    LOS ANGELES, Calif., Nov. 08, 2017-- BlackLine, Inc. announced today that it will host its financial analyst day on Wednesday, Nov. 15, 2017 in Los Angeles at 12:00 p.m. Pacific Time/ 3:00 p.m. Eastern ...
  • Allegheny Technologies, Peugeot, Snyder's-Lance And Ulta Beauty Among Companies To Embrace Continuous Accounting With BlackLine In Q3 2017 Thu, 02 Nov 2017 20:10:00 +0000
    Company Surpasses 2,000 Customers as Enterprise and Midsize Companies Around the World Continue To Adopt BlackLine Cloud Platform LOS ANGELES , LONDON , SINGAPORE and SYDNEY , Nov. 2, 2017 /PRNewswire/ ...
  • BlackLine Announces Third Quarter Financial Results Thu, 02 Nov 2017 20:05:00 +0000
    LOS ANGELES, Nov. 02, 2017-- BlackLine, Inc., a leading cloud-based provider of financial controls and automation solutions that enable Continuous Accounting, today announced financial results for the ...
  • BlackLine, Inc. to Host Earnings Call Thu, 02 Nov 2017 17:15:00 +0000
    NEW YORK, NY / ACCESSWIRE / November 2, 2017 / BlackLine, Inc. (NASDAQ: BL ) will be discussing their earnings results in their Q3 Earnings Call to be held on November 2, 2017 at 5:00 PM Eastern Time. ...
  • BlackLine Appoints Tammy Coley As Chief Strategy Officer Mon, 30 Oct 2017 13:00:00 +0000
    Seasoned Finance and Compliance Professional Joins Senior Management Team To Direct Strategic Vision as Financial Automation Software Provider Leads the Charge for Continuous Accounting LOS ANGELES , Oct. ...

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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
BL EPS/Sales Growth BL vs. Peers

Talend SA (TLND)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

5/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

10%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
75.84
Acc Dist
0.89
Disc
0.00%
Avg Vol
190,100
Liquidity
0.92%
Below High
7.58%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
30%
Proj Growth
N/A %
Anal. Rank
4.59
Shares
29.1M
Instit
46%
3-Month Trends of Key Indicators:
Looks Like a Winner?
TLND looks better than most Top Picks Winners* in 5 out of 10 key factors.
Accum/Dist: 0.89 (median winner: 1.53)
Above 40wkMA: 19% (median winner: 35%)
Instit. Ownership: 46% (median winner: 63%)
Liquidity: 0.92% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 75.84 (winner: 75.66)
Sales Growth: 30% (median winner: 28%)
Below 52wk High: 7.58% (winner: 3.30%)
Relative Strength: 92 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Talend is a next generation leader in cloud and big data integration software that helps companies become data driven by making data more accessible, improving its quality and quickly moving data where it’s needed for real-time decision making. By simplifying big data through these steps, Talend’s open-source based solutions enable companies to act with insight using accurate, real-time information about their business, customers, and industry.

  • Talend Helps Companies Accelerate Cloud Data Lake Deployments on AWS Tue, 21 Nov 2017 13:00:00 +0000
    Talend , a global leader in cloud and big data integration solutions, unveiled a new Quick Start solution for deploying cloud data lakes on Amazon Web Services platforms.
  • Talend Announces Offering of 2,750,000 American Depositary Shares by Selling Shareholders Wed, 15 Nov 2017 21:41:00 +0000
    Talend , a global leader in cloud and big data integration software, today announced the commencement of an underwritten public offering of 2,750,000 American Depositary Shares , each representing one of its ordinary shares, by investment funds affiliated with Silver Lake Sumeru and investment funds affiliated with Balderton Capital pursuant to a registration statement on Form F-3 filed with the Securities ...
  • Talend: Street Cheers Enterprise Focus, Partnerships at Analyst Day Wed, 15 Nov 2017 16:55:00 +0000
    Shares of data integration specialists Talend (TLND) are down 74 cents, or 1.7%, at $41.95, following the company yesterday hosting its first-ever analyst day as a public company. Rosenblatt’s Marshall Senk, reiterating a Buy rating on the shares, and a $47 price target, writes that the meeting was "positive reinforcement that Talend’s product set and land and expand selling strategy are working and the company is aggressively extending its offering into new areas over the next year to further expand the TAM." One thing he notes in particular are concerns about attrition among the sales team at Talend, something that came up with last week’s earnings report.
  • Talend CEO Tuchen: Cloud Can Speed Young Companies' Growth Tue, 14 Nov 2017 21:32:00 +0000
    Mike Tuchen, chief executive of data integration software makers Talend (TLND), sprinting from his company’s Q3 earnings report on Thursday, was in New York on Tuesday for Talend’s first-ever analyst day meeting as a public company. “Possibly,” he mused.
  • Talend: High Flying Cloud Growth Is Here to Stay, Says CEO Fri, 10 Nov 2017 22:07:00 +0000
    Talend (TLND) ended the week on a down note, following its third-quarter earnings report, although the stock has still nearly doubled this year. Talend said that it lost 11 cents a share, on revenue that rose 40.1% to $38.4 million. Talend CEO Mike Tuchen spoke with Barron's today, and said that the larger-than-expected loss in the fourth quarter is largely a timing issue, given the much smaller loss in the third quarter than analysts anticipated.
  • Talend to Participate in Upcoming Investor Conferences Fri, 10 Nov 2017 21:15:00 +0000
    Talend  , a leader in cloud and big data integration solutions, today announced that its management team will be participating in the following conference:
  • Edited Transcript of TLND earnings conference call or presentation 9-Nov-17 10:00pm GMT Fri, 10 Nov 2017 02:03:06 +0000
    Q3 2017 Talend SA Earnings Call
  • Talend Reports Third Quarter 2017 Financial Results Thu, 09 Nov 2017 21:15:00 +0000
    Talend , a global leader in cloud and big data integration software, today released financial results for the third quarter ended September 30, 2017.
  • Talend Acquires Restlet, a Leader in Cloud-Based API Design and Testing Thu, 09 Nov 2017 21:05:00 +0000
    Talend , a global leader in cloud and big data integration solutions, today announced its acquisition of all outstanding shares of Restlet SAS, a cloud-based API design and testing platform.
  • Talend SA Sponsored ADR to Host Earnings Call Thu, 09 Nov 2017 19:10:00 +0000
    NEW YORK, NY / ACCESSWIRE / November 9, 2017 / Talend SA Sponsored ADR (NASDAQ: TLND ) will be discussing their earnings results in their Q3 Earnings Call to be held on November 9, 2017 at 5:00 PM Eastern ...

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
TLND EPS/Sales Growth TLND vs. Peers

C&J Energy Services Inc (CJ)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.2/1.0
Sales
Consistency

Sales Consistency Ranking

0.6/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

3/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

3%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
75.64
Acc Dist
1.21
Disc
0.00%
Avg Vol
540,400
Liquidity
0.86%
Below High
35.44%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
121%  93%
EPS Growth
0%
Sls Growth
-3%
Proj Growth
N/A %
Anal. Rank
4.94
Shares
63.2M
Instit
0%
3-Month Trends of Key Indicators:
Looks Like a Winner?
CJ looks better than most Top Picks Winners* in 3 out of 10 key factors.
Accum/Dist: 1.21 (median winner: 1.53)
Above 40wkMA: -5% (median winner: 35%)
Instit. Ownership: 0% (median winner: 63%)
Liquidity: 0.86% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 75.64 (winner: 75.66)
Sales Growth: -3% (median winner: 28%)
Below 52wk High: 35.44% (winner: 3.30%)
Relative Strength: 70 (winner: 96)
Avg Qrtly EPS: 107% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

C&J Energy Services is a leading provider of on-shore well construction, well completion, well support, and other complementary oilfield services to oil and gas exploration and production companies. C&J has operations in all major oil and gas producing regions of the continental United States and Western Canada.

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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
CJ EPS/Sales Growth CJ vs. Peers

RELX NV (RENX)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

4/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

5%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
75.45
Acc Dist
1.24
Disc
295.09%
Avg Vol
46,700
Liquidity
0.00%
Below High
0.22%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
5.00
Shares
958.9M
Instit
1%
3-Month Trends of Key Indicators:
Looks Like a Winner?
RENX looks better than most Top Picks Winners* in 4 out of 10 key factors.
Accum/Dist: 1.24 (median winner: 1.53)
Above 40wkMA: 14% (median winner: 35%)
Instit. Ownership: 1% (median winner: 63%)
Liquidity: 0.00% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 75.45 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 0.22% (winner: 3.30%)
Relative Strength: 85 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

  • What Does RELX PLC’s (LSE:REL) Share Price Indicate? Mon, 20 Nov 2017 12:21:05 +0000
    RELX PLC (LSE:REL) saw its share price hover around a small range of ÂŁ16.03 to ÂŁ17.48 over the last few weeks. But is this actually reflective of the share valueRead More...
  • What is Behind RELX PLC’s (LSE:REL) Superior ROE? Fri, 29 Sep 2017 14:12:15 +0000
    RELX PLC (LSE:REL) delivered an ROE of 66.34% over the past 12 months, which is an impressive feat relative to its industry average of 14.75% during the same period. OnRead More...
  • Is RELX PLC’s (LSE:REL) PE Ratio A Signal To Buy For Investors? Thu, 14 Sep 2017 15:25:16 +0000
    RELX PLC (LSE:REL) is trading with a trailing P/E of 26.4x, which is lower than the industry average of 23.4x. Although some investors may jump to the conclusion that thisRead More...
  • RELX NV : RENX-US: Dividend Analysis : August 04th, 2017 (record date) : By the numbers : August 31, 2017 Thu, 31 Aug 2017 19:14:01 +0000
    Categories: Yahoo FinanceGet free summary analysis Our analysis is based on comparing RELX NV with the following peers – Pearson PLC Sponsored ADR, RELX PLC Sponsored ADR, John Wiley & Sons, Inc. Class A, Thomson Reuters Corporation, S&P Global, Inc., News Corporation Class A, Twenty-First Century Fox, Inc. Class A and Microsoft Corporation (PSO-US, RELX-US, JW.A-US, TRI-US, ... Read more (Read more...)
  • RELX NV :RENX-US: Earnings Analysis: For the six months ended June 30, 2017 : August 18, 2017 Fri, 18 Aug 2017 17:37:56 +0000
    Categories: Yahoo FinanceGet free summary analysis RELX NV reports financial results for the half-year ended June 30, 2017. We analyze the earnings along side the following peers of RELX NV – Pearson PLC Sponsored ADR, RELX PLC Sponsored ADR, Thomson Reuters Corporation, S&P Global, Inc., News Corporation Class A, Twenty-First Century Fox, Inc. Class A and Microsoft ... Read more (Read more...)
  • RELX NV : RENX-US: Dividend Analysis : April 28th, 2017 (record date) : By the numbers : April 26, 2017 Wed, 26 Apr 2017 16:23:24 +0000
    Categories: Yahoo FinanceGet free summary analysis Our analysis is based on comparing RELX NV with the following peers – Pearson PLC Sponsored ADR, RELX PLC Sponsored ADR, John Wiley & Sons, Inc. Class A, Thomson Reuters Corporation, S&P Global, Inc., News Corporation Class A, Twenty-First Century Fox, Inc. Class A and Microsoft Corporation (PSO-US, RELX-US, JW.A-US, TRI-US, ... Read more (Read more...)
  • Zacks.com featured highlights: PCTEL, Grupo Financiero Galicia, Pampa EnergĂ­a, Ituran Location and Control and RELX NV Tue, 25 Apr 2017 13:30:01 +0000
    Zacks.com featured highlights: PCTEL, Grupo Financiero Galicia, Pampa EnergĂ­a, Ituran Location and Control and RELX NV
  • RELX NV :RENX-US: Earnings Analysis: For the six months ended December 31, 2016 : March 6, 2017 Mon, 06 Mar 2017 15:52:58 +0000
    Categories: Yahoo Finance Get free summary analysis RELX NV reports financial results for the half-year ended December 31, 2016. We analyze the earnings along side the following peers of RELX NV – Pearson PLC Sponsored ADR, RELX PLC Sponsored ADR, Thomson Reuters Corporation, S&P Global, Inc., News Corporation Class A, Twenty-First Century Fox, Inc. Class A and Microsoft ... Read more (Read more...)
  • RELX NV :RENX-US: Earnings Analysis: 2016 By the Numbers : February 28, 2017 Tue, 28 Feb 2017 16:35:28 +0000
    Categories: Yahoo Finance Get free summary analysis RELX NV reports financial results for the year ended December 31, 2016. We analyze the earnings along side the following peers of RELX NV – Pearson PLC Sponsored ADR, RELX PLC Sponsored ADR, Thomson Reuters Corporation, S&P Global, Inc., News Corporation Class A, Twenty-First Century Fox, Inc. Class A and Microsoft ... Read more (Read more...)
  • Relx NV (ADR) (RENX): Is It Going to Burn Investors? Sat, 17 Dec 2016 00:25:09 +0000
    At Insider Monkey we track the activity of some of the best-performing hedge funds like Appaloosa Management, Baupost, and Third Point because we determined that some of the stocks that they are collectively bullish on can help us generate returns above the broader indices. Out of thousands of stocks that hedge funds invest in, small-caps […]

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
RENX EPS/Sales Growth RENX vs. Peers

Select Energy Services Inc Cl (WTTR)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

4/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

8%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
75.38
Acc Dist
0.99
Disc
0.00%
Avg Vol
273,500
Liquidity
0.20%
Below High
9.91%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
3.13
Shares
106M
Instit
40%
3-Month Trends of Key Indicators:
Looks Like a Winner?
WTTR looks better than most Top Picks Winners* in 4 out of 10 key factors.
Accum/Dist: 0.99 (median winner: 1.53)
Above 40wkMA: 36% (median winner: 35%)
Instit. Ownership: 40% (median winner: 63%)
Liquidity: 0.20% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 75.38 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 9.91% (winner: 3.30%)
Relative Strength: 74 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Select Energy Services delivers innovative and efficient end-to-end water solutions to oilfield operators. At Select Energy Services, we’re dedicated to providing our customers with an arsenal of efficient and environmentally conscious water solutions to service the full life cycle of the well. Our operations are strategically positioned to provide customized solutions in every major U.S. Shale play.

  • Select Energy Services, Inc. breached its 50 day moving average in a Bearish Manner : WTTR-US : November 10, 2017 Fri, 10 Nov 2017 13:00:38 +0000
    Categories: ETFs Yahoo FinanceGet full CapitalCube analysis *Disclaimer : This is as of previous day’s closing price. Technical Indicators Below is a quick look at 5 technical indicators for Select Energy Services, Inc.. More studies are available on the Technical Chart. Indicator Signal Closing Price above/below 50 Day Moving Average Bearish Closing Price above/below 200 Day Moving Average ... Read more (Read more...)
  • Select Energy Services Reports 2017 Third Quarter Results Wed, 08 Nov 2017 21:30:00 +0000
    Third quarter revenue of $153.9 million , a 14.5% increase over the second quarter On November 1st, completed its merger with Rockwater Energy Solutions, giving Select a market capitalization of approximately ...
  • Select Energy Services Announces Third Quarter 2017 Earnings Release And Conference Call Schedule Tue, 31 Oct 2017 20:30:00 +0000
    HOUSTON , Oct. 31, 2017 /PRNewswire/ -- Select Energy Services, Inc. (NYSE: WTTR) announced today that it will release its third quarter 2017 results on Wednesday, November 8, 2017 after the market closes. ...
  • Select Energy Services, Inc. breached its 50 day moving average in a Bullish Manner : WTTR-US : October 26, 2017 Thu, 26 Oct 2017 12:04:55 +0000
    Categories: ETFs Yahoo FinanceGet full CapitalCube analysis *Disclaimer : This is as of previous day’s closing price. Technical Indicators Below is a quick look at 5 technical indicators for Select Energy Services, Inc.. More studies are available on the Technical Chart. Indicator Signal Closing Price above/below 50 Day Moving Average Bullish Closing Price above/below 200 Day Moving Average ... Read more (Read more...)
  • Select Energy Services, Inc. – Value Analysis (NYSE:WTTR) : October 6, 2017 Fri, 06 Oct 2017 15:32:51 +0000
    Categories: Fundamental Analysis Yahoo FinanceClick here to see latest analysis Capitalcube gives Select Energy Services, Inc. a score of 45. Our analysis is based on comparing Select Energy Services, Inc. with the following peers – ProSafe SE Unsponsored ADR, Ikkuma Resources Corp., Point Loma Resources Ltd. and Petrosonic Energy, Inc. (PRSEY-US, PRCYF-US, PLX-CA and PSON-US). Investment Outlook Select Energy ... Read more (Read more...)
  • Select Energy Services, Inc. breached its 50 day moving average in a Bearish Manner : WTTR-US : October 5, 2017 Thu, 05 Oct 2017 12:21:04 +0000
    Categories: ETFs Yahoo FinanceGet full CapitalCube analysis *Disclaimer : This is as of previous day’s closing price. Technical Indicators Below is a quick look at 5 technical indicators for Select Energy Services, Inc.. More studies are available on the Technical Chart. Indicator Signal Closing Price above/below 50 Day Moving Average Bearish Closing Price above/below 200 Day Moving Average ... Read more (Read more...)
  • Select Energy Services Announces Extension Of Merger End Date Tue, 19 Sep 2017 21:05:00 +0000
    GAINESVILLE, Texas, Sept. 19, 2017 /PRNewswire/ -- Select Energy Services, Inc. (WTTR) ("Select" or "the Company"), a leading provider of total water solutions to the U.S. unconventional oil and gas industry, today announced that Select and Rockwater Energy Solutions, Inc. ("Rockwater") have agreed to extend the end date in the previously announced Agreement and Plan of Merger from November 1, 2017 to December 31, 2017.  Completion of the Company's merger with Rockwater remains subject to satisfaction or waiver of certain conditions, including the mailing of Select's information statement describing the proposed merger to Select's stockholders following completion of the Securities and Exchange Commission's (the "SEC") review of the information statement. Select and Rockwater expect the merger to close during the fourth quarter of 2017.
  • Select Energy Services Announces Early Termination Of HSR Waiting Period Thu, 24 Aug 2017 11:00:00 +0000
    GAINESVILLE, Texas, Aug. 24, 2017 /PRNewswire/ -- Select Energy Services, Inc. (WTTR) ("Select" or "the Company"), a leading provider of total water solutions to the U.S. unconventional oil and gas industry, today announced that Select and Rockwater Energy Solutions, Inc. ("Rockwater") have received notice from the Department of Justice and the Federal Trade Commission granting early termination of the waiting period under the U.S. Hart-Scott-Rodino Antitrust Improvements Act of 1976, as amended (the "HSR Act"), with respect to the proposed merger previously announced on July 18, 2017 pursuant to which Select and Rockwater will merge in a stock-for-stock transaction. Accordingly, the merger closing condition with respect to the expiration or termination of the waiting period under the HSR Act has been satisfied.
  • Select Energy Services Reports 2017 Second Quarter Results Thu, 03 Aug 2017 20:30:00 +0000
    - Second quarter revenue was $134.4 million , 35% increase over the first quarter in 2017 - On July 18th, announced definitive merger agreement with Rockwater Energy Solutions, giving Selec

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
WTTR EPS/Sales Growth WTTR vs. Peers

DXC Technology Company Common S (DXC)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

4/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

3%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
74.91
Acc Dist
1.28
Disc
26.10%
Avg Vol
1,368,900
Liquidity
0.43%
Below High
1.69%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
10.5%
Anal. Rank
3.83
Shares
285M
Instit
85%
3-Month Trends of Key Indicators:
Looks Like a Winner?
DXC looks better than most Top Picks Winners* in 4 out of 10 key factors.
Accum/Dist: 1.28 (median winner: 1.53)
Above 40wkMA: 43% (median winner: 35%)
Instit. Ownership: 85% (median winner: 63%)
Liquidity: 0.43% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 74.91 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 1.69% (winner: 3.30%)
Relative Strength: 82 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

DXC Technology is the world’s leading independent, end-to-end IT services and solutions company, helping clients harness the power of innovation to thrive on change.

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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
DXC EPS/Sales Growth DXC vs. Peers

SMART Global Holdings Inc (SGH)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

1.0/1.0
Sales
Consistency

Sales Consistency Ranking

1.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

5/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

9%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
74.89
Acc Dist
1.20
Disc
-28.47%
Avg Vol
306,200
Liquidity
1.21%
Below High
16.13%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
9%
Proj Growth
15%
Anal. Rank
5.00
Shares
21.8M
Instit
92%
3-Month Trends of Key Indicators:
Looks Like a Winner?
SGH looks better than most Top Picks Winners* in 5 out of 10 key factors.
Accum/Dist: 1.20 (median winner: 1.53)
Above 40wkMA: 144% (median winner: 35%)
Instit. Ownership: 92% (median winner: 63%)
Liquidity: 1.21% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 74.89 (winner: 75.66)
Sales Growth: 9% (median winner: 28%)
Below 52wk High: 16.13% (winner: 3.30%)
Relative Strength: 98 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

SMART is a manufacturer of legacy and custom computer components such as DRAM memory modules, solid-state drives, and flash-based removable and embedded storage products.

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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
SGH EPS/Sales Growth SGH vs. Peers

Protagonist Therapeutics Inc (PTGX)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

3/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

22%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
74.87
Acc Dist
0.73
Disc
0.00%
Avg Vol
120,300
Liquidity
0.58%
Below High
25.64%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A   
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
5.00
Shares
20.5M
Instit
40%
3-Month Trends of Key Indicators:
Looks Like a Winner?
PTGX looks better than most Top Picks Winners* in 3 out of 10 key factors.
Accum/Dist: 0.73 (median winner: 1.53)
Above 40wkMA: 47% (median winner: 35%)
Instit. Ownership: 40% (median winner: 63%)
Liquidity: 0.58% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 74.87 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 25.64% (winner: 3.30%)
Relative Strength: 94 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

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  • Protagonist Therapeutics, Inc. breached its 50 day moving average in a Bullish Manner : PTGX-US : November 20, 2017 Mon, 20 Nov 2017 12:25:03 +0000
    Categories: ETFs Yahoo FinanceGet full CapitalCube analysis *Disclaimer : This is as of previous day’s closing price. Technical Indicators Below is a quick look at 5 technical indicators for Protagonist Therapeutics, Inc.. More studies are available on the Technical Chart. Indicator Signal Closing Price above/below 50 Day Moving Average Bullish Closing Price above/below 200 Day Moving Average Bullish ... Read more (Read more...)
  • Protagonist Therapeutics, Inc. – Value Analysis (NASDAQ:PTGX) : November 10, 2017 Fri, 10 Nov 2017 18:24:21 +0000
    Categories: Fundamental Analysis Yahoo FinanceClick here to see latest analysis Capitalcube gives Protagonist Therapeutics, Inc. a score of 40. Our analysis is based on comparing Protagonist Therapeutics, Inc. with the following peers – Plandai Biotechnology, Inc., Pieris Pharmaceuticals, Inc., PDL BioPharma, Inc. and Bioblast Pharma Ltd. (PLPL-US, PIRS-US, PDLI-US and ORPN-US). Investment Outlook Protagonist Therapeutics, Inc. has a fundamental ... Read more (Read more...)
  • Protagonist Therapeutics Initiates Phase 1 Trial of Oral Peptide IL-23 Receptor Antagonist, PTG-200 Thu, 09 Nov 2017 13:00:00 +0000
    -- Novel Drug Candidate, Licensed to Janssen Biotech, Enters Development as Potential 'Oral Targeted Therapy' for Inflammatory Bowel Disease -- NEWARK, Calif. , Nov. 9, 2017 /PRNewswire/ -- Protagonist ...
  • Protagonist Therapeutics posts 3Q loss Mon, 06 Nov 2017 21:21:49 +0000
    The Malpitas, California-based company said it had a loss of 29 cents per share. The biopharmaceutical company posted revenue of $8.8 million in the period. Protagonist Therapeutics shares have dropped ...
  • Protagonist Therapeutics Reports Third Quarter 2017 Financial Results and Provides Corporate Update Mon, 06 Nov 2017 21:01:00 +0000
    Recent $60 Million Financing Enables Company to Push Pipeline Candidates Forward NEWARK, Calif. , Nov. 6, 2017 /PRNewswire/ -- Protagonist Therapeutics, Inc. (NASDAQ: PTGX) today reported its financial ...
  • Protagonist Therapeutics to Present at the Stifel 2017 Healthcare Conference Wed, 01 Nov 2017 20:17:00 +0000
    NEWARK, Calif. , Nov. 1, 2017 /PRNewswire/ -- Protagonist Therapeutics, Inc. (NASDAQ: PTGX) today announced that Dinesh V. Patel , Ph.D., the company's President and Chief Executive Officer, will provide ...
  • Zacks.com highlights: Amtech Systems, Grupo Financiero Galicia S.A., Calithera Biosciences, RedHill Biopharma and Protagonist Therapeutics Thu, 26 Oct 2017 12:48:12 +0000
    Zacks.com highlights: Amtech Systems, Grupo Financiero Galicia S.A., Calithera Biosciences, RedHill Biopharma and Protagonist Therapeutics
  • Protagonist Therapeutics Prices Public Offering of Common Stock Thu, 12 Oct 2017 02:25:00 +0000
    NEWARK, Calif., Oct. 11, 2017 /PRNewswire/ -- Protagonist Therapeutics, Inc. (PTGX), a biopharmaceutical company that discovers and develops novel peptide-based drugs, announced today that it has priced an underwritten public offering of 3,530,000 shares of its common stock at a price to the public of $17.00 per share. The gross proceeds to Protagonist from the offering, before underwriting discounts and commissions and offering costs, are expected to be $60,010,000. Protagonist has granted the underwriters a 30-day option to purchase up to an additional 529,500 shares of common stock.
  • Protagonist Therapeutics Announces Proposed Public Offering of Common Stock Wed, 11 Oct 2017 20:01:00 +0000
    NEWARK, Calif., Oct. 11, 2017 /PRNewswire/ -- Protagonist Therapeutics, Inc. (PTGX), a biopharmaceutical company that discovers and develops novel peptide-based drugs,  announced today that it intends to offer and sell, subject to market and other conditions, shares of its common stock in an underwritten public offering. Protagonist also expects to grant the underwriters a 30-day option to purchase up to an additional 15 percent of the number of shares of common stock sold in connection with the offering. All of the shares to be sold in the offering are to be sold by Protagonist.
  • Protagonist Therapeutics Announces Preliminary Phase 1 Study Results with Novel Hepcidin Mimetic, PTG-300 Wed, 20 Sep 2017 12:00:00 +0000
    NEWARK, Calif., Sept. 20, 2017 /PRNewswire/ -- Protagonist Therapeutics, Inc. (PTGX) today announced preliminary results from the Phase 1 study of PTG-300 in normal healthy volunteers. PTG-300 is an injectable hepcidin mimetic peptide, discovered using the company's proprietary technology platform. Protagonist is developing PTG-300 as a potential treatment for patients with ineffective erythropoiesis in rare diseases such as beta-thalassemia and myelodysplastic syndromes (MDS).

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
PTGX EPS/Sales Growth PTGX vs. Peers

Canada Goose Holdings Inc Subo (GOOS)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

5/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

17%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
74.83
Acc Dist
1.49
Disc
71.21%
Avg Vol
768,500
Liquidity
0.76%
Below High
1.04%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
35%
Proj Growth
34.6%
Anal. Rank
4.38
Shares
107.2M
Instit
78%
3-Month Trends of Key Indicators:
Looks Like a Winner?
GOOS looks better than most Top Picks Winners* in 5 out of 10 key factors.
Accum/Dist: 1.49 (median winner: 1.53)
Above 40wkMA: 56% (median winner: 35%)
Instit. Ownership: 78% (median winner: 63%)
Liquidity: 0.76% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 74.83 (winner: 75.66)
Sales Growth: 35% (median winner: 28%)
Below 52wk High: 1.04% (winner: 3.30%)
Relative Strength: 95 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Founded in a small Toronto warehouse 60 years ago, Canada Goose has grown into a highly coveted global outerwear brand that helps people from all corners of the globe embrace the elements and make their adventures possible.

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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
GOOS EPS/Sales Growth GOOS vs. Peers

Kura Oncology Inc (KURA)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.1/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

3/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

9%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
74.82
Acc Dist
0.79
Disc
0.00%
Avg Vol
373,000
Liquidity
1.04%
Below High
5.43%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
-3%  -8%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
5.00
Shares
30.2M
Instit
64%
3-Month Trends of Key Indicators:
Looks Like a Winner?
KURA looks better than most Top Picks Winners* in 3 out of 10 key factors.
Accum/Dist: 0.79 (median winner: 1.53)
Above 40wkMA: 59% (median winner: 35%)
Instit. Ownership: 64% (median winner: 63%)
Liquidity: 1.04% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 74.82 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 5.43% (winner: 3.30%)
Relative Strength: 99 (winner: 96)
Avg Qrtly EPS: -6% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

At Kura Oncology, we are committed to realizing the promise of precision medicines for cancer. The genomics revolution is transforming how we treat cancer. We now understand that how a patient responds to treatment depends in part on the genetic makeup of the cancer and, importantly, we have the knowledge and tools to create targeted treatments and companion diagnostics to identify those patients most likely to benefit. This new era offers the potential for innovative treatments that are safer and more effective for patients with particular cancers. We are leveraging our insights into

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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
KURA EPS/Sales Growth KURA vs. Peers

KalVista Pharmaceuticals Inc (KALV)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

4/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

1%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
74.61
Acc Dist
1.59
Disc
0.00%
Avg Vol
268,700
Liquidity
2.13%
Below High
32.28%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A   
EPS Growth
0%
Sls Growth
54%
Proj Growth
N/A %
Anal. Rank
5.00
Shares
9.7M
Instit
76%
3-Month Trends of Key Indicators:
Looks Like a Winner?
KALV looks better than most Top Picks Winners* in 4 out of 10 key factors.
Accum/Dist: 1.59 (median winner: 1.53)
Above 40wkMA: 32% (median winner: 35%)
Instit. Ownership: 76% (median winner: 63%)
Liquidity: 2.13% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 74.61 (winner: 75.66)
Sales Growth: 54% (median winner: 28%)
Below 52wk High: 32.28% (winner: 3.30%)
Relative Strength: 95 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

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KalVista Pharmaceuticals - developing novel therapies for hereditary angioedema and diabetic macular edema based on small molecule plasma kallikrein inhibitors

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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
KALV EPS/Sales Growth KALV vs. Peers

Okta Inc (OKTA)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

3/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

9%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
74.59
Acc Dist
1.18
Disc
0.00%
Avg Vol
875,600
Liquidity
0.64%
Below High
7.02%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
4.29
Shares
95.6M
Instit
71%
3-Month Trends of Key Indicators:
Looks Like a Winner?
OKTA looks better than most Top Picks Winners* in 3 out of 10 key factors.
Accum/Dist: 1.18 (median winner: 1.53)
Above 40wkMA: 45% (median winner: 35%)
Instit. Ownership: 71% (median winner: 63%)
Liquidity: 0.64% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 74.59 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 7.02% (winner: 3.30%)
Relative Strength: 85 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Provide secure identity management and single sign-on to any application, whether in the cloud, on-premises or on a mobile device for your employees, partners and customers with Okta.

  • ETFs with exposure to Okta, Inc. : November 20, 2017 Mon, 20 Nov 2017 18:00:34 +0000
    Categories: ETFs Yahoo FinanceClick here to see latest analysis ETFs with exposure to Okta, Inc. Here are 5 ETFs with the largest exposure to OKTA-US. Comparing the performance and risk of Okta, Inc. with the ETFs that have exposure to it gives us some ETF choices that could give us similar returns with lower volatility. Ticker Fund Name ... Read more (Read more...)
  • SailPoint valued at more than $1 billion on first day of trading after IPO Sat, 18 Nov 2017 16:30:00 +0000
    SailPoint Technologies Holdings Inc. shares pull back from an initial jump Friday but still finish significantly higher on their first day of trading, after the enterprise identity management software ...
  • Will SailPoint Win The Race Against Okta? Fri, 17 Nov 2017 17:46:00 +0000
    Companies suffer when people access their former employer's computers and wreak havoc. Two public companies fight this problem in different ways. Okta IPOd in April, SailPoint starts trading today. Should you invest?
  • Okta Named a Leader in Identity-as-a-Service Fri, 17 Nov 2017 17:00:00 +0000
    Okta, Inc. , the leading independent provider of identity for the enterprise, today announced that the company has been named a Leader in The Forrester Wave™: Identity-As-A-Service, Q4 2017,* a report published by Forrester Research, Inc.
  • NetEase(NTES) in Focus: Stock Moves 10.4% Higher Tue, 07 Nov 2017 13:43:01 +0000
    NetEase (NTES) saw its shares rise over 10% on the day after the reports surfaced that the company was increasing its spending on foreign products to sell to Chinese consumers.
  • Okta Announces Date for its Third Quarter Fiscal 2018 Earnings Conference Call Mon, 06 Nov 2017 21:15:00 +0000
    Okta, Inc. , the leading independent provider of identity for the enterprise, today announced that it will release its financial results for its third quarter of fiscal year 2018 ended October 31, 2017 after the U.S.
  • Okta, Inc. :OKTA-US: Earnings Analysis: Q2, 2018 By the Numbers : November 2, 2017 Thu, 02 Nov 2017 12:56:35 +0000
    Categories: Yahoo FinanceGet free summary analysis Okta, Inc. reports financial results for the quarter ended July 31, 2017. We analyze the earnings along side the following peers of Okta, Inc. – Progress Software Corporation (PRGS-US) that have also reported for this period. Highlights Summary numbers: Revenues of USD 61.00 million, Net Earnings of USD -27.00 million. Gross ... Read more (Read more...)
  • ETFs with exposure to Okta, Inc. : October 31, 2017 Tue, 31 Oct 2017 15:46:59 +0000
    Categories: ETFs Yahoo FinanceClick here to see latest analysis ETFs with exposure to Okta, Inc. Here are 5 ETFs with the largest exposure to OKTA-US. Comparing the performance and risk of Okta, Inc. with the ETFs that have exposure to it gives us some ETF choices that could give us similar returns with lower volatility. Ticker Fund Name ... Read more (Read more...)
  • Okta, Inc. breached its 50 day moving average in a Bullish Manner : OKTA-US : October 30, 2017 Mon, 30 Oct 2017 12:16:55 +0000
    Categories: ETFs Yahoo FinanceGet full CapitalCube analysis *Disclaimer : This is as of previous day’s closing price. Technical Indicators Below is a quick look at 5 technical indicators for Okta, Inc.. More studies are available on the Technical Chart. Indicator Signal Closing Price above/below 50 Day Moving Average Bullish Closing Price above/below 200 Day Moving Average Bullish 50 ... Read more (Read more...)
  • 2 Winning Tech IPOs of 2017 Sat, 21 Oct 2017 14:46:00 +0000
    Even in a bull market, Roku and Otka stand out from the pack, particularly among newly public companies.

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
OKTA EPS/Sales Growth OKTA vs. Peers

Novanta Inc (NOVT)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.6/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

5/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

9%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
74.47
Acc Dist
1.75
Disc
0.00%
Avg Vol
211,500
Liquidity
0.66%
Below High
0.91%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
-100%  7%
EPS Growth
43%
Sls Growth
12%
Proj Growth
N/A %
Anal. Rank
0.00
Shares
34.6M
Instit
80%
3-Month Trends of Key Indicators:
Looks Like a Winner?
NOVT looks better than most Top Picks Winners* in 5 out of 10 key factors.
Accum/Dist: 1.75 (median winner: 1.53)
Above 40wkMA: 48% (median winner: 35%)
Instit. Ownership: 80% (median winner: 63%)
Liquidity: 0.66% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 74.47 (winner: 75.66)
Sales Growth: 12% (median winner: 28%)
Below 52wk High: 0.91% (winner: 3.30%)
Relative Strength: 97 (winner: 96)
Avg Qrtly EPS: -46% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Advanced photonics, vision and motion control technologies that deliver extreme precision and performance to advanced manufacturing and medical OEMs.

  • ETFs with exposure to Novanta, Inc. : November 17, 2017 Fri, 17 Nov 2017 17:33:36 +0000
    Categories: ETFs Yahoo FinanceClick here to see latest analysis ETFs with exposure to Novanta, Inc. Here are 5 ETFs with the largest exposure to NOVT-US. Comparing the performance and risk of Novanta, Inc. with the ETFs that have exposure to it gives us some ETF choices that could give us similar returns with lower volatility. Ticker Fund Name ... Read more (Read more...)
  • New Scan Heads Deliver Increased Stability of Laser Beam Focus Tue, 14 Nov 2017 06:00:00 +0000
    Cambridge Technology launches 3-Axis Lightning™ II FX and ProSeries 2 FX for fiber laser applications BEDFORD, Mass. , Nov. 14, 2017 /PRNewswire/ -- Cambridge Technology, a business unit of Novanta Corporation ...
  • NDS announces new HDBaseT-driven integrated operating room networking solution at MEDICA 2017 Mon, 13 Nov 2017 05:00:00 +0000
    DUSSELDORF, Germany, Nov. 13, 2017 /PRNewswire/ -- NDS has announced the launch of its new VIMA integrated operating room (OR) networking solution, to be showcased at the MEDICA World Forum for Medicine in Dusseldorf, Germany. The VIMA networking solution delivers to original equipment manufacturers (OEMs) an easy-to-use video management and patient procedure record/capture system, design engineered to enhance control and integration of visualization systems.
  • Novanta, Inc. :NOVT-US: Earnings Analysis: Q3, 2017 By the Numbers : November 3, 2017 Fri, 03 Nov 2017 13:39:25 +0000
    Categories: Yahoo FinanceGet free summary analysis Novanta, Inc. reports financial results for the quarter ended September 30, 2017. We analyze the earnings along side the following peers of Novanta, Inc. – IPG Photonics Corporation, II-VI Incorporated, Cognex Corporation, Electro Scientific Industries, Inc. and Danaher Corporation (IPGP-US, IIVI-US, CGNX-US, ESIO-US and DHR-US) that have also reported for this ... Read more (Read more...)
  • Novanta posts 3Q profit Wed, 01 Nov 2017 21:11:44 +0000
    The Bedford, Massachusetts-based company said it had profit of less than 1 cent on a per-share basis. Earnings, adjusted for non-recurring costs, were 45 cents per share. The photonic and motion control ...
  • Novanta Announces Financial Results for the Third Quarter 2017 Wed, 01 Nov 2017 19:58:00 +0000
    - Third Quarter 2017 GAAP Revenue of $146.3 million , up 50% year over year - Third Quarter 2017 GAAP Net Income of $7.5 million - Third Quarter 2017 GAAP Diluted Earnings (Loss) Per Share of ($0.00) - ...
  • Novanta to Present at the Stifel 2017 Healthcare Conference Mon, 30 Oct 2017 15:00:00 +0000
    BEDFORD, Mass. , Oct. 30, 2017 /PRNewswire/ -- Novanta Inc. (NASDAQ: NOVT) (the "Company" or "Novanta"), a trusted technology partner to medical and advanced technology equipment manufacturers, ...
  • Novanta to Present at the Baird 2017 Global Industrial Conference Mon, 23 Oct 2017 19:22:00 +0000
    Novanta to Present at the Baird 2017 Global Industrial Conference
  • What Is Novanta Inc’s (NOVT) Share Price Doing? Sun, 22 Oct 2017 20:36:40 +0000
    Novanta Inc (NASDAQ:NOVT), a electronic equipment, instruments and components company based in United States, saw a significant share price rise of over 20% in the past couple of months onRead More...
  • ETFs with exposure to Novanta, Inc. : October 11, 2017 Wed, 11 Oct 2017 15:53:30 +0000
    Categories: ETFs Yahoo FinanceClick here to see latest analysis ETFs with exposure to Novanta, Inc. Here are 5 ETFs with the largest exposure to NOVT-US. Comparing the performance and risk of Novanta, Inc. with the ETFs that have exposure to it gives us some ETF choices that could give us similar returns with lower volatility. Ticker Fund Name ... Read more (Read more...)

Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr
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(Larger Charts. ATR=Average True Range)

Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
NOVT EPS/Sales Growth NOVT vs. Peers

Hilton Grand Vacations Inc Com (HGV)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.7/1.0
Sales
Consistency

Sales Consistency Ranking

0.4/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

3/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

2%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
74.29
Acc Dist
2.09
Disc
0.00%
Avg Vol
520,800
Liquidity
0.45%
Below High
4.62%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
7%
Proj Growth
N/A %
Anal. Rank
5.00
Shares
99.1M
Instit
99%
3-Month Trends of Key Indicators:
Looks Like a Winner?
HGV looks better than most Top Picks Winners* in 3 out of 10 key factors.
Accum/Dist: 2.09 (median winner: 1.53)
Above 40wkMA: 14% (median winner: 35%)
Instit. Ownership: 99% (median winner: 63%)
Liquidity: 0.45% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 74.29 (winner: 75.66)
Sales Growth: 7% (median winner: 28%)
Below 52wk High: 4.62% (winner: 3.30%)
Relative Strength: 81 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Hilton Grand Vacations is committed to the idea that life is incomplete without vacations. Our distinctive resort collection features luxurious accommodations in renowned destinations with the quality service that is synonymous with the Hilton name.

Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
HGV EPS/Sales Growth HGV vs. Peers

AdvanSix Inc (ASIX)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.5/1.0
Sales
Consistency

Sales Consistency Ranking

0.5/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

3/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

2%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
74.02
Acc Dist
1.31
Disc
0.00%
Avg Vol
295,100
Liquidity
0.93%
Below High
7.57%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
-10%
Proj Growth
N/A %
Anal. Rank
5.00
Shares
30.5M
Instit
74%
3-Month Trends of Key Indicators:
Looks Like a Winner?
ASIX looks better than most Top Picks Winners* in 3 out of 10 key factors.
Accum/Dist: 1.31 (median winner: 1.53)
Above 40wkMA: 29% (median winner: 35%)
Instit. Ownership: 74% (median winner: 63%)
Liquidity: 0.93% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 74.02 (winner: 75.66)
Sales Growth: -10% (median winner: 28%)
Below 52wk High: 7.57% (winner: 3.30%)
Relative Strength: 96 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

AdvanSix is a fully integrated manufacturer of nylon 6 resin, chemical intermediates and ammonium sulfate fertilizer.

  • Advansix, Inc. – Value Analysis (NYSE:ASIX) : November 20, 2017 Mon, 20 Nov 2017 18:52:34 +0000
    Categories: Fundamental Analysis Yahoo FinanceClick here to see latest analysis Capitalcube gives Advansix, Inc. a score of 42. Our analysis is based on comparing Advansix, Inc. with the following peers – Nifco Inc. Unsponsored ADR, PolyOne Corporation, Nanophase Technologies Corporation and Mitsubishi Chemical Holdings Corporation Unsponsored ADR (NIFCY-US, POL-US, NANX-US and MTLHY-US). Investment Outlook Advansix, Inc. has a fundamental ... Read more (Read more...)
  • Advansix, Inc. breached its 50 day moving average in a Bullish Manner : ASIX-US : November 17, 2017 Fri, 17 Nov 2017 12:30:31 +0000
    Categories: ETFs Yahoo FinanceGet full CapitalCube analysis *Disclaimer : This is as of previous day’s closing price. Technical Indicators Below is a quick look at 5 technical indicators for Advansix, Inc.. More studies are available on the Technical Chart. Indicator Signal Closing Price above/below 50 Day Moving Average Bullish Closing Price above/below 200 Day Moving Average Bullish 50 ... Read more (Read more...)
  • Zacks.com highlights: AppFolio, AdvanSix, Entegris and LendingTree Wed, 15 Nov 2017 14:40:02 +0000
    Zacks.com highlights: AppFolio, AdvanSix, Entegris and LendingTree
  • Edited Transcript of ASIX earnings conference call or presentation 7-Nov-17 2:00pm GMT Thu, 09 Nov 2017 19:46:00 +0000
    Q3 2017 AdvanSix Inc Earnings Call
  • AdvanSix posts 3Q profit Tue, 07 Nov 2017 11:45:41 +0000
    The Parsippany, New Jersey-based company said it had profit of 68 cents per share. Earnings, adjusted for non-recurring costs, came to 77 cents per share. The polymer resins producer posted revenue of ...
  • AdvanSix Announces Third Quarter 2017 Financial Results Tue, 07 Nov 2017 11:30:00 +0000
    AdvanSix today announced its financial results for the third quarter ending September 30, 2017. The Company generated strong results across a number of metrics including sales volume, income and operating cash flow.
  • ETFs with exposure to Advansix, Inc. : November 6, 2017 Mon, 06 Nov 2017 16:06:41 +0000
    Categories: ETFs Yahoo FinanceClick here to see latest analysis ETFs with exposure to Advansix, Inc. Here are 5 ETFs with the largest exposure to ASIX-US. Comparing the performance and risk of Advansix, Inc. with the ETFs that have exposure to it gives us some ETF choices that could give us similar returns with lower volatility. Ticker Fund Name ... Read more (Read more...)
  • ETFs with exposure to Advansix, Inc. : October 26, 2017 Thu, 26 Oct 2017 14:17:09 +0000
    Categories: ETFs Yahoo FinanceClick here to see latest analysis ETFs with exposure to Advansix, Inc. Here are 5 ETFs with the largest exposure to ASIX-US. Comparing the performance and risk of Advansix, Inc. with the ETFs that have exposure to it gives us some ETF choices that could give us similar returns with lower volatility. Ticker Fund Name ... Read more (Read more...)
  • AdvanSix to Release Third Quarter Financial Results and Hold Investor Conference Call on November 7 Fri, 06 Oct 2017 12:30:00 +0000
    AdvanSix will issue its third quarter 2017 financial results before the opening of The New York Stock Exchange on Tuesday, November 7. The company will also hold a conference call with investors at 9:00 a.m.
  • ETFs with exposure to Advansix, Inc. : September 19, 2017 Tue, 19 Sep 2017 20:59:15 +0000
    Categories: ETFs Yahoo FinanceClick here to see latest analysis ETFs with exposure to Advansix, Inc. Here are 5 ETFs with the largest exposure to ASIX-US. Comparing the performance and risk of Advansix, Inc. with the ETFs that have exposure to it gives us some ETF choices that could give us similar returns with lower volatility. Ticker Fund Name ... Read more (Read more...)

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
ASIX EPS/Sales Growth ASIX vs. Peers

Lyon William Homes Common Stock (WLH)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.5/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

5/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

6%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
73.96
Acc Dist
1.38
Disc
0.00%
Avg Vol
373,400
Liquidity
1.04%
Below High
2.71%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
112%  32%
EPS Growth
-11%
Sls Growth
37%
Proj Growth
N/A %
Anal. Rank
3.13
Shares
31.9M
Instit
0%
3-Month Trends of Key Indicators:
Looks Like a Winner?
WLH looks better than most Top Picks Winners* in 5 out of 10 key factors.
Accum/Dist: 1.38 (median winner: 1.53)
Above 40wkMA: 28% (median winner: 35%)
Instit. Ownership: 0% (median winner: 63%)
Liquidity: 1.04% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 73.96 (winner: 75.66)
Sales Growth: 37% (median winner: 28%)
Below 52wk High: 2.71% (winner: 3.30%)
Relative Strength: 91 (winner: 96)
Avg Qrtly EPS: 72% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

William Lyon Homes new homes for sale.

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
WLH EPS/Sales Growth WLH vs. Peers

RBB Bancorp (RBB)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

4/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

1%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
73.83
Acc Dist
0.69
Disc
0.00%
Avg Vol
26,900
Liquidity
0.16%
Below High
4.58%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
4.38
Shares
15.8M
Instit
24%
3-Month Trends of Key Indicators:
Looks Like a Winner?
RBB looks better than most Top Picks Winners* in 4 out of 10 key factors.
Accum/Dist: 0.69 (median winner: 1.53)
Above 40wkMA: 147% (median winner: 35%)
Instit. Ownership: 24% (median winner: 63%)
Liquidity: 0.16% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 73.83 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 4.58% (winner: 3.30%)
Relative Strength: 74 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Royal Business Bank is a Chinese-American business-oriented bank. We serve a unique market that is engaged in the highest degree of trade with Pacific Rim countries. In addition, we serve our community by offering residential mortgages and small business loans. Our size and infrastructure allows us to serve customers that require higher lending limits than normally associated with other smaller, local banking organizations.

  • RBB Bancorp Reports Third Quarter Earnings for 2017 Mon, 23 Oct 2017 20:15:00 +0000
    Net income was $6.6 million or $0.42 diluted earnings per share Total loans increased by $50.5 million, or 17.5% annualized growth, from the end of the prior quarter Total deposits increased by $39.8 million, ...
  • RBB Bancorp Declares Third Quarter Dividend of $0.08 Per Share Thu, 19 Oct 2017 20:15:00 +0000
    LOS ANGELES, Oct. 19, 2017-- RBB Bancorp and its subsidiaries, Royal Business Bank and RBB Asset Management Company, collectively referred to herein as“ the Company”, today announced that its Board of ...
  • RBB Bancorp to Report Third Quarter 2017 Financial Results Wed, 18 Oct 2017 20:15:00 +0000
    LOS ANGELES, Oct. 18, 2017-- RBB Bancorp and its subsidiaries, Royal Business Bank and RBB Asset Management Company, collectively referred to herein as“ the Company”, today announced that it will release ...
  • Is It Time To Buy RBB Bancorp (RBB) Based Off Its PE Ratio? Wed, 13 Sep 2017 17:25:29 +0000
    RBB Bancorp (NASDAQ:RBB) is trading with a trailing P/E of 11.4x, which is lower than the industry average of 19.9x. Although some investors may jump to the conclusion that thisRead More...
  • RBB Bancorp Announces Completion Of Initial Public Offering Mon, 31 Jul 2017 21:00:00 +0000
    LOS ANGELES , July 31, 2017 /PRNewswire/ -- RBB Bancorp (NASDAQ: RBB) today announced that it has completed its initial public offering of 3,750,000 shares of no par value common stock at a price to the ...
  • Opening Bell, July 27, 2017 Thu, 27 Jul 2017 13:29:00 +0000
    TP ICAP, a wholesale market intermediary in financial, energy and commodities markets rings the opening bell at the NYSE, and RBB Bancorp celebrates its IPO at the Nasdaq.
  • RBB Bancorp Announcing Pricing Of Initial Public Offering Wed, 26 Jul 2017 12:00:00 +0000
    LOS ANGELES , July 26, 2017 /PRNewswire/ -- RBB Bancorp today announced the pricing of its initial public offering of 3,750,000 shares of no par value common stock at a price to the public of $23.00 per ...

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
RBB EPS/Sales Growth RBB vs. Peers

LivaNova PLC (LIVN)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

5/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

10%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
73.73
Acc Dist
2.18
Disc
158.50%
Avg Vol
372,100
Liquidity
0.74%
Below High
0.25%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A   
EPS Growth
0%
Sls Growth
63%
Proj Growth
10%
Anal. Rank
3.44
Shares
48.2M
Instit
88%
3-Month Trends of Key Indicators:
Looks Like a Winner?
LIVN looks better than most Top Picks Winners* in 5 out of 10 key factors.
Accum/Dist: 2.18 (median winner: 1.53)
Above 40wkMA: 38% (median winner: 35%)
Instit. Ownership: 88% (median winner: 63%)
Liquidity: 0.74% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 73.73 (winner: 75.66)
Sales Growth: 63% (median winner: 28%)
Below 52wk High: 0.25% (winner: 3.30%)
Relative Strength: 95 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
LIVN EPS/Sales Growth LIVN vs. Peers

TPG RE Finance Trust Inc (TRTX)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

4/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

1%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
73.48
Acc Dist
0.42
Disc
0.00%
Avg Vol
67,300
Liquidity
0.09%
Below High
4.37%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
4.00
Shares
59.6M
Instit
26%
3-Month Trends of Key Indicators:
Looks Like a Winner?
TRTX looks better than most Top Picks Winners* in 4 out of 10 key factors.
Accum/Dist: 0.42 (median winner: 1.53)
Above 40wkMA: 122% (median winner: 35%)
Instit. Ownership: 26% (median winner: 63%)
Liquidity: 0.09% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 73.48 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 4.37% (winner: 3.30%)
Relative Strength: 71 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

TPG Real Estate Finance Trust, Inc. (NYSE: TRTX) is a balance sheet lender that originates first-mortgage loans greater than $50 million in leading and select secondary domestic markets. With decades of experience as lenders, our team has unparalleled market insight and an extensive relationship network. Our experience enables us to provide superior borrower service, asset management, and loan servicing. We have built a team of asset managers who focus on efficiently funding capital expenditure needs once a loan is closed—a unique structure that ensures a good experience for borrowers.

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
TRTX EPS/Sales Growth TRTX vs. Peers

China Internet Nationwide (CIFS)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

7/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

6%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
73.35
Acc Dist
2.66
Disc
0.00%
Avg Vol
304,300
Liquidity
1.88%
Below High
4.59%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
0.00
Shares
20M
Instit
0%
3-Month Trends of Key Indicators:
Looks Like a Winner?
CIFS looks better than most Top Picks Winners* in 7 out of 10 key factors.
Accum/Dist: 2.66 (median winner: 1.53)
Above 40wkMA: 463% (median winner: 35%)
Instit. Ownership: 0% (median winner: 63%)
Liquidity: 1.88% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 73.35 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 4.59% (winner: 3.30%)
Relative Strength: 99 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Founded in September 2014, we provide financial advisory services to meet the financial and capital needs of our clients, which comprise largely of small-to-medium sized enterprises (“SMEs”). Through our wholly-owned subsidiaries and our contractually controlled and managed company, we operate a comprehensive service platform through online financing service to offer SMEs commercial payment advisory services, international corporate financing advisory services and intermediary bank loan advisory services. We assist the small and medium-sized enterprises in achieving a virtuous cycle of capital

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
CIFS EPS/Sales Growth CIFS vs. Peers

LCI Industries (LCII)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.5/1.0
Sales
Consistency

Sales Consistency Ranking

0.8/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

2/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

9%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
73.29
Acc Dist
1.51
Disc
0.00%
Avg Vol
139,800
Liquidity
0.52%
Below High
3.53%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
7%  5%
EPS Growth
41%
Sls Growth
17%
Proj Growth
N/A %
Anal. Rank
5.00
Shares
24.9M
Instit
0%
3-Month Trends of Key Indicators:
Looks Like a Winner?
LCII looks better than most Top Picks Winners* in 2 out of 10 key factors.
Accum/Dist: 1.51 (median winner: 1.53)
Above 40wkMA: 21% (median winner: 35%)
Instit. Ownership: 0% (median winner: 63%)
Liquidity: 0.52% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 73.29 (winner: 75.66)
Sales Growth: 17% (median winner: 28%)
Below 52wk High: 3.53% (winner: 3.30%)
Relative Strength: 88 (winner: 96)
Avg Qrtly EPS: 6% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

We are a leading supplier of components to the recreational vehicle and manufactured housing industries, as well as adjacent industries including bus, cargo and equestrian trailer, marine and heavy truck. From 45 facilities throughout the United States, Canada and Italy, our more than 7,000 employees work together to bring innovative product solutions to market every day.

  • LCI Industries, Inc. : LCII-US: Dividend Analysis : November 17th, 2017 (record date) : By the numbers : November 17, 2017 Fri, 17 Nov 2017 15:13:34 +0000
    Categories: Yahoo FinanceGet free summary analysis Our analysis is based on comparing LCI Industries, Inc. with the following peers – Thor Industries, Inc., Winnebago Industries, Inc., Patrick Industries, Inc., Stoneridge, Inc., Spartan Motors, Inc., Superior Industries International, Inc., Skyline Corporation and Flexsteel Industries, Inc. (THO-US, WGO-US, PATK-US, SRI-US, SPAR-US, SUP-US, SKY-US and FLXS-US). LCI Industries, Inc.’s dividend ... Read more (Read more...)
  • LCI Industries Adds Ron Fenech to Board of Directors Thu, 16 Nov 2017 21:15:00 +0000
    ELKHART, Ind. , Nov. 16, 2017 /PRNewswire/ -- LCI Industries (NYSE: LCII), a supplier of components for the leading original equipment manufacturers ("OEMs") of recreational vehicles ("RVs") ...
  • Earnings Review and Free Research Report: Polaris’ Net Sales Surged 25%; Adjusted EPS Rocketed 192% Tue, 07 Nov 2017 12:10:00 +0000
    Research Desk Line-up: LCI Industries Post Earnings Coverage LONDON, UK / ACCESSWIRE / November 7, 2017 / Pro-Trader Daily has just published a free post-earnings coverage on Polaris Industries Inc. (NYSE: ...
  • LCI Industries Increases Quarterly Cash Dividend Mon, 06 Nov 2017 21:30:00 +0000
    ELKHART, Ind., Nov. 6, 2017 /PRNewswire/ -- LCI Industries (LCII) ("LCI"), a supplier of components for the leading original equipment manufacturers ("OEMs") of recreational vehicles ("RVs") and adjacent industries, and the related aftermarkets of those industries, today announced that its Board of Directors approved an increase in the amount of the Company's regular quarterly cash dividend to $0.55 per share from $0.50 per share of common stock, an increase of 10%. "This increase to our regular quarterly dividend demonstrates the Board of Directors' and management's continued confidence in the Company's consistent financial performance and long term strategy, as well as our optimistic outlook as we approach 2018," said LCI's CEO, Jason Lippert.
  • ETFs with exposure to LCI Industries, Inc. : November 6, 2017 Mon, 06 Nov 2017 16:58:34 +0000
    Categories: ETFs Yahoo FinanceClick here to see latest analysis ETFs with exposure to LCI Industries, Inc. Here are 5 ETFs with the largest exposure to LCII-US. Comparing the performance and risk of LCI Industries, Inc. with the ETFs that have exposure to it gives us some ETF choices that could give us similar returns with lower volatility. Ticker ... Read more (Read more...)
  • Higher Costs Hold Back LCI Industries Mon, 06 Nov 2017 14:23:00 +0000
    Find out why the RV component manufacturer's earnings didn't grow as much as investors had wanted.
  • Stocks To Watch: LCI Industries Sees RS Rating Rise To 81 Mon, 06 Nov 2017 08:00:00 +0000
    A Relative Strength Rating upgrade for LCI Industries shows improving technical performance.
  • Edited Transcript of LCII earnings conference call or presentation 2-Nov-17 3:00pm GMT Fri, 03 Nov 2017 17:41:23 +0000
    Q3 2017 LCI Industries Earnings Call
  • LCI Industries Reports 2017 Third Quarter Results Thu, 02 Nov 2017 11:30:00 +0000
    2017 Third Quarter Sales Increase $142 million to Record Quarter of $555 million ELKHART, Ind. , Nov. 2, 2017 /PRNewswire/ -- LCI Industries (NYSE: LCII) ("LCI", or the "Company"), ...
  • LCI Industries Clears Key Benchmark, Hitting 80-Plus RS Rating Wed, 01 Nov 2017 07:00:00 +0000
    LCI Industries sees its Relative Strength Rating move into the 80-plus level.

Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
LCII EPS/Sales Growth LCII vs. Peers

Molecular Templates Inc (MTEM)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

3/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

8%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
73.21
Acc Dist
2.00
Disc
0.00%
Avg Vol
155,100
Liquidity
0.42%
Below High
28.79%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A   
EPS Growth
0%
Sls Growth
-100%
Proj Growth
N/A %
Anal. Rank
5.00
Shares
26.9M
Instit
15%
3-Month Trends of Key Indicators:
Looks Like a Winner?
MTEM looks better than most Top Picks Winners* in 3 out of 10 key factors.
Accum/Dist: 2.00 (median winner: 1.53)
Above 40wkMA: 34% (median winner: 35%)
Instit. Ownership: 15% (median winner: 63%)
Liquidity: 0.42% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 73.21 (winner: 75.66)
Sales Growth: -100% (median winner: 28%)
Below 52wk High: 28.79% (winner: 3.30%)
Relative Strength: 95 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Molecular Templates is focused on the discovery, development, and commercialization of next-generation immunotoxins called Engineered Toxin Bodies (ETBs) for the treatment of cancers and other serious diseases.

Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
MTEM EPS/Sales Growth MTEM vs. Peers

FB Financial Corporation Common (FBK)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.3/1.0
Sales
Consistency

Sales Consistency Ranking

0.3/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

4/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

2%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
73.16
Acc Dist
1.14
Disc
0.00%
Avg Vol
75,800
Liquidity
0.24%
Below High
5.03%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
767%  N/A%
EPS Growth
0%
Sls Growth
36%
Proj Growth
N/A %
Anal. Rank
3.96
Shares
30.5M
Instit
35%
3-Month Trends of Key Indicators:
Looks Like a Winner?
FBK looks better than most Top Picks Winners* in 4 out of 10 key factors.
Accum/Dist: 1.14 (median winner: 1.53)
Above 40wkMA: 11% (median winner: 35%)
Instit. Ownership: 35% (median winner: 63%)
Liquidity: 0.24% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 73.16 (winner: 75.66)
Sales Growth: 36% (median winner: 28%)
Below 52wk High: 5.03% (winner: 3.30%)
Relative Strength: 86 (winner: 96)
Avg Qrtly EPS: 767% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Nashville-based FirstBank, a wholly owned subsidiary of FB Financial Corporation (NYSE: FBK), is the third largest Tennessee-headquartered bank, with 45 full-service bank branches across Tennessee, North Alabama and North Georgia, and mortgage locations across the Southeast. The bank serves five of the major metropolitan markets in Tennessee and, with approximately $3.2 billion in total assets, has the resources to provide a comprehensive variety of financial services and products.

  • ETFs with exposure to FB Financial Corp. : November 21, 2017 Tue, 21 Nov 2017 16:44:47 +0000
    Categories: ETFs Yahoo FinanceClick here to see latest analysis ETFs with exposure to FB Financial Corp. Here are 5 ETFs with the largest exposure to FBK-US. Comparing the performance and risk of FB Financial Corp. with the ETFs that have exposure to it gives us some ETF choices that could give us similar returns with lower volatility. Ticker ... Read more (Read more...)
  • FB Financial Corp. :FBK-US: Earnings Analysis: Q3, 2017 By the Numbers : November 20, 2017 Mon, 20 Nov 2017 14:32:26 +0000
    Categories: Yahoo FinanceGet free summary analysis FB Financial Corp. reports financial results for the quarter ended September 30, 2017. We analyze the earnings along side the following peers of FB Financial Corp. – Northeast Bancorp, NBT Bancorp Inc., Nicolet Bankshares, Inc. and National Bank Holdings Corporation Class A (NBN-US, NBTB-US, NCBS-US and NBHC-US) that have also reported ... Read more (Read more...)
  • ETFs with exposure to FB Financial Corp. : October 27, 2017 Fri, 27 Oct 2017 14:54:36 +0000
    Categories: ETFs Yahoo FinanceClick here to see latest analysis ETFs with exposure to FB Financial Corp. Here are 5 ETFs with the largest exposure to FBK-US. Comparing the performance and risk of FB Financial Corp. with the ETFs that have exposure to it gives us some ETF choices that could give us similar returns with lower volatility. Ticker ... Read more (Read more...)
  • FB Financial posts 3Q profit Mon, 23 Oct 2017 20:29:38 +0000
    The bank, based in Nashville, Tennessee, said it had earnings of 27 cents per share. Earnings, adjusted for non-recurring costs, came to 60 cents per share. The results surpassed Wall Street expectations. ...
  • FB Financial Corporation Announces 2017 Third Quarter Earnings Call Fri, 13 Oct 2017 20:05:00 +0000
    FB Financial Corporation announced today that it will release its 2017 third quarter results on Monday, October 23, 2017, after the close of the market.
  • FB Financial Corp. breached its 50 day moving average in a Bullish Manner : FBK-US : September 5, 2017 Tue, 05 Sep 2017 13:15:08 +0000
    Categories: ETFs Yahoo FinanceGet full CapitalCube analysis *Disclaimer : This is as of previous day’s closing price. Technical Indicators Below is a quick look at 5 technical indicators for FB Financial Corp.. More studies are available on the Technical Chart. Indicator Signal Closing Price above/below 50 Day Moving Average Bullish Closing Price above/below 200 Day Moving Average Bullish ... Read more (Read more...)
  • ETFs with exposure to FB Financial Corp. : September 1, 2017 Fri, 01 Sep 2017 23:46:57 +0000
    Categories: ETFs Yahoo FinanceClick here to see latest analysis ETFs with exposure to FB Financial Corp. Here are 5 ETFs with the largest exposure to FBK-US. Comparing the performance and risk of FB Financial Corp. with the ETFs that have exposure to it gives us some ETF choices that could give us similar returns with lower volatility. Ticker ... Read more (Read more...)
  • FB Financial Corp. :FBK-US: Earnings Analysis: Q2, 2017 By the Numbers : August 28, 2017 Mon, 28 Aug 2017 17:23:40 +0000
    Categories: Yahoo FinanceGet free summary analysis FB Financial Corp. reports financial results for the quarter ended June 30, 2017. We analyze the earnings along side the following peers of FB Financial Corp. – Northeast Bancorp, NBT Bancorp Inc., Nicolet Bankshares, Inc. and National Bank Holdings Corporation Class A (NBN-US, NBTB-US, NCBS-US and NBHC-US) that have also reported ... Read more (Read more...)
  • 3 Factors That Make FB Financial (FBK) Stock a Solid Bet Now Mon, 28 Aug 2017 12:57:12 +0000
    Positive estimate revisions and healthy growth prospects should drive FB Financial Corporation (FBK) shares higher.
  • Edited Transcript of FBK earnings conference call or presentation 25-Jul-17 1:00pm GMT Sun, 13 Aug 2017 01:50:56 +0000
    Q2 2017 FB Financial Corp Earnings Call

Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr
Daily-6Mo w/2-ATR Stops 3-ATR 4-ATR
Daily-1 Yr (opens in new window)
(Larger Charts. ATR=Average True Range)

Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
FBK EPS/Sales Growth FBK vs. Peers

Fennec Pharmaceuticals Inc (FENC)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

4/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

9%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
73.13
Acc Dist
0.41
Disc
0.00%
Avg Vol
28,300
Liquidity
0.13%
Below High
24.62%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A   
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
0.00
Shares
15.9M
Instit
33%
3-Month Trends of Key Indicators:
Looks Like a Winner?
FENC looks better than most Top Picks Winners* in 4 out of 10 key factors.
Accum/Dist: 0.41 (median winner: 1.53)
Above 40wkMA: 274% (median winner: 35%)
Instit. Ownership: 33% (median winner: 63%)
Liquidity: 0.13% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 73.13 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 24.62% (winner: 3.30%)
Relative Strength: 99 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Fennec Pharmaceuticals is a small stage biotechnology company focused on the development of Sodium Thiosulfate for the prevention of ototoxicity from cisplatin in pediatric patients.

Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
FENC EPS/Sales Growth FENC vs. Peers

Ovid Therapeutics Inc (OVID)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

4/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

48%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
72.90
Acc Dist
1.03
Disc
0.00%
Avg Vol
54,000
Liquidity
0.24%
Below High
32.71%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
5.00
Shares
24.6M
Instit
29%
3-Month Trends of Key Indicators:
Looks Like a Winner?
OVID looks better than most Top Picks Winners* in 4 out of 10 key factors.
Accum/Dist: 1.03 (median winner: 1.53)
Above 40wkMA: 54% (median winner: 35%)
Instit. Ownership: 29% (median winner: 63%)
Liquidity: 0.24% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 72.90 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 32.71% (winner: 3.30%)
Relative Strength: 82 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Ovid Therapeutics is focused on developing medicines to transform the lives of people with rare neurological disorders. Learn about our BoldMedicine approach.

Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
OVID EPS/Sales Growth OVID vs. Peers

Not Available (MDGL)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

5/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

20%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
72.81
Acc Dist
2.00
Disc
0.00%
Avg Vol
120,000
Liquidity
0.52%
Below High
11.12%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A   
EPS Growth
0%
Sls Growth
-100%
Proj Growth
N/A %
Anal. Rank
5.00
Shares
12.5M
Instit
22%
3-Month Trends of Key Indicators:
Looks Like a Winner?
MDGL looks better than most Top Picks Winners* in 5 out of 10 key factors.
Accum/Dist: 2.00 (median winner: 1.53)
Above 40wkMA: 102% (median winner: 35%)
Instit. Ownership: 22% (median winner: 63%)
Liquidity: 0.52% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 72.81 (winner: 75.66)
Sales Growth: -100% (median winner: 28%)
Below 52wk High: 11.12% (winner: 3.30%)
Relative Strength: 99 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
MDGL EPS/Sales Growth MDGL vs. Peers

Silvercrest Asset Management Gr (SAMG)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.1/1.0
Sales
Consistency

Sales Consistency Ranking

0.9/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

1/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

14%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
72.75
Acc Dist
1.23
Disc
0.00%
Avg Vol
16,700
Liquidity
0.11%
Below High
9.82%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
21%  92%
EPS Growth
14%
Sls Growth
12%
Proj Growth
N/A %
Anal. Rank
5.00
Shares
13.2M
Instit
74%
3-Month Trends of Key Indicators:
Looks Like a Winner?
SAMG looks better than most Top Picks Winners* in 1 out of 10 key factors.
Accum/Dist: 1.23 (median winner: 1.53)
Above 40wkMA: 13% (median winner: 35%)
Instit. Ownership: 74% (median winner: 63%)
Liquidity: 0.11% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 72.75 (winner: 75.66)
Sales Growth: 12% (median winner: 28%)
Below 52wk High: 9.82% (winner: 3.30%)
Relative Strength: 84 (winner: 96)
Avg Qrtly EPS: 56% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
SAMG EPS/Sales Growth SAMG vs. Peers

Dova Pharmaceuticals Inc (DOVA)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

4/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

31%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
72.67
Acc Dist
0.56
Disc
0.00%
Avg Vol
75,200
Liquidity
0.22%
Below High
4.10%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
5.00
Shares
25.7M
Instit
26%
3-Month Trends of Key Indicators:
Looks Like a Winner?
DOVA looks better than most Top Picks Winners* in 4 out of 10 key factors.
Accum/Dist: 0.56 (median winner: 1.53)
Above 40wkMA: 122% (median winner: 35%)
Instit. Ownership: 26% (median winner: 63%)
Liquidity: 0.22% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 72.67 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 4.10% (winner: 3.30%)
Relative Strength: 80 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

DOVA IS… …a clinical-stage pharmaceutical company focused on acquiring, developing and commercializing drug candidates for rare diseases where there is a high unmet medical need. With a nimble approach and a team of bright minds aglow with passion, we’re dedicated to bringing brilliant medicine to market.

Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
DOVA EPS/Sales Growth DOVA vs. Peers

WildHorse Resource Development (WRD)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.7/1.0
Sales
Consistency

Sales Consistency Ranking

0.9/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

5/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

17%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
72.45
Acc Dist
1.35
Disc
15.39%
Avg Vol
452,700
Liquidity
0.43%
Below High
0.82%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
48%
Proj Growth
42.4%
Anal. Rank
4.75
Shares
101.2M
Instit
97%
3-Month Trends of Key Indicators:
Looks Like a Winner?
WRD looks better than most Top Picks Winners* in 5 out of 10 key factors.
Accum/Dist: 1.35 (median winner: 1.53)
Above 40wkMA: 36% (median winner: 35%)
Instit. Ownership: 97% (median winner: 63%)
Liquidity: 0.43% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 72.45 (winner: 75.66)
Sales Growth: 48% (median winner: 28%)
Below 52wk High: 0.82% (winner: 3.30%)
Relative Strength: 93 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

WildHorse Resource Development Corporation is an independent oil and natural gas company focused on the acquisition, exploration, development and production of oil, natural gas and NGL properties primarily in the Eagle Ford Shale in East Texas and the Over-Pressured Cotton Valley in North Louisiana.

Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
WRD EPS/Sales Growth WRD vs. Peers

The Bank of Princeton (BPRN)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

4/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

3%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
72.39
Acc Dist
1.06
Disc
0.00%
Avg Vol
13,700
Liquidity
0.29%
Below High
15.64%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
5.00
Shares
6M
Instit
0%
3-Month Trends of Key Indicators:
Looks Like a Winner?
BPRN looks better than most Top Picks Winners* in 4 out of 10 key factors.
Accum/Dist: 1.06 (median winner: 1.53)
Above 40wkMA: 51% (median winner: 35%)
Instit. Ownership: 0% (median winner: 63%)
Liquidity: 0.29% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 72.39 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 15.64% (winner: 3.30%)
Relative Strength: 73 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

The Bank of Princeton is a growing, profitable community bank that was founded in Princeton, New Jersey in 2007. It is a New Jersey state-chartered commercial bank with ten branches in New Jersey, including three in Princeton and others in Hamilton, Pennington, Montgomery, Monroe Township, Lambertville, New Brunswick, Lawrenceville and three branches operating under the MoreBank name in the Philadelphia area. The Bank of Princeton is a member of the FDIC, an Equal Opportunity Employer, and an Equal Opportunity Lender.

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
BPRN EPS/Sales Growth BPRN vs. Peers

AnaptysBio Inc (ANAB)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

5/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

28%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
72.24
Acc Dist
1.39
Disc
0.00%
Avg Vol
453,800
Liquidity
1.36%
Below High
2.44%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A   
EPS Growth
0%
Sls Growth
3%
Proj Growth
N/A %
Anal. Rank
4.83
Shares
23.5M
Instit
75%
3-Month Trends of Key Indicators:
Looks Like a Winner?
ANAB looks better than most Top Picks Winners* in 5 out of 10 key factors.
Accum/Dist: 1.39 (median winner: 1.53)
Above 40wkMA: 140% (median winner: 35%)
Instit. Ownership: 75% (median winner: 63%)
Liquidity: 1.36% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 72.24 (winner: 75.66)
Sales Growth: 3% (median winner: 28%)
Below 52wk High: 2.44% (winner: 3.30%)
Relative Strength: 99 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

AnaptysBio is a clinical-stage biotechnology company developing first-in-class antibody product candidates focused on unmet medical needs in inflammation and immuno-oncology.

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
ANAB EPS/Sales Growth ANAB vs. Peers

Mersana Therapeutics Inc (MRSN)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

3/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

21%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
71.80
Acc Dist
0.51
Disc
0.00%
Avg Vol
37,100
Liquidity
0.12%
Below High
9.80%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
5.00
Shares
22.8M
Instit
77%
3-Month Trends of Key Indicators:
Looks Like a Winner?
MRSN looks better than most Top Picks Winners* in 3 out of 10 key factors.
Accum/Dist: 0.51 (median winner: 1.53)
Above 40wkMA: 122% (median winner: 35%)
Instit. Ownership: 77% (median winner: 63%)
Liquidity: 0.12% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 71.80 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 9.80% (winner: 3.30%)
Relative Strength: 82 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

We are a clinical stage antibody drug conjugate company that has leveraged twenty years of industry learnings to develop proprietary technologies that enable us to design antibody drug conjugates with improved efficacy, safety and tolerability relative to existing ADC therapies. Our proprietary technologies combined with our deep understanding of target and patient selection allow us to create precisely targeted therapies with the potential to radically improve patient lives.

  • Mersana Therapeutics, Inc. – Value Analysis (NASDAQ:MRSN) : November 24, 2017 Fri, 24 Nov 2017 16:27:55 +0000
    Categories: Fundamental Analysis Yahoo FinanceClick here to see latest analysis Capitalcube gives Mersana Therapeutics, Inc. a score of 75. Our analysis is based on comparing Mersana Therapeutics, Inc. with the following peers – Protagonist Therapeutics, Inc., Parallax Health Sciences Inc., Plandai Biotechnology, Inc. and Pieris Pharmaceuticals, Inc. (PTGX-US, PRLX-US, PLPL-US and PIRS-US). Investment Outlook Mersana Therapeutics, Inc. has a ... Read more (Read more...)
  • Mersana Therapeutics, Inc. breached its 50 day moving average in a Bullish Manner : MRSN-US : November 22, 2017 Wed, 22 Nov 2017 12:29:51 +0000
    Categories: ETFs Yahoo FinanceGet full CapitalCube analysis *Disclaimer : This is as of previous day’s closing price. Technical Indicators Below is a quick look at 5 technical indicators for Mersana Therapeutics, Inc.. More studies are available on the Technical Chart. Indicator Signal Closing Price above/below 50 Day Moving Average Bullish Closing Price above/below 200 Day Moving Average Bullish ... Read more (Read more...)
  • Mersana Announces Third Quarter 2017 Financial Results and Provides Business Updates Thu, 09 Nov 2017 21:01:00 +0000
    Received FDA Clearance of IND Application for XMT-1536, a First-in-Class Dolaflexin ® Antibody Drug Conjugate Targeting NaPi2b. XMT-1522 Phase 1 Trial Continues Enrollment of Patients with Advanced Tumors ...
  • A requirement at this Cambridge biotech: Must love dogs Wed, 01 Nov 2017 20:10:11 +0000
    Mersana Therapeutics has accomplished a lot in recent years. The Cambridge biotech signed collaboration deals with drug giants Takeda and Merck KGaA, released promising data on its experimental cancer treatments, and recently raised $75 million in an initial public offering. The company’s chief business officer, Eva Jack, participates in Canine Companions for Independence, a nonprofit program in which volunteer “puppy raisers” like her provide homes for aspiring service dogs before they are placed with children, adults and veterans with disabilities.
  • Mersana Therapeutics, Inc. breached its 50 day moving average in a Bearish Manner : MRSN-US : October 16, 2017 Mon, 16 Oct 2017 12:34:08 +0000
    Categories: ETFs Yahoo FinanceGet full CapitalCube analysis *Disclaimer : This is as of previous day’s closing price. Technical Indicators Below is a quick look at 5 technical indicators for Mersana Therapeutics, Inc.. More studies are available on the Technical Chart. Indicator Signal Closing Price above/below 50 Day Moving Average Bearish Closing Price above/below 200 Day Moving Average Bullish ... Read more (Read more...)
  • Boston biotech developing obesity drug pulls down $120M in IPO Thu, 05 Oct 2017 10:40:14 +0000
    A 9-year-old biotech company headquartered in Boston’s Back Bay, Rhythm Pharmaceuticals Inc. has become the fourth local drugmaker to go public this year, raising $120 million in an upsized public offering. Rhythm, which has 15 employees based in a 6,830-square-foot office at 500 Boylston St., sold 7 million shares for $17 each, beating the range it floated in a federal filing just a couple weeks ago of $14-$16. It’s the second-biggest IPO for a Boston-area biotech in what’s so far a slow year, with only Cambridge-based Akcea Therapeutics (AKCA) raising more, with a $144 million IPO in July .
  • Mersana Therapeutics, Inc. – Value Analysis (NASDAQ:MRSN) : September 21, 2017 Thu, 21 Sep 2017 22:42:46 +0000
    Categories: Fundamental Analysis Yahoo FinanceClick here to see latest analysis Capitalcube gives Mersana Therapeutics, Inc. a score of 69. Our analysis is based on comparing Mersana Therapeutics, Inc. with the following peers – Pieris Pharmaceuticals, Inc., PDL BioPharma, Inc., Bioblast Pharma Ltd. and InVivo Therapeutics Corporation (PIRS-US, PDLI-US, ORPN-US and NVIV-US). Investment Outlook Mersana Therapeutics, Inc. has a fundamental ... Read more (Read more...)
  • Mersana Therapeutics, Inc. breached its 50 day moving average in a Bearish Manner : MRSN-US : September 20, 2017 Wed, 20 Sep 2017 13:57:26 +0000
    Categories: ETFs Yahoo FinanceGet full CapitalCube analysis *Disclaimer : This is as of previous day’s closing price. Technical Indicators Below is a quick look at 5 technical indicators for Mersana Therapeutics, Inc.. More studies are available on the Technical Chart. Indicator Signal Closing Price above/below 50 Day Moving Average Bearish Closing Price above/below 200 Day Moving Average Bullish ... Read more (Read more...)
  • Mersana Appoints Lawrence M. Alleva to Board of Directors Tue, 05 Sep 2017 20:05:00 +0000
    CAMBRIDGE, Mass., Sept. 05, 2017-- Mersana Therapeutics, Inc., a clinical-stage biopharmaceutical company focused on discovering and developing a pipeline of antibody drug conjugates based on its pro

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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
MRSN EPS/Sales Growth MRSN vs. Peers

UroGen Pharma Ltd (URGN)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

6/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

3%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
71.32
Acc Dist
1.95
Disc
0.00%
Avg Vol
86,700
Liquidity
0.92%
Below High
8.27%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
4.38
Shares
13.2M
Instit
35%
3-Month Trends of Key Indicators:
Looks Like a Winner?
URGN looks better than most Top Picks Winners* in 6 out of 10 key factors.
Accum/Dist: 1.95 (median winner: 1.53)
Above 40wkMA: 132% (median winner: 35%)
Instit. Ownership: 35% (median winner: 63%)
Liquidity: 0.92% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 71.32 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 8.27% (winner: 3.30%)
Relative Strength: 99 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

UroGen Pharma (“UroGen” or “the Company”) is a clinical-stage biopharmaceutical company focused on developing novel therapies designed to change the standard of care for urological pathologies with a focus on uro-oncology. The Company has an innovative and broad pipeline of product candidates that it believes can overcome the deficiencies of current treatment options for a variety of urological conditions with a focus on uro-oncology. The lead product candidates, MitoGel and VesiGel, are proprietary formulations of the chemotherapy drug Mitomycin C, or MMC, a generic drug which is currently

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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
URGN EPS/Sales Growth URGN vs. Peers

Azul SA American Depositary S (AZUL)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

4/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

8%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
71.28
Acc Dist
1.87
Disc
0.00%
Avg Vol
358,200
Liquidity
0.11%
Below High
11.52%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
4.69
Shares
321M
Instit
29%
3-Month Trends of Key Indicators:
Looks Like a Winner?
AZUL looks better than most Top Picks Winners* in 4 out of 10 key factors.
Accum/Dist: 1.87 (median winner: 1.53)
Above 40wkMA: 32% (median winner: 35%)
Instit. Ownership: 29% (median winner: 63%)
Liquidity: 0.11% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 71.28 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 11.52% (winner: 3.30%)
Relative Strength: 75 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

We have been the fastest growing airline in Brazil since we commenced operations in December 2008 and currently have the largest airline network in the country in terms of cities served, with service to more than 100 destinations, and 792 daily flights. We have expanded our operations with selected non stop service to the United States, Europe and South America.

  • Azul Reports October Traffic Fri, 10 Nov 2017 11:15:00 +0000
    SAO PAULO , Nov. 10, 2017 /PRNewswire/ -- Azul S.A., "Azul", (B3: AZUL4, NYSE: AZUL), the largest airline in Brazil by number of cities and departures, announces today its preliminary traffic ...
  • Azul Reports Record Third Quarter Results Thu, 09 Nov 2017 10:35:00 +0000
    Azul S.A., “Azul” the largest airline in Brazil by number of cities and departures, announces today its results for the third quarter of 2017 . The following financial information, unless stated otherwise, is presented in Brazilian reais and in accordance with International Financial Reporting Standards .
  • Azul Announces its Third Quarter 2017 Earnings Conference Call Mon, 16 Oct 2017 21:50:00 +0000
    SĂO PAULO, Oct. 16, 2017 /PRNewswire/ --  Azul S.A. (B3: AZUL4, NYSE: AZUL) announced today that it will hold its conference call to discuss third quarter 2017 financial results on November 9th, 2017 at ...
  • Azul Investments LLP -- Moody's assigns first-time Ba3 CFR to Azul and B1 to its proposed USD500 million notes; Outlook stable Wed, 11 Oct 2017 13:33:07 +0000
    Rating Action: Moody's assigns first-time Ba3 CFR to Azul and B1 to its proposed USD500 million notes; Outlook stable. Global Credit Research- 11 Oct 2017. New York, October 11, 2017-- Moody's Investors ...
  • Azul optimizes fleet and reduces total debt by R$ 325 million Wed, 11 Oct 2017 12:00:00 +0000
    SAO PAULO, Oct. 11, 2017 /PRNewswire/ -- Azul  (B3: AZUL4, NYSE:AZUL) announces today the sale of ten ATR 72-600 aircraft to Nordic Aviation Capital ("NAC") resulting in a total debt reduction of approximately R$ 325 million. The sale agreement with NAC also includes the delivery of three new ATR 72-600 aircraft under operating leases in 2017. "We will continue to deploy ATRs to explore new markets and to fly shorter regional routes, however, as we expand our network over the next few years, it is only natural that we replace smaller aircraft with larger next generation aircraft.
  • Azul Reports September Traffic Mon, 09 Oct 2017 21:30:00 +0000
    SAO PAULO , Oct. 9, 2017 /PRNewswire/ -- Azul S.A., "Azul", (B3: AZUL4, NYSE: AZUL), the largest airline in Brazil by number of destinations and departures, announces today its preliminary traffic ...
  • Azul expands its Recife hub with new domestic and international destinations Thu, 05 Oct 2017 18:00:00 +0000
    SAO PAULO, Oct. 5, 2017 /PRNewswire/ -- Azul S.A. today announced plans to expand Recife, its Northeast hub. Starting in 2018, Recife will be connected to two new international destinations and two new domestic destinations. In addition, Fort Lauderdale in the U.S., which already receives daily Azul flights from Campinas, will also receive flights from Recife twice a week, with Airbus A330 aircraft that seat up to 271 passengers.
  • Azul Announces Order Of Five Airbus A330-900neo Thu, 21 Sep 2017 12:08:00 +0000
    SAO PAULO, Sept. 21, 2017 /PRNewswire/ -- Azul S.A., "Azul", (B3: AZUL4, NYSE: AZUL) today announces an order for five next-generation Airbus A330-900neo widebody aircraft from Avolon, an international aircraft leasing company. With deliveries starting in late 2018, the A330neo will be deployed to further strengthen Azul's international flights to the U.S. and Europe, and to serve select new destinations. Azul will be the only airline in South America and one of the first in the world to operate this type of aircraft, which will come with 298 seats, 27 more than the current A330s in high-density configuration.
  • Azul Announces Closing of its Global Offering by Selling Shareholders Wed, 20 Sep 2017 21:13:00 +0000
    Azul S.A., or Azul, , , announced today the closing of its previously announced follow-on offering by its selling shareholders of 40,630,186 of Azul’s preferred shares in a global offering, consisting of an international offering and a Brazilian offering.
  • Azul Announces Pricing of U.S. $362.3 Million Global Offering by Selling Shareholders Fri, 15 Sep 2017 02:46:00 +0000
    Azul S.A., or Azul, , announced today that it has priced its follow-on offering by its selling shareholders of 40,630,186 of Azul’s preferred shares in a global offering, consisting of an international offering and a Brazilian offering.

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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
AZUL EPS/Sales Growth AZUL vs. Peers

Abeona Therapeutics Inc (ABEO)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

5/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

16%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
71.22
Acc Dist
0.97
Disc
0.00%
Avg Vol
1,142,400
Liquidity
2.16%
Below High
26.37%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A   
EPS Growth
0%
Sls Growth
-33%
Proj Growth
N/A %
Anal. Rank
4.83
Shares
46.8M
Instit
42%
3-Month Trends of Key Indicators:
Looks Like a Winner?
ABEO looks better than most Top Picks Winners* in 5 out of 10 key factors.
Accum/Dist: 0.97 (median winner: 1.53)
Above 40wkMA: 76% (median winner: 35%)
Instit. Ownership: 42% (median winner: 63%)
Liquidity: 2.16% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 71.22 (winner: 75.66)
Sales Growth: -33% (median winner: 28%)
Below 52wk High: 26.37% (winner: 3.30%)
Relative Strength: 99 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Abeona Therapeutics is focused on developing and delivering gene therapy for severe and life-threatening rare diseases.

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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
ABEO EPS/Sales Growth ABEO vs. Peers

Fanhua Inc (FANH)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

7/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

32%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
71.21
Acc Dist
1.80
Disc
0.00%
Avg Vol
255,300
Liquidity
0.48%
Below High
4.39%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
28%
Proj Growth
N/A %
Anal. Rank
0.00
Shares
58.3M
Instit
1%
3-Month Trends of Key Indicators:
Looks Like a Winner?
FANH looks better than most Top Picks Winners* in 7 out of 10 key factors.
Accum/Dist: 1.80 (median winner: 1.53)
Above 40wkMA: 114% (median winner: 35%)
Instit. Ownership: 1% (median winner: 63%)
Liquidity: 0.48% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 71.21 (winner: 75.66)
Sales Growth: 28% (median winner: 28%)
Below 52wk High: 4.39% (winner: 3.30%)
Relative Strength: 99 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Founded in 1998, Fanhua Inc. (formerly known as “CNinsure Inc.”) is a leading independent online-to-offline ("O2O") financial services provider. Through our online platforms and offline sales and service network, we offer a wide variety of property and casualty and life insurance products to individuals and businesses, and provide insurance claims adjusting services, such as damage assessments, surveys, authentications and loss estimations. Fanhua Inc. was listed on Nasdaq on October 31, 2007. In December 7, 2016, Fanhua changed its ticker symbol from “CISG” to “FANH”.

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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
FANH EPS/Sales Growth FANH vs. Peers

Square Inc (SQ)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.8/1.0
Sales
Consistency

Sales Consistency Ranking

0.9/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

7/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

40%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
71.14
Acc Dist
3.73
Disc
753.24%
Avg Vol
11,106,800
Liquidity
3.64%
Below High
1.41%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
44%  50%
EPS Growth
0%
Sls Growth
46%
Proj Growth
25%
Anal. Rank
3.84
Shares
388.6M
Instit
78%
3-Month Trends of Key Indicators:
Looks Like a Winner?
SQ looks better than most Top Picks Winners* in 7 out of 10 key factors.
Accum/Dist: 3.73 (median winner: 1.53)
Above 40wkMA: 93% (median winner: 35%)
Instit. Ownership: 78% (median winner: 63%)
Liquidity: 3.64% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 71.14 (winner: 75.66)
Sales Growth: 46% (median winner: 28%)
Below 52wk High: 1.41% (winner: 3.30%)
Relative Strength: 99 (winner: 96)
Avg Qrtly EPS: 47% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
SQ EPS/Sales Growth SQ vs. Peers

SiteOne Landscape Supply Inc (SITE)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.3/1.0
Sales
Consistency

Sales Consistency Ranking

0.2/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

6/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

20%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
70.93
Acc Dist
1.80
Disc
0.00%
Avg Vol
341,700
Liquidity
0.85%
Below High
1.71%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
-75%  127%
EPS Growth
0%
Sls Growth
18%
Proj Growth
N/A %
Anal. Rank
3.96
Shares
39.8M
Instit
0%
3-Month Trends of Key Indicators:
Looks Like a Winner?
SITE looks better than most Top Picks Winners* in 6 out of 10 key factors.
Accum/Dist: 1.80 (median winner: 1.53)
Above 40wkMA: 36% (median winner: 35%)
Instit. Ownership: 0% (median winner: 63%)
Liquidity: 0.85% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 70.93 (winner: 75.66)
Sales Growth: 18% (median winner: 28%)
Below 52wk High: 1.71% (winner: 3.30%)
Relative Strength: 96 (winner: 96)
Avg Qrtly EPS: 26% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
SITE EPS/Sales Growth SITE vs. Peers

Veritone Inc (VERI)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

6/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

7%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
70.87
Acc Dist
1.03
Disc
0.00%
Avg Vol
1,011,700
Liquidity
4.58%
Below High
69.86%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
3.34
Shares
15.9M
Instit
6%
3-Month Trends of Key Indicators:
Looks Like a Winner?
VERI looks better than most Top Picks Winners* in 6 out of 10 key factors.
Accum/Dist: 1.03 (median winner: 1.53)
Above 40wkMA: 53% (median winner: 35%)
Instit. Ownership: 6% (median winner: 63%)
Liquidity: 4.58% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 70.87 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 69.86% (winner: 3.30%)
Relative Strength: 96 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Veritone combines powerful applications with orchestrated cognitive computing to transform unstructured data, extracting actionable intelligence.

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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
VERI EPS/Sales Growth VERI vs. Peers

Everi Holdings Inc (EVRI)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.8/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

4/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

7%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
70.76
Acc Dist
1.63
Disc
0.00%
Avg Vol
680,300
Liquidity
0.95%
Below High
2.11%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
54%  -81%
EPS Growth
0%
Sls Growth
10%
Proj Growth
N/A %
Anal. Rank
5.00
Shares
67.4M
Instit
84%
3-Month Trends of Key Indicators:
Looks Like a Winner?
EVRI looks better than most Top Picks Winners* in 4 out of 10 key factors.
Accum/Dist: 1.63 (median winner: 1.53)
Above 40wkMA: 29% (median winner: 35%)
Instit. Ownership: 84% (median winner: 63%)
Liquidity: 0.95% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 70.76 (winner: 75.66)
Sales Growth: 10% (median winner: 28%)
Below 52wk High: 2.11% (winner: 3.30%)
Relative Strength: 98 (winner: 96)
Avg Qrtly EPS: -14% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Everi is dedicated to providing video and mechanical reel gaming content and technology solutions, integrated gaming payments solutions and compliance and efficiency software. The Company's Games business provides: (a) comprehensive content, electronic gaming units and systems for Native American and commercial casinos, including the award winning TournEvent® slot tournament solution; and (b) the central determinant system for the video lottery terminals installed at racetracks in the State of New York. The Company's Payments business provides: (a) access to cash at gaming facilities via Autom

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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
EVRI EPS/Sales Growth EVRI vs. Peers

Dell Technologies Inc Class V (DVMT)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.1/1.0
Sales
Consistency

Sales Consistency Ranking

0.8/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

1/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

2%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
70.75
Acc Dist
1.35
Disc
0.00%
Avg Vol
1,175,300
Liquidity
0.15%
Below High
3.61%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
-181%  -1646%
EPS Growth
0%
Sls Growth
21%
Proj Growth
N/A %
Anal. Rank
0.00
Shares
773M
Instit
89%
3-Month Trends of Key Indicators:
Looks Like a Winner?
DVMT looks better than most Top Picks Winners* in 1 out of 10 key factors.
Accum/Dist: 1.35 (median winner: 1.53)
Above 40wkMA: 17% (median winner: 35%)
Instit. Ownership: 89% (median winner: 63%)
Liquidity: 0.15% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 70.75 (winner: 75.66)
Sales Growth: 21% (median winner: 28%)
Below 52wk High: 3.61% (winner: 3.30%)
Relative Strength: 85 (winner: 96)
Avg Qrtly EPS: -914% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr
Daily-6Mo w/2-ATR Stops 3-ATR 4-ATR
Daily-1 Yr (opens in new window)
(Larger Charts. ATR=Average True Range)

Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
DVMT EPS/Sales Growth DVMT vs. Peers

G1 Therapeutics Inc (GTHX)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

4/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

5%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
70.57
Acc Dist
0.59
Disc
0.00%
Avg Vol
118,100
Liquidity
0.47%
Below High
27.38%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
4.69
Shares
28.3M
Instit
43%
3-Month Trends of Key Indicators:
Looks Like a Winner?
GTHX looks better than most Top Picks Winners* in 4 out of 10 key factors.
Accum/Dist: 0.59 (median winner: 1.53)
Above 40wkMA: 57% (median winner: 35%)
Instit. Ownership: 43% (median winner: 63%)
Liquidity: 0.47% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 70.57 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 27.38% (winner: 3.30%)
Relative Strength: 83 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

G1 Therapeutics is a clinical-stage company developing small-molecule therapies to address significant unmet needs in oncology. The company is leveraging its proprietary kinase drug discovery platform to advance a pipeline of first-in-class compounds and best-in-class drug candidates.

  • [$$] Triggering a Debt Bomb Sat, 11 Nov 2017 05:01:00 +0000
    Review | Dates to Watch For | Follow Up | U.S. Economic Calendar | Consensus Estimates | Coming Earnings | Coming U.S. Auctions It’s more than a little curious that conservative politicians, who once espoused conservative principles with respect to the federal debt, have been notably absent from the debate over tax reform. The situation, already dire, has worsened considerably in the roughly two months since President Donald Trump cut a deal with Democratic congressional leaders Nancy Pelosi and Chuck Schumer.
  • G1 Therapeutics Reports Third Quarter 2017 Financial Results and Recent Operational Highlights Wed, 08 Nov 2017 12:30:00 +0000
    Barclay Phillips appointed Chief Financial Officer and SVP, Corporate Development. Management reaffirms expectation of topline data from Phase 2 a trial of trilaciclib in first-line small-cell lung cancer ...
  • G1 Therapeutics Makes Key Executive Appointments Wed, 08 Nov 2017 12:00:00 +0000
    Barclay Phillips appointed Chief Financial Officer and Senior Vice President, Corporate Development. Chandra Lovejoy named Vice President, Global Regulatory Affairs. RESEARCH TRIANGLE PARK, N.C., Nov. ...
  • G1 Therapeutics to Present at Stifel 2017 Healthcare Conference Tue, 07 Nov 2017 13:00:00 +0000
    RESEARCH TRIANGLE PARK, N.C., Nov. 07, 2017-- G1 Therapeutics, Inc., a clinical-stage oncology company, announced today that Chief Executive Officer Mark Velleca, MD, PhD, will present a company overview ...
  • G1 Therapeutics Announces Publication in Cancer Discovery Demonstrating That CDK4/6 Inhibition Enhances the Anti-Tumor T Cell Response Mon, 06 Nov 2017 12:00:00 +0000
    RESEARCH TRIANGLE PARK, N.C., Nov. 06, 2017-- G1 Therapeutics, Inc., a clinical-stage oncology company, announced the publication“ CDK4/6 Inhibition Augments Anti-Tumor Immunity by Enhancing T Cell Activation,” ...
  • G1 Therapeutics Added to Russell 2000®, 3000® and Microcap® Indexes Mon, 18 Sep 2017 11:30:00 +0000
    RESEARCH TRIANGLE PARK, N.C., Sept. 18, 2017-- G1 Therapeutics, Inc., a clinical-stage oncology company, today announced that it has been added to the Russell 2000 ®, Russell 3000 ®, and Russell Microcap ...
  • Retail Investors: Your IPOs Are Here Fri, 09 Jun 2017 14:42:48 +0000
    Imagine a crowded subway station. It’s rush hour and everyone’s got somewhere to be. There’s a huge clamor to get on the next train. When it does eventually arrive, it’s a free-for-all. Elbows are flying. ...
  • IPOs This Week: Software Maker Appian Plus 3 More Hopefuls Sun, 21 May 2017 14:29:11 +0000
    Four IPOs on the calendar ahead of the Memorial Day holiday weekend: two tech firms, one blank-check company, and one cable TV operator.

Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr
Daily-6Mo w/2-ATR Stops 3-ATR 4-ATR
Daily-1 Yr (opens in new window)
(Larger Charts. ATR=Average True Range)

Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
GTHX EPS/Sales Growth GTHX vs. Peers

Match Group Inc (MTCH)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.3/1.0
Sales
Consistency

Sales Consistency Ranking

0.4/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

5/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

9%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
70.39
Acc Dist
1.75
Disc
204.64%
Avg Vol
1,762,400
Liquidity
0.66%
Below High
5.96%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
362%  42%
EPS Growth
0%
Sls Growth
15%
Proj Growth
12.5%
Anal. Rank
4.46
Shares
273M
Instit
91%
3-Month Trends of Key Indicators:
Looks Like a Winner?
MTCH looks better than most Top Picks Winners* in 5 out of 10 key factors.
Accum/Dist: 1.75 (median winner: 1.53)
Above 40wkMA: 51% (median winner: 35%)
Instit. Ownership: 91% (median winner: 63%)
Liquidity: 0.66% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 70.39 (winner: 75.66)
Sales Growth: 15% (median winner: 28%)
Below 52wk High: 5.96% (winner: 3.30%)
Relative Strength: 96 (winner: 96)
Avg Qrtly EPS: 202% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

  • 6 Key Takeaways From Match Group's Earnings Call Wed, 22 Nov 2017 02:01:00 +0000
    With Tinder leading the way, the dating-app specialist is enjoying surging growth.
  • Pairing of Match Group Inc and Bumble Could Have Chemistry Mon, 20 Nov 2017 18:07:33 +0000
    At this point, I think the numbers still make a good fit — and even if there’s no long-term chemistry here, MTCH has what it takes to dominate its field. Bumble shocked a lot of venture capitalists by turning down a $450 million Match Group takeover bid over the summer. Some thought it was arrogance, others pointed at lingering bad vibes from CEO Whitney Wolfe’s time at MTCH property Tinder.
  • Match Group Announces Pricing of Senior Notes Offering Fri, 17 Nov 2017 21:13:00 +0000
    DALLAS, Nov. 17, 2017 /PRNewswire/ -- Match Group, Inc. (MTCH) announced today that it has agreed to sell $450 million aggregate principal amount of 5.000% senior notes due 2027 (the "Notes") in a private offering (the "Offering"). The Offering is expected to close on December 4, 2017, with gross proceeds from the Offering of approximately $445.6 million. Match Group intends to use the proceeds of the Offering, together with cash on hand, to redeem its existing senior notes due 2022, and to pay accrued interest and expenses associated with the redemption.
  • IAC/InterActiveCorp -- Moody's rates IAC/InterActiveCorp's Match Group senior notes Ba3 Fri, 17 Nov 2017 14:29:06 +0000
    Rating Action: Moody's rates IAC/InterActiveCorp's Match Group senior notes Ba3. Global Credit Research- 17 Nov 2017. Approximately $450 million of new debt rated.
  • Match Group Announces Senior Notes Offering Fri, 17 Nov 2017 12:34:00 +0000
    DALLAS, Nov. 17, 2017 /PRNewswire/ -- Match Group (MTCH) announced today that it intends to commence an offering of $450 million aggregate principal amount of senior notes due 2027 (the "Notes") in a private offering (the "Offering").  The interest rate and other terms of the Notes will be determined at the time of sale. Match Group intends to use the proceeds of the Offering, together with cash on hand, to redeem its existing senior notes due 2022, and to pay accrued interest and expenses associated with the redemption. The Offering will be made only to persons reasonably believed to be qualified institutional buyers in accordance with Rule 144A under the Securities Act of 1933, as amended (the "Securities Act"), and to certain non-U.S. persons in accordance with Regulation S under the Securities Act.
  • Tinder and Bumble: Do We Have a Match? Wed, 15 Nov 2017 22:00:00 +0000
    Wall Street is back to wondering about what would happen if Tinder’s parent company, Match Group, were to bring rival app Bumble under its umbrella as well. As recent Forbes story said that Match has been in talks with Bumble about acquiring the company for over $1 billion. Earlier this year, reports indicated that Bumble had turned down a $450 million offer from Tinder.
  • Match Group Announces Executive Management Appointments Wed, 15 Nov 2017 21:30:00 +0000
    DALLAS, Nov. 15, 2017 /PRNewswire/ -- Match Group (MTCH) today announced a series of internal leadership appointments to coincide with Mandy Ginsberg's planned assumption of the Company's CEO role by January 1, 2018. Elie Seidman, currently CEO of OkCupid, will become Tinder's new CEO, reporting into Ms. Ginsberg. Amarnath Thombre, currently Chief Strategy Officer at Match Group, will become CEO of Match Group Americas, where he will oversee Match, Match Affinity Brands, PlentyOfFish, OkCupid and Match's Latin America businesses, reporting into Ms. Ginsberg.
  • 3 Media Stocks That Could Get Bought Out Next Wed, 15 Nov 2017 17:30:54 +0000
    Takeover talk has been in the air recently, as a report surfaced indicating that Walt Disney Co (NYSE:DIS) was considering making a bid for the majority of Twenty-First Century Fox (NASDAQ:FOX, NASDAQ:FOXA). Don’t fall over in amazement just yet, though — Fox News and its affiliates were not expected to be part of the deal. Instead, DIS was focused on the movie studio and entertainment division before the deal died.
  • Katipult Announces November 2017 Listing & Blockchain Integration Wed, 15 Nov 2017 13:00:00 +0000
    Katipult Announces November 2017 Listing & Blockchain Integration
  • Match Group is still in talks to acquire Bumble with a valuation over $1B Tue, 14 Nov 2017 17:55:39 +0000
    In August we reported from our sources that Match Group made an offer to acquire Bumble for $450M. Bumble declined the offer, and at the time a source close to the company suggested to TechCrunch that Bumble was actually valued at $1 billion. Bumble declined to comment.

Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr
Daily-6Mo w/2-ATR Stops 3-ATR 4-ATR
Daily-1 Yr (opens in new window)
(Larger Charts. ATR=Average True Range)

Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
MTCH EPS/Sales Growth MTCH vs. Peers

Athenex Inc (ATNX)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

5/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

17%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
70.34
Acc Dist
2.67
Disc
0.00%
Avg Vol
114,000
Liquidity
0.17%
Below High
8.99%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
3.75
Shares
58M
Instit
3%
3-Month Trends of Key Indicators:
Looks Like a Winner?
ATNX looks better than most Top Picks Winners* in 5 out of 10 key factors.
Accum/Dist: 2.67 (median winner: 1.53)
Above 40wkMA: 94% (median winner: 35%)
Instit. Ownership: 3% (median winner: 63%)
Liquidity: 0.17% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 70.34 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 8.99% (winner: 3.30%)
Relative Strength: 83 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Developing innovative cancer therapies with a focus in USA and China

  • Who Owns Most Of Athenex Inc (ATNX)? Thu, 23 Nov 2017 20:51:06 +0000
    In this article, I will take a quick look at Athenex Inc’s (NASDAQ:ATNX) recent ownership structure – an unconventional investing subject, but an important one. The impact of a company’sRead More...
  • Athenex to Present at 29th Annual Piper Jaffray Healthcare Conference Wed, 22 Nov 2017 13:00:00 +0000
    BUFFALO, N.Y., Nov. 22, 2017-- Athenex, Inc., a global biopharmaceutical company dedicated to the discovery, development and commercialization of novel therapies for the treatment of cancer and related ...
  • Athenex, Inc. – Value Analysis (NASDAQ:ATNX) : November 20, 2017 Mon, 20 Nov 2017 18:53:24 +0000
    Categories: Fundamental Analysis Yahoo FinanceClick here to see latest analysis Capitalcube gives Athenex, Inc. a score of 31. Our analysis is based on comparing Athenex, Inc. with the following peers – Ohr Pharmaceutical, Inc., Omni Bio Pharmaceutical, Inc., OncoMed Pharmaceuticals, Inc. and OrganiGram Holdings Inc (OHRP-US, OMBP-US, OMED-US and OGRMF-US). Investment Outlook Athenex, Inc. has a fundamental score of ... Read more (Read more...)
  • ESMO Asia 2017: Oraxol (oral paclitaxel, Athenex) Can Achieve Similar Exposure to IV Paclitaxel in Cancer Patients Mon, 20 Nov 2017 13:00:00 +0000
    BUFFALO, N.Y., Nov. 20, 2017-- Athenex, Inc., a global biopharmaceutical company dedicated to the discovery, development and commercialization of novel therapies for the treatment of cancer and related ...
  • Athenex, Inc. breached its 50 day moving average in a Bullish Manner : ATNX-US : November 17, 2017 Fri, 17 Nov 2017 12:25:59 +0000
    Categories: ETFs Yahoo FinanceGet full CapitalCube analysis *Disclaimer : This is as of previous day’s closing price. Technical Indicators Below is a quick look at 5 technical indicators for Athenex, Inc.. More studies are available on the Technical Chart. Indicator Signal Closing Price above/below 50 Day Moving Average Bullish Closing Price above/below 200 Day Moving Average Bullish 50 ... Read more (Read more...)
  • Athenex expects to break ground on large pharma factory in Dunkirk in the first quarter of 2018 Thu, 09 Nov 2017 17:40:15 +0000
    Athenex expects to break ground on its major pharmaceutical factory in Dunkirk by April 2018, kickstarting one of the most ambitious manufacturing projects in Western New York history. Company executives provided new details on the project during Thursday's conference call with investors. "We're making good progress with the state of New York on our Dunkirk facility," CEO Dr. Johnson Lau told investors.
  • Athenex reports 3Q loss Thu, 09 Nov 2017 14:12:26 +0000
    The Buffalo, New York-based company said it had a loss of 41 cents per share. Losses, adjusted for non-recurring costs, came to 30 cents per share. The biopharmaceutical company posted revenue of $14 million ...
  • Athenex, Inc. Announces Third Quarter 2017 Results Thu, 09 Nov 2017 12:00:00 +0000
    Encouraging results of 1 st interim analysis of the Oraxol Phase III clinical trial for breast cancer Commencement of the KX-01 ointment Phase III clinical trials for Actinic Keratosis Launched Oxaliplatin ...
  • What Investors Should Know About Athenex Inc’s (ATNX) Financial Strength Wed, 08 Nov 2017 22:59:09 +0000
    Athenex Inc (NASDAQ:ATNX) is a small-cap stock with a market capitalization of USD $927.85M. While investors primarily focus on the growth potential and competitive landscape of the small-cap companies, theyRead More...
  • Athenex, Inc. to Report Third Quarter 2017 Earnings Results on November 9, 2017 Mon, 30 Oct 2017 12:00:00 +0000
    BUFFALO, N.Y., Oct. 30, 2017-- Athenex, Inc., a global biopharmaceutical company dedicated to the discovery, development and commercialization of novel therapies for the treatment of cancer and related ...

Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr
Daily-6Mo w/2-ATR Stops 3-ATR 4-ATR
Daily-1 Yr (opens in new window)
(Larger Charts. ATR=Average True Range)

Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
ATNX EPS/Sales Growth ATNX vs. Peers

Forum Merger Corporation (FMCI)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

5/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

2%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
70.33
Acc Dist
1.46
Disc
0.00%
Avg Vol
7,000
Liquidity
0.00%
Below High
1.33%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
0.00
Shares
224M
Instit
38%
3-Month Trends of Key Indicators:
Looks Like a Winner?
FMCI looks better than most Top Picks Winners* in 5 out of 10 key factors.
Accum/Dist: 1.46 (median winner: 1.53)
Above 40wkMA: 37% (median winner: 35%)
Instit. Ownership: 38% (median winner: 63%)
Liquidity: 0.00% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 70.33 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 1.33% (winner: 3.30%)
Relative Strength: 71 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

A blank check company formed by executives with private equity experience.

Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr
Daily-6Mo w/2-ATR Stops 3-ATR 4-ATR
Daily-1 Yr (opens in new window)
(Larger Charts. ATR=Average True Range)

Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
FMCI EPS/Sales Growth FMCI vs. Peers

Carvana Co Class A (CVNA)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

3/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

8%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
70.26
Acc Dist
0.56
Disc
0.00%
Avg Vol
488,500
Liquidity
0.35%
Below High
34.89%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
4.04
Shares
132.7M
Instit
0%
3-Month Trends of Key Indicators:
Looks Like a Winner?
CVNA looks better than most Top Picks Winners* in 3 out of 10 key factors.
Accum/Dist: 0.56 (median winner: 1.53)
Above 40wkMA: 30% (median winner: 35%)
Instit. Ownership: 0% (median winner: 63%)
Liquidity: 0.35% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 70.26 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 34.89% (winner: 3.30%)
Relative Strength: 82 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Say hello to Carvana - a whole new way to buy a car.

  • Earnings Review and Free Research Report: Penske Automotive Group’s Revenue Grew 7.2%; EPS Advanced 6.8% Mon, 20 Nov 2017 12:00:00 +0000
    Research Desk Line-up: Carvana Post Earnings Coverage LONDON, UK / ACCESSWIRE / November 20, 2017 / Pro-Trader Daily has just published a free post-earnings coverage on Penske Automotive Group, Inc. (NYSE: ...
  • Carvana launches its used vehicle delivery service in its 40th market Wed, 15 Nov 2017 21:05:13 +0000
    Carvana is launching today in its 40th market and second city in California as it expands its free, as-soon-as next-day vehicle delivery across the country. The Tempe-based used car online retailer’s newest launch is in Bakersfield. Carvana first moved into the California market with a launch in Los Angeles in September.
  • Carvana Launches its 40th Market, Expanding California Reach to Bakersfield Wed, 15 Nov 2017 14:00:00 +0000
    Carvana , a leading eCommerce platform for buying used cars, today announced it’s bringing the new way to buy a car to a second California market: Bakersfield. Customers can shop for more than 7,000 vehicles, finance, purchase and even trade in an old car, all from the convenience of their home, in as little as 10 minutes.
  • What Investors Need to Know About Carvana's Third Quarter Fri, 10 Nov 2017 22:22:00 +0000
    Here's a look at the key highlights, important metrics, and the road ahead for the unusual young vehicle retailer.
  • Highlights From Carvana's In-Line Q3 Wed, 08 Nov 2017 17:43:47 +0000
    Carvana Co (NYSE: CVNA ) reported second-quarter earnings Tuesday that showed a slightly better-than-expected loss of 29 cents per share versus expectations of a 30 cent per share loss on on worse-than-expected ...
  • Despite record revenue, Carvana sees losses widen in latest quarter Tue, 07 Nov 2017 23:15:11 +0000
    Carvana Co. reported record revenue — an increase of 128 percent year over year — but also saw its loss widen in its latest quarter. Carvana (CVNA) reported a net loss of $39.8 million, or 29 cents per share, on revenue of $225.4 million for the quarter ended Sept. 30. The Tempe-based online used car seller announced its third quarter financial results today.
  • Ally Increases Financing of Retail Contracts for Carvana to $2 Billion Tue, 07 Nov 2017 21:10:00 +0000
    DETROIT, Nov. 7, 2017 /PRNewswire/ -- Ally Financial today announced an agreement to increase financing commitments for retail contracts from Carvana, a leading eCommerce platform for buying used cars, to up to $2 billion over the next 12 months. Under the agreement, Ally will make the funding available to Carvana for financing and bulk purchases of contracts. "The increase is a testament to the strength of the relationship and shows how well we are working together to provide Carvana customers with an innovative digital financing experience," said Tim Russi, president of auto finance at Ally.
  • Carvana Announces Third Quarter 2017 Financial Results Tue, 07 Nov 2017 21:05:00 +0000
    Carvana Co. , a leading eCommerce platform for buying used cars, today announced financial results for its third quarter ended Sept. 30, 2017. Carvana’s complete third quarter 2017 financial results and management commentary can be found by accessing the Company’s shareholder letter at: https://investors.carvana.com/financial-reports/quarterly-results/2017.
  • Carvana to Attend Upcoming Investor Conferences Fri, 27 Oct 2017 12:15:00 +0000
    Carvana Co. , a leading eCommerce platform for buying used cars, today announced that senior management will address the investment community at the following investor
  • Carvana Deals Las Vegas a New Way to Buy a Car Wed, 25 Oct 2017 13:00:00 +0000
    Today Carvana , a leading eCommerce platform for buying used cars, launched its Las Vegas market, providing residents with free, as-soon-as-next-day vehicle delivery and an easy, intuitive purchase process that can be done completely online in as little as 10 minutes.

Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr
Daily-6Mo w/2-ATR Stops 3-ATR 4-ATR
Daily-1 Yr (opens in new window)
(Larger Charts. ATR=Average True Range)

Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
CVNA EPS/Sales Growth CVNA vs. Peers

Calyxt Inc (CLXT)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

4/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

13%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
70.12
Acc Dist
0.46
Disc
0.00%
Avg Vol
53,300
Liquidity
0.14%
Below High
37.60%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
4.38
Shares
27.7M
Instit
21%
3-Month Trends of Key Indicators:
Looks Like a Winner?
CLXT looks better than most Top Picks Winners* in 4 out of 10 key factors.
Accum/Dist: 0.46 (median winner: 1.53)
Above 40wkMA: 121% (median winner: 35%)
Instit. Ownership: 21% (median winner: 63%)
Liquidity: 0.14% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 70.12 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 37.60% (winner: 3.30%)
Relative Strength: 91 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Calyxt, Inc. is a consumer-centric, food- and agriculture-focused company. By combining its leading gene-editing technology and technical expertise with its innovative commercial strategy, Calyxt is pioneering a paradigm shift to deliver both healthier specialty food ingredients, such as healthier oils and high fiber wheat for consumers as well as agriculturally advantageous traits, such as herbicide tolerance to farmers.

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
CLXT EPS/Sales Growth CLXT vs. Peers

Ingevity Corporation Common Sto (NGVT)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.4/1.0
Sales
Consistency

Sales Consistency Ranking

0.3/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

4/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

4%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
70.11
Acc Dist
2.23
Disc
151.17%
Avg Vol
223,400
Liquidity
0.46%
Below High
1.95%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
565%  33%
EPS Growth
0%
Sls Growth
-5%
Proj Growth
12%
Anal. Rank
4.64
Shares
42.1M
Instit
92%
3-Month Trends of Key Indicators:
Looks Like a Winner?
NGVT looks better than most Top Picks Winners* in 4 out of 10 key factors.
Accum/Dist: 2.23 (median winner: 1.53)
Above 40wkMA: 23% (median winner: 35%)
Instit. Ownership: 92% (median winner: 63%)
Liquidity: 0.46% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 70.11 (winner: 75.66)
Sales Growth: -5% (median winner: 28%)
Below 52wk High: 1.95% (winner: 3.30%)
Relative Strength: 91 (winner: 96)
Avg Qrtly EPS: 299% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Ingevity is a Special Chemicals Manufacturer & Supplier Specializing in Pine Oil Chemicals, Tall Oil Fatty Acids and Activated Carbon Products.

Stock Research
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(Larger Charts. ATR=Average True Range)

Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
NGVT EPS/Sales Growth NGVT vs. Peers

Not Available (BHF)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

3/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

5%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
70.07
Acc Dist
1.02
Disc
199.25%
Avg Vol
801,300
Liquidity
0.66%
Below High
10.01%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
2.73
Shares
120M
Instit
76%
3-Month Trends of Key Indicators:
Looks Like a Winner?
BHF looks better than most Top Picks Winners* in 3 out of 10 key factors.
Accum/Dist: 1.02 (median winner: 1.53)
Above 40wkMA: 162% (median winner: 35%)
Instit. Ownership: 76% (median winner: 63%)
Liquidity: 0.66% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 70.07 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 10.01% (winner: 3.30%)
Relative Strength: 73 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Choose your path to financial security confidently. Invest in annuities and life insurance — our retirement income and protection products.

Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
BHF EPS/Sales Growth BHF vs. Peers

ZTO Express (Cayman) Inc Ameri (ZTO)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

5/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

9%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
69.91
Acc Dist
1.64
Disc
0.00%
Avg Vol
2,490,400
Liquidity
0.43%
Below High
8.90%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
50%
Proj Growth
N/A %
Anal. Rank
4.79
Shares
525M
Instit
24%
3-Month Trends of Key Indicators:
Looks Like a Winner?
ZTO looks better than most Top Picks Winners* in 5 out of 10 key factors.
Accum/Dist: 1.64 (median winner: 1.53)
Above 40wkMA: 15% (median winner: 35%)
Instit. Ownership: 24% (median winner: 63%)
Liquidity: 0.43% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 69.91 (winner: 75.66)
Sales Growth: 50% (median winner: 28%)
Below 52wk High: 8.90% (winner: 3.30%)
Relative Strength: 82 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

China Express is a collection of express, logistics and other businesses.

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
ZTO EPS/Sales Growth ZTO vs. Peers

IRHYTHM TECHNOLOGIES INC (IRTC)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

1.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

4/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

23%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
69.60
Acc Dist
1.25
Disc
0.00%
Avg Vol
222,400
Liquidity
1.09%
Below High
0.29%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
90%  N/A%
EPS Growth
0%
Sls Growth
72%
Proj Growth
N/A %
Anal. Rank
5.00
Shares
23M
Instit
98%
3-Month Trends of Key Indicators:
Looks Like a Winner?
IRTC looks better than most Top Picks Winners* in 4 out of 10 key factors.
Accum/Dist: 1.25 (median winner: 1.53)
Above 40wkMA: 35% (median winner: 35%)
Instit. Ownership: 98% (median winner: 63%)
Liquidity: 1.09% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 69.60 (winner: 75.66)
Sales Growth: 72% (median winner: 28%)
Below 52wk High: 0.29% (winner: 3.30%)
Relative Strength: 95 (winner: 96)
Avg Qrtly EPS: 90% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

iRhythm is a digital healthcare company redefining the way cardiac arrhythmias are clinically diagnosed by combining our wearable biosensing technology with cloud-based data analytics and machine- learning capabilities.

  • iRhythm Technologies, Inc. – Value Analysis (NASDAQ:IRTC) : November 10, 2017 Fri, 10 Nov 2017 18:15:50 +0000
    Categories: Fundamental Analysis Yahoo FinanceClick here to see latest analysis Capitalcube gives iRhythm Technologies, Inc. a score of 56. Our analysis is based on comparing iRhythm Technologies, Inc. with the following peers – Annidis Corporation, Pivot Pharmaceuticals Inc., Positron Corporation and ResMed Inc. (RHA-CA, PVOTF-US, POSC-US and RMD-US). Investment Outlook iRhythm Technologies, Inc. has a fundamental score of 56 ... Read more (Read more...)
  • iRhythm Technologies, Inc. breached its 50 day moving average in a Bearish Manner : IRTC-US : November 9, 2017 Thu, 09 Nov 2017 12:54:34 +0000
    Categories: ETFs Yahoo FinanceGet full CapitalCube analysis *Disclaimer : This is as of previous day’s closing price. Technical Indicators Below is a quick look at 5 technical indicators for iRhythm Technologies, Inc.. More studies are available on the Technical Chart. Indicator Signal Closing Price above/below 50 Day Moving Average Bearish Closing Price above/below 200 Day Moving Average Bullish ... Read more (Read more...)
  • ETFs with exposure to iRhythm Technologies, Inc. : November 6, 2017 Mon, 06 Nov 2017 16:50:32 +0000
    Categories: ETFs Yahoo FinanceClick here to see latest analysis ETFs with exposure to iRhythm Technologies, Inc. Here are 5 ETFs with the largest exposure to IRTC-US. Comparing the performance and risk of iRhythm Technologies, Inc. with the ETFs that have exposure to it gives us some ETF choices that could give us similar returns with lower volatility. Ticker ... Read more (Read more...)
  • iRhythm Technologies Announces Third Quarter 2017 Financial Results and Raises Guidance for Full Year 2017 Wed, 01 Nov 2017 20:03:00 +0000
    SAN FRANCISCO, Nov. 01, 2017-- iRhythm Technologies, Inc., a leading digital health care solutions company focused on the advancement of cardiac care, today reported financial results for the three and ...
  • iRhythm Technologies, Inc. to Host Earnings Call Wed, 01 Nov 2017 16:10:00 +0000
    NEW YORK, NY / ACCESSWIRE / November 1, 2017 / iRhythm Technologies, Inc. (NASDAQ: IRTC ) will be discussing their earnings results in their Q3 Earnings Call to be held on November 1, 2017 at 4:30 PM Eastern ...
  • iRhythm Technologies to Report Third Quarter 2017 Financial Results on November 1, 2017 Wed, 18 Oct 2017 20:30:00 +0000
    SAN FRANCISCO, Oct. 18, 2017-- iRhythm Technologies, Inc., a leading digital healthcare solutions company focused on the advancement of cardiac care, today announced that it will release financial results ...
  • iRhythm Technologies, Inc. :IRTC-US: Earnings Analysis: Q2, 2017 By the Numbers : October 5, 2017 Thu, 05 Oct 2017 13:33:39 +0000
    Categories: Yahoo FinanceGet free summary analysis iRhythm Technologies, Inc. reports financial results for the quarter ended June 30, 2017. We analyze the earnings along side the following peers of iRhythm Technologies, Inc. – Pivot Pharmaceuticals Inc. (PVOTF-US) that have also reported for this period. Highlights Summary numbers: Revenues of USD 23.85 million, Net Earnings of USD -6.44 ... Read more (Read more...)
  • iRhythm Technologies to Present at the Morgan Stanley 15th Annual Global Healthcare Conference Tue, 29 Aug 2017 20:05:00 +0000
    SAN FRANCISCO, Aug. 29, 2017-- iRhythm Technologies, Inc., a leading digital health care solutions company focused on the advancement of cardiac care, today announced the company will be participating ...
  • Investor Network: iRhythm Technologies, Inc. to Host Earnings Call Wed, 02 Aug 2017 15:00:00 +0000
    NEW YORK, NY / ACCESSWIRE / August 2, 2017 / iRhythm Technologies, Inc. (NASDAQ: IRTC ) will be discussing their earnings results in their Q2 Earnings Call to be held on Wednesday, August 2, 2017 at 4:30 ...
  • ETFs with exposure to iRhythm Technologies, Inc. : July 10, 2017 Mon, 10 Jul 2017 18:42:46 +0000
    Categories: ETFs Yahoo FinanceClick here to see latest analysis ETFs with exposure to iRhythm Technologies, Inc. Here are 5 ETFs with the largest exposure to IRTC-US. Comparing the performance and risk of iRhythm Technologies, Inc. with the ETFs that have exposure to it gives us some ETF choices that could give us similar returns with lower volatility. Ticker ... Read more (Read more...)

Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr
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(Larger Charts. ATR=Average True Range)

Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
IRTC EPS/Sales Growth IRTC vs. Peers

Kirkland Lake Gold Ltd (KL)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

5/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

3%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
69.59
Acc Dist
1.10
Disc
0.00%
Avg Vol
611,300
Liquidity
0.31%
Below High
8.10%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
3.34
Shares
208M
Instit
42%
3-Month Trends of Key Indicators:
Looks Like a Winner?
KL looks better than most Top Picks Winners* in 5 out of 10 key factors.
Accum/Dist: 1.10 (median winner: 1.53)
Above 40wkMA: 40% (median winner: 35%)
Instit. Ownership: 42% (median winner: 63%)
Liquidity: 0.31% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 69.59 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 8.10% (winner: 3.30%)
Relative Strength: 96 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

We are a mid-tier gold producer targeting ~525,000 ounces of gold in Tier 1 mining jurisdictions of Canada and Australia. Learn about Kirkland Lake Go

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
KL EPS/Sales Growth KL vs. Peers

ObsEva SA (OBSV)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

3/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

8%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
69.54
Acc Dist
1.07
Disc
0.00%
Avg Vol
24,100
Liquidity
0.06%
Below High
31.99%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
-30%
Proj Growth
N/A %
Anal. Rank
4.69
Shares
37.1M
Instit
45%
3-Month Trends of Key Indicators:
Looks Like a Winner?
OBSV looks better than most Top Picks Winners* in 3 out of 10 key factors.
Accum/Dist: 1.07 (median winner: 1.53)
Above 40wkMA: 13% (median winner: 35%)
Instit. Ownership: 45% (median winner: 63%)
Liquidity: 0.06% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 69.54 (winner: 75.66)
Sales Growth: -30% (median winner: 28%)
Below 52wk High: 31.99% (winner: 3.30%)
Relative Strength: 84 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Founded in Switzerland in November 2012, ObsEva is a clinical-stage biopharmaceutical company focused on the development and commercialization of novel therapeutics for serious conditions that compromise a woman’s reproductive health and pregnancy.

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
OBSV EPS/Sales Growth OBSV vs. Peers

Plymouth Industrial REIT Inc (PLYM)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

4/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

2%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
69.51
Acc Dist
1.15
Disc
0.00%
Avg Vol
21,200
Liquidity
0.48%
Below High
2.31%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A   
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
5.00
Shares
3.8M
Instit
1%
3-Month Trends of Key Indicators:
Looks Like a Winner?
PLYM looks better than most Top Picks Winners* in 4 out of 10 key factors.
Accum/Dist: 1.15 (median winner: 1.53)
Above 40wkMA: 70% (median winner: 35%)
Instit. Ownership: 1% (median winner: 63%)
Liquidity: 0.48% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 69.51 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 2.31% (winner: 3.30%)
Relative Strength: 72 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Plymouth is a full service real estate investment company structured as a vertically integrated, self-administered and self-managed real estate investment trust focused on the acquisition, ownership and management of single and multi-tenant industrial properties, including distribution centers, warehouses and light industrial properties, primarily located in secondary and select primary markets across the United States. The Company seeks to acquire properties that provide current operating income with the opportunity to enhance shareholder value through property re-positioning, capital improve

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
PLYM EPS/Sales Growth PLYM vs. Peers

Cision Ltd Ordinary Shares (CISN)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

3/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

5%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
69.47
Acc Dist
0.54
Disc
0.00%
Avg Vol
187,300
Liquidity
0.12%
Below High
14.33%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
5.00
Shares
122.6M
Instit
25%
3-Month Trends of Key Indicators:
Looks Like a Winner?
CISN looks better than most Top Picks Winners* in 3 out of 10 key factors.
Accum/Dist: 0.54 (median winner: 1.53)
Above 40wkMA: 4% (median winner: 35%)
Instit. Ownership: 25% (median winner: 63%)
Liquidity: 0.12% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 69.47 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 14.33% (winner: 3.30%)
Relative Strength: 76 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Cision is a leader in the $3 billion communications intelligence software and services market. Much like other SaaS solutions transformed finance, HR, sales, & marketing, Cision is a go-to global SaaS platform - Cision Communications Cloud ™ - for communications professionals and is transforming the corporate PR function with a comprehensive end-to-end product suite including distribution, media monitoring, media database and media analysis.

  • New Survey Highlights Inability to Measure Comms Impact on Business Objectives Tue, 14 Nov 2017 11:50:00 +0000
    CHICAGO, Nov. 14, 2017 /PRNewswire/ -- Cision (NYSE: CISN) today released a new study, in partnership with PRWeek, that examines the biggest challenges facing comms professionals today, including the inability to measure the impact of comms programs and PR coverage on business objectives.
  • Edited Transcript of CISN.N earnings conference call or presentation 8-Nov-17 10:00pm GMT Thu, 09 Nov 2017 17:06:21 +0000
    Q3 2017 Cision Ltd Earnings Call
  • Cision Reports Third Quarter 2017 Results; Updates Full Year 2017 Outlook Wed, 08 Nov 2017 21:10:00 +0000
    CHICAGO , Nov. 8, 2017 /PRNewswire/ -- Cision Ltd. (NYSE: CISN), a leading global provider of software and services to public relations and marketing communications professionals, today reported results ...
  • Cision Ltd. breached its 50 day moving average in a Bearish Manner : CISN-US : November 8, 2017 Wed, 08 Nov 2017 16:06:42 +0000
    Categories: ETFs Yahoo FinanceGet full CapitalCube analysis *Disclaimer : This is as of previous day’s closing price. Technical Indicators Below is a quick look at 5 technical indicators for Cision Ltd.. More studies are available on the Technical Chart. Indicator Signal Closing Price above/below 50 Day Moving Average Bearish Closing Price above/below 200 Day Moving Average Bullish 50 ... Read more (Read more...)
  • /C O R R E C T I O N -- Cision/ Wed, 08 Nov 2017 00:25:00 +0000
    In the news release, Cision® Empowers Investment Relations Officers to Drive Business Goals with New Offering, issued 07-Nov-2017 by Cision over PR Newswire, we are advised by the company that all mentions ...
  • Cision Ltd. – Value Analysis (NYSE:CISN) : November 7, 2017 Tue, 07 Nov 2017 16:06:26 +0000
    Categories: Fundamental Analysis Yahoo FinanceClick here to see latest analysis Capitalcube gives Cision Ltd. a score of 50. Our analysis is based on comparing Cision Ltd. with the following peers – OrangeHook, Inc., Oracle Corporation, 01 Communique Laboratory Inc. and OneSoft Solutions Inc. (ORHK-US, ORCL-US, ONE-CA and OSS-CA). Investment Outlook Cision Ltd. has a fundamental score of 50 and ... Read more (Read more...)
  • Cision® Enables Brands to Demonstrate PR and Earned Media's Impact on Revenue for the First Time Ever Tue, 07 Nov 2017 14:00:00 +0000
    CHICAGO, Nov. 7, 2017 /PRNewswire/ -- Cision (CISN) today announced that it is making it possible for brands to measure the impact of earned media and marketing communications programs, including PR, for the first time ever. With the launch of Cision Impact, a new data-driven solution that enables brands to attribute business value for earned media campaigns, Cision gives marketing the ability to take a holistic and data-driven approach to media investment by applying the same technologies to earned media programs as owned and paid initiatives. Cision Impact builds on the vision of the Cision Communications Cloud®, an integrated platform that provides an effective way to identify key influencers, compose and distribute content and then measure its effectiveness.
  • Cision To Hold Earnings Conference Call on November 8, 2017 with Release of Quarterly Financial Results for the Third Quarter of Fiscal 2017 Thu, 26 Oct 2017 12:00:00 +0000
    CHICAGO , Oct. 26, 2017 /PRNewswire/ -- Cision Ltd. (NYSE: CISN), a leading global provider of software and services to public relations and marketing communications professionals, will release its quarterly ...
  • Cision's New Data-Driven Enhancements Help Comms Professionals Work Smarter, Not Harder Wed, 25 Oct 2017 13:18:00 +0000
    CHICAGO, Oct. 25, 2017 /PRNewswire/ -- To better connect communications professionals with influencers and customers on one unified platform, Cision (CISN) today announced new data-driven enhancements to Cision® Communications Cloud®. The latest enhancements enable communicators to work more efficiently by offering streamlined media monitoring, robust analytics and integrated comms workflow, all from within a single platform.
  • Fake News Creates a Serious Problem for Canadian Journalists, New Study Finds Thu, 05 Oct 2017 14:00:00 +0000
    Fake News Creates a Serious Problem for Canadian Journalists, New Study Finds

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
CISN EPS/Sales Growth CISN vs. Peers

Bright Scholar Education Holdin (BEDU)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

4/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

10%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
69.11
Acc Dist
1.19
Disc
0.00%
Avg Vol
422,900
Liquidity
0.37%
Below High
30.20%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
5.00
Shares
115M
Instit
11%
3-Month Trends of Key Indicators:
Looks Like a Winner?
BEDU looks better than most Top Picks Winners* in 4 out of 10 key factors.
Accum/Dist: 1.19 (median winner: 1.53)
Above 40wkMA: 59% (median winner: 35%)
Instit. Ownership: 11% (median winner: 63%)
Liquidity: 0.37% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 69.11 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 30.20% (winner: 3.30%)
Relative Strength: 91 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Bright Scholar Education Group (BSEG) is one of the largest education groups in China. In 1994, the first Country Garden School (CGS) was established in Shunde, Guangdong. There are 6 international schools, 11 bilingual schools, and 34 kindergartens in 7 provinces throughout China. BSEG also operates 16 Elan Learning Centers in Beijing, Shanghai, Shenzhen, and Foshan. Bright Scholar covers a diverse portfolio of business areas including K-12 international and bilingual education, training education and education technology. Currently, Bright Scholar employs over 6,000 domestic and internationa

  • Stay away from red-hot Chinese IPO market Sat, 18 Nov 2017 01:57:00 +0000
    Jim Cramer examined the recent spate of Chinese companies coming public on U.S. exchanges and explained why they're not worth the investment.
  • Cramer says homegamers should stay away from the red-hot ... Sat, 18 Nov 2017 00:02:00 +0000
    Jim Cramer examined the recent spate of Chinese companies coming public on U.S. exchanges and explained why they're not worth the investment.
  • [$$] Triggering a Debt Bomb Sat, 11 Nov 2017 05:01:00 +0000
    Review | Dates to Watch For | Follow Up | U.S. Economic Calendar | Consensus Estimates | Coming Earnings | Coming U.S. Auctions It’s more than a little curious that conservative politicians, who once espoused conservative principles with respect to the federal debt, have been notably absent from the debate over tax reform. The situation, already dire, has worsened considerably in the roughly two months since President Donald Trump cut a deal with Democratic congressional leaders Nancy Pelosi and Chuck Schumer.
  • Bright Scholar Announces Unaudited Financial Results for Fourth Fiscal Quarter and Fiscal Year Ended August 31, 2017 Wed, 08 Nov 2017 22:00:00 +0000
    FOSHAN, China , Nov. 8, 2017 /PRNewswire/ -- Bright Scholar Education Holdings Limited ("Bright Scholar," the "Company," "we" or "our") (NYSE: BEDU), the largest ...
  • Bright Scholar to Attend Macquarie's Internet, Media and Technology Conference - Tomorrow's World in Beijing Mon, 23 Oct 2017 08:00:00 +0000
    FOSHAN, China, Oct. 23, 2017 /PRNewswire/ -- Bright Scholar Education Holdings Limited ("Bright Scholar," the "Company," "we" or "our") (BEDU), the largest operator of international and bilingual K-12 schools in China*, today announced that it is scheduled to attend Macquarie's Internet, Media and Technology Conference - Tomorrow's World on November 20 to November 22, 2017 at the Kerry Hotel in Beijing. Ms. Dora Li, Chief Financial Officer of Bright Scholar, will attend the conference and meet investors in the form of one-on-one and group meetings. For further information, please visit the investor relations page of the Company's website at http://ir.brightscholar.com.
  • Bright Scholar to Attend Morgan Stanley's Sixteenth Annual Asia Pacific Summit in Singapore Wed, 18 Oct 2017 08:00:00 +0000
    FOSHAN, China, Oct. 18, 2017 /PRNewswire/ -- Bright Scholar Education Holdings Limited ("Bright Scholar," the "Company," "we" or "our") (BEDU), the largest operator of international and bilingual K-12 schools in China*, today announced that it is scheduled to attend Morgan Stanley's Sixteenth Annual Asia Pacific Summit in Singapore on November 15 to November 16, 2017 at the Mandarin Oriental in Singapore. Ms. Dora Li, Chief Financial Officer of Bright Scholar, will attend the conference and meet investors in the form of one-on-one and group meetings. For further information, please visit the investor relations page of the Company's website at http://ir.brightscholar.com.
  • Bright Scholar to Attend J.P. Morgan's 5th Global TMT Conference in Hong Kong Mon, 16 Oct 2017 08:00:00 +0000
    FOSHAN, China, Oct. 16, 2017 /PRNewswire/ -- Bright Scholar Education Holdings Limited ("Bright Scholar," the "Company," "we" or "our") (BEDU), the largest operator of international and bilingual K-12 schools in China*, today announced that it is scheduled to attend J.P. Morgan's 5th Global TMT Conference on November 13 and 14, 2017 at the Conrad Hotel in Hong Kong. Ms. Dora Li, Chief Financial Officer of Bright Scholar, will attend the conference and meet investors in the form of one-on-one and group meetings. For further information, please visit the investor relations page of the Company's website at http://ir.brightscholar.com.
  • Bright Scholar Announces Unaudited Financial Results for Third Fiscal Quarter Ended May 31, 2017 Wed, 26 Jul 2017 21:00:00 +0000
    FOSHAN, China , July 26, 2017 /PRNewswire/ -- Bright Scholar Education Holdings Limited ("Bright Scholar," the "Company," "we" or "our") (NYSE: BEDU), the largest ...
  • Bright Scholar Schedules Unaudited Third Quarter Fiscal Year 2017 Earnings Release on July 26, 2017 Wed, 12 Jul 2017 10:00:00 +0000
    FOSHAN, China , July 12, 2017 /PRNewswire/ -- Bright Scholar Education Holdings Limited ("Bright Scholar" or the "Company") (NYSE: BEDU), the largest operator of international and bilingual ...
  • Bright Scholar Marketing Event & Business Updates Sat, 10 Jun 2017 04:00:00 +0000
    FOSHAN, China, June 10, 2017 /PRNewswire/ -- Bright Scholar Education Holdings Limited (BEDU) ("Bright Scholar" or the "Company"), the largest operator of international and bilingual K-12 schools in China*, today provided an update on the 2017 international program graduates university enrollments at the Company's marketing event. The Company currently operates 51 schools, comprising six international schools, 11 bilingual schools and 34 kindergartens, and has 14 new schools in the pipeline for launch.  Among the new schools, there are two schools and two kindergartens not within Country Garden's properties and have been scheduled to launch by Septemb

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
BEDU EPS/Sales Growth BEDU vs. Peers

Kayne Anderson Acquisition Corp (KAAC)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

5/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

-100%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
69.02
Acc Dist
1.22
Disc
0.00%
Avg Vol
76,800
Liquidity
0.23%
Below High
1.02%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
0.00
Shares
47.2M
Instit
53%
3-Month Trends of Key Indicators:
Looks Like a Winner?
KAAC looks better than most Top Picks Winners* in 5 out of 10 key factors.
Accum/Dist: 1.22 (median winner: 1.53)
Above 40wkMA: 37% (median winner: 35%)
Instit. Ownership: 53% (median winner: 63%)
Liquidity: 0.23% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 69.02 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 1.02% (winner: 3.30%)
Relative Strength: 71 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Kayne Anderson Acquisition Corp. was formed to effect a merger, capital stock exchange, asset acquisition, stock purchase. Kayne Anderson spac - KAAC

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
KAAC EPS/Sales Growth KAAC vs. Peers

JBG SMITH Properties (JBGS)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

3/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

4%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
68.90
Acc Dist
0.95
Disc
0.00%
Avg Vol
715,900
Liquidity
0.51%
Below High
11.31%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
0.00
Shares
118M
Instit
78%
3-Month Trends of Key Indicators:
Looks Like a Winner?
JBGS looks better than most Top Picks Winners* in 3 out of 10 key factors.
Accum/Dist: 0.95 (median winner: 1.53)
Above 40wkMA: 101% (median winner: 35%)
Instit. Ownership: 78% (median winner: 63%)
Liquidity: 0.51% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 68.90 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 11.31% (winner: 3.30%)
Relative Strength: 71 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

JBG SMITH (NYSE: JBGS) is an S&P 400 company that owns, operates, invests in and develops assets concentrated in leading urban infill submarkets in and around Washington, DC. Our mixed-use operating portfolio comprises approximately 20 million square feet of high-quality office, multifamily and retail assets, 98% of which are Metro-served. Our emphasis on placemaking drives synergies across the portfolio and creates amenity-rich, walkable neighborhoods. Our future development pipeline includes over 18 million square feet of potential development density.

  • JBG SMITH Announces Third Quarter 2017 Results Mon, 13 Nov 2017 22:37:00 +0000
    JBG SMITH , a leading owner and developer of high-quality, mixed-use properties in the Washington, DC market, today filed its Form 10-Q and reported results for the quarter ended September 30, 2017.
  • JBG SMITH Declares a Quarterly Common Dividend of $0.225 Per Share Thu, 09 Nov 2017 21:30:00 +0000
    JBG SMITH , a leading owner and developer of high-quality, mixed-use properties in the Washington, DC market, today announced that its Board of Trustees has declared a quarterly dividend of $0.225 per common share, an indicated annual dividend of $0.90 per common share.
  • JBG SMITH Properties breached its 50 day moving average in a Bullish Manner : JBGS-US : November 9, 2017 Thu, 09 Nov 2017 12:16:05 +0000
    Categories: ETFs Yahoo FinanceGet full CapitalCube analysis *Disclaimer : This is as of previous day’s closing price. Technical Indicators Below is a quick look at 5 technical indicators for JBG SMITH Properties. More studies are available on the Technical Chart. Indicator Signal Closing Price above/below 50 Day Moving Average Bullish Closing Price above/below 200 Day Moving Average Bullish ... Read more (Read more...)
  • The D.C. area is getting another food hall, this one in Rosslyn Mon, 30 Oct 2017 20:45:47 +0000
    The newest food offering in Arlington’s Rosslyn neighborhood will be a food hall — a multifaceted eatery at 1801 N. Lynn St.  The eatery, which will be located in a second-floor retail space above McDonald’s ...
  • 1776, Benjamin's Desk seal merger. Here are all the details. Thu, 19 Oct 2017 00:20:05 +0000
    The merger of D.C.-based incubator 1776 and Philadelphia-based co-working company Benjamin’s Desk is a done deal, marking a new chapter for the highly celebrated yet financially struggling 1776. The combined company will be known as 1776, the companies announced in a news release Monday morning, as I reported in September , citing sources. 1776 co-founder Evan Burfield will be executive chairman, the release said, while Benjamin’s Desk co-founders Anthony Maher and Jennifer Maher will be co-CEOs in charge of day-to-day operations.
  • JBG SMITH Announces Third Quarter 2017 Earnings Release Date Mon, 16 Oct 2017 20:35:00 +0000
    JBG SMITH , a leading owner and developer of high-quality, mixed-use properties in the Washington, DC market, announced today that it will report its results for the third quarter of 2017 on November 13, 2017, after the market closes.
  • Is It Time To Sell JBG Smith Properties (JBGS)? Fri, 29 Sep 2017 18:42:09 +0000
    JBG Smith Properties (NYSE:JBGS) is trading with a trailing P/E of 84.5x, which is higher than the industry average of 32.6x. Although some investors may jump to the conclusion thatRead More...
  • JBG SMITH Properties breached its 50 day moving average in a Bullish Manner : JBGS-US : September 28, 2017 Thu, 28 Sep 2017 12:13:17 +0000
    Categories: ETFs Yahoo FinanceGet full CapitalCube analysis *Disclaimer : This is as of previous day’s closing price. Technical Indicators Below is a quick look at 5 technical indicators for JBG SMITH Properties. More studies are available on the Technical Chart. Indicator Signal Closing Price above/below 50 Day Moving Average Bullish Closing Price above/below 200 Day Moving Average Bullish ... Read more (Read more...)
  • JBG SMITH Announces 2017 Multifamily Executive Award Wins For The Bartlett And Fort Totten Square Tue, 19 Sep 2017 12:55:00 +0000
    Luxury Pentagon City residences and modern Washington D.C. community win top honors CHEVY CHASE, Md. , Sept. 19, 2017 /PRNewswire/ -- JBG SMITH Properties (NYSE: JBGS), a leading owner of high-quality, ...
  • Vornado Realty Has An Intriguing Pipeline, But Where Are The Catalysts? Thu, 31 Aug 2017 12:43:43 +0000
    Vornado Realty Trust (NYSE: VNO ), a real estate investment trust that operates in New York, lost a bullish rating from Wall Street this week. Stifel's John Guinee downgrades Vornado's stock rating from ...

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
JBGS EPS/Sales Growth JBGS vs. Peers

NexPoint Residential Trust Inc (NXRT)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.4/1.0
Sales
Consistency

Sales Consistency Ranking

0.8/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

5/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

4%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
68.81
Acc Dist
1.25
Disc
395.60%
Avg Vol
72,600
Liquidity
0.39%
Below High
0.82%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
641%  -49%
EPS Growth
0%
Sls Growth
75%
Proj Growth
5%
Anal. Rank
4.59
Shares
21.1M
Instit
57%
3-Month Trends of Key Indicators:
Looks Like a Winner?
NXRT looks better than most Top Picks Winners* in 5 out of 10 key factors.
Accum/Dist: 1.25 (median winner: 1.53)
Above 40wkMA: 19% (median winner: 35%)
Instit. Ownership: 57% (median winner: 63%)
Liquidity: 0.39% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 68.81 (winner: 75.66)
Sales Growth: 75% (median winner: 28%)
Below 52wk High: 0.82% (winner: 3.30%)
Relative Strength: 88 (winner: 96)
Avg Qrtly EPS: 296% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
NXRT EPS/Sales Growth NXRT vs. Peers

Boston Omaha Corporation (BOMN)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

5/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

18%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
68.73
Acc Dist
1.94
Disc
0.00%
Avg Vol
25,300
Liquidity
0.20%
Below High
3.11%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A   
EPS Growth
0%
Sls Growth
386%
Proj Growth
N/A %
Anal. Rank
0.00
Shares
14.4M
Instit
66%
3-Month Trends of Key Indicators:
Looks Like a Winner?
BOMN looks better than most Top Picks Winners* in 5 out of 10 key factors.
Accum/Dist: 1.94 (median winner: 1.53)
Above 40wkMA: 131% (median winner: 35%)
Instit. Ownership: 66% (median winner: 63%)
Liquidity: 0.20% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 68.73 (winner: 75.66)
Sales Growth: 386% (median winner: 28%)
Below 52wk High: 3.11% (winner: 3.30%)
Relative Strength: 93 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Boston Omaha Corporation is a public company with businesses engaged in several sectors, including advertising, insurance, and real estate. The company's principal objective is to grow intrinsic value per share at an attractive rate, while seeking to maintain a strong financial position.

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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
BOMN EPS/Sales Growth BOMN vs. Peers

TCG BDC Inc (CGBD)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.2/1.0
Sales
Consistency

Sales Consistency Ranking

1.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

6/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

2%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
68.17
Acc Dist
0.93
Disc
444.00%
Avg Vol
74,500
Liquidity
0.08%
Below High
2.16%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
59%
Proj Growth
N/A %
Anal. Rank
4.69
Shares
62.2M
Instit
9%
3-Month Trends of Key Indicators:
Looks Like a Winner?
CGBD looks better than most Top Picks Winners* in 6 out of 10 key factors.
Accum/Dist: 0.93 (median winner: 1.53)
Above 40wkMA: 77% (median winner: 35%)
Instit. Ownership: 9% (median winner: 63%)
Liquidity: 0.08% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 68.17 (winner: 75.66)
Sales Growth: 59% (median winner: 28%)
Below 52wk High: 2.16% (winner: 3.30%)
Relative Strength: 72 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

TCG BDC, Inc. (NASDAQ: CGBD) is an externally managed specialty finance company focused on providing flexible financing solutions to middle market companies primarily located in the United States. We focus on companies backed by private equity sponsors across a variety of industries that exhibit defensive niche strategies and have sustainable leading market positions.

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
CGBD EPS/Sales Growth CGBD vs. Peers

Cantel Medical Corp (CMD)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.9/1.0
Sales
Consistency

Sales Consistency Ranking

1.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

2/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

4%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
68.16
Acc Dist
1.48
Disc
0.00%
Avg Vol
164,400
Liquidity
0.30%
Below High
0.08%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
5%  24%
EPS Growth
23%
Sls Growth
16%
Proj Growth
N/A %
Anal. Rank
3.13
Shares
41.9M
Instit
87%
3-Month Trends of Key Indicators:
Looks Like a Winner?
CMD looks better than most Top Picks Winners* in 2 out of 10 key factors.
Accum/Dist: 1.48 (median winner: 1.53)
Above 40wkMA: 29% (median winner: 35%)
Instit. Ownership: 87% (median winner: 63%)
Liquidity: 0.30% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 68.16 (winner: 75.66)
Sales Growth: 16% (median winner: 28%)
Below 52wk High: 0.08% (winner: 3.30%)
Relative Strength: 90 (winner: 96)
Avg Qrtly EPS: 14% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Cantel Medical is a global company dedicated to delivering innovative infection prevention products and services for patients, caregivers, and other healthcare providers, which improve outcomes and help save lives. Through an expansive portfolio of endoscopy, water purification and filtration, and healthcare disposables, Cantel Medical provides high-quality infection prevention solutions and unsurpassed service, touching millions of patients each year around the world.

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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
CMD EPS/Sales Growth CMD vs. Peers

Pulse Biosciences Inc (PLSE)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

4/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

4%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
68.14
Acc Dist
2.02
Disc
0.00%
Avg Vol
212,100
Liquidity
1.07%
Below High
35.16%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A   
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
0.00
Shares
16.3M
Instit
9%
3-Month Trends of Key Indicators:
Looks Like a Winner?
PLSE looks better than most Top Picks Winners* in 4 out of 10 key factors.
Accum/Dist: 2.02 (median winner: 1.53)
Above 40wkMA: 5% (median winner: 35%)
Instit. Ownership: 9% (median winner: 63%)
Liquidity: 1.07% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 68.14 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 35.16% (winner: 3.30%)
Relative Strength: 97 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Pulse Biosciences is a development-stage medical device company using a novel and proprietary platform technology called Nano-Pulse Stimulation or NPS. NPS is a local and drug-free technology that utilizes nanosecond pulsed electric fields to induce cell signaling and the activation of cellular pathways in tissue. We believe that NPS can induce a variety of cellular responses including secretion, apoptosis and necrosis by modulating the NPS pulses, making it applicable to a wide variety of cell types and therapeutic applications. One of the more promising applications of NPS is the treatment o

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
PLSE EPS/Sales Growth PLSE vs. Peers

Universal Logistics Holdings I (ULH)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.7/1.0
Sales
Consistency

Sales Consistency Ranking

0.2/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

6/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

7%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
67.77
Acc Dist
2.48
Disc
0.00%
Avg Vol
19,500
Liquidity
0.06%
Below High
0.43%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
-167%  -69%
EPS Growth
-60%
Sls Growth
1%
Proj Growth
N/A %
Anal. Rank
3.75
Shares
28.4M
Instit
28%
3-Month Trends of Key Indicators:
Looks Like a Winner?
ULH looks better than most Top Picks Winners* in 6 out of 10 key factors.
Accum/Dist: 2.48 (median winner: 1.53)
Above 40wkMA: 43% (median winner: 35%)
Instit. Ownership: 28% (median winner: 63%)
Liquidity: 0.06% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 67.77 (winner: 75.66)
Sales Growth: 1% (median winner: 28%)
Below 52wk High: 0.43% (winner: 3.30%)
Relative Strength: 96 (winner: 96)
Avg Qrtly EPS: -118% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Universal Logistics Holdings is a full-service provider of customized transportation and logistics solutions. For over 80 years, we have provided complete services including dry van and specialized transportation, intermodal drayage, material handling and value-added services, and global trade management.

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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
ULH EPS/Sales Growth ULH vs. Peers

Global Partner Acquisition Corp (GPAC)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

1/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

0%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
67.72
Acc Dist
0.88
Disc
0.00%
Avg Vol
31,700
Liquidity
0.31%
Below High
4.29%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A   
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
0.00
Shares
16M
Instit
71%
3-Month Trends of Key Indicators:
Looks Like a Winner?
GPAC looks better than most Top Picks Winners* in 1 out of 10 key factors.
Accum/Dist: 0.88 (median winner: 1.53)
Above 40wkMA: 0% (median winner: 35%)
Instit. Ownership: 71% (median winner: 63%)
Liquidity: 0.31% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 67.72 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 4.29% (winner: 3.30%)
Relative Strength: 71 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Global Partner Acquisition Corporation has raised $155 million to deploy our capital by merging with a company valued between $150 million and $1 billion+.

  • Fideicomiso Financiero Supervielle Leasing II -- Moody's affirms ratings of three US custody and trust banks; outlook remains stable Wed, 22 Nov 2017 20:37:12 +0000
    Rating Action: Moody's affirms ratings of three US custody and trust banks; outlook remains stable. Global Credit Research- 22 Nov 2017. New York, November 22, 2017-- Moody's Investors Service has affirmed ...
  • Purple Mattress Company Launches in Handpicked Mattress Firm Locations Tue, 21 Nov 2017 16:00:00 +0000
    ALPINE, Utah, Nov. 21, 2017 /PRNewswire/ -- Purple Innovation, LLC ("Purple"), a comfort technology company known for creating the "World's First No Pressure™ Mattress," today kicked off its blended channel strategy by launching its patented technology into a selected number of Mattress Firm locations across the country. Purple's mattresses will initially be offered in approximately 13 retail stores throughout Washington D.C., followed by additional launches in Austin, Texas and Sacramento, California.
  • Purple Innovation, LLC Names Mark Watkins Chief Financial Officer Tue, 14 Nov 2017 14:00:00 +0000
    Seasoned Financial Executive Appointed as Purple Prepares to Go Public ALPINE, Utah , Nov. 14, 2017 /PRNewswire/ --  Purple Innovation, LLC ("Purple"), a comfort technology company known for ...
  • Global Partner Acquisition Corp. And Purple Innovation, LLC Announce Filing Of Merger Proxy Statement And Updated Investor Presentation Mon, 06 Nov 2017 23:31:00 +0000
    ALPINE, Utah and NEW YORK, Nov. 6, 2017 /PRNewswire/ -- Global Partner Acquisition Corp. ("GPAC") (NASDAQ: GPAC‎, GPACU, GPACW) announced on November 2, 2017 that it had entered into a definitive merger agreement to combine with Purple Innovation, LLC ("Purple"). Today, GPAC filed the merger proxy statement and updated investor presentation associated with the proposed business combination. Deutsche Bank Securities Inc., Piper Jaffray Companies, and Raymond James & Associates, Inc. are serving as financial and capital markets advisors to GPAC.
  • Global Partner Acquisition Corp. And Purple Innovation, LLC Announce Definitive Merger Agreement Thu, 02 Nov 2017 12:00:00 +0000
    ALPINE, Utah and NEW YORK, Nov. 2, 2017 /PRNewswire/ -- Global Partner Acquisition Corp. ("GPAC") (NASDAQ: GPAC‎, GPACU, GPACW) and Purple Innovation, LLC ("Purple") today announced that they have entered into a definitive merger agreement pursuant to which Purple will become a subsidiary of GPAC, based on an initial enterprise value of approximately $900 million. More information will become available in the coming days ‎regarding the proposed business combination. Purple is a leading comfort technology company with a vision to improve how people sleep, sit and stand.
  • Global Partner Acquisition Corp. And Purple Innovation, LLC Announce Letter Of Intent For Business Combination Thu, 27 Jul 2017 16:47:00 +0000
    GPACU), a special purpose acquisition company ("GPAC"), and Purple Innovation, LLC ("Purple") jointly announced today that on July 24, 2017 they entered into a non-binding letter of intent relating to a business combination (the "LOI"), pursuant to which Purple would become a publicly traded company. Under the terms of the LOI, GPAC and Purple intend to enter into a definitive agreement, pursuant to which GPAC would acquire Purple based on an enterprise value of $1.1 billion, with GPAC paying a portion of the purchase price in cash to the current equity holders (currently anticipated to be approximately $90 million) and with the remainder being paid in rollover equity interests in the combined public company, subject to customary adjustments.
  • Sequel Youth and Family Services and Global Partner Acquisition Corp. Announce Agreement for Business Combination Wed, 11 Jan 2017 21:02:00 +0000
    GPACU), a special purpose acquisition company ("GPAC"), today announced they have entered into a definitive merger agreement. This transaction will enable Sequel to become a Nasdaq-listed public company, with an anticipated initial enterprise value of approximately $423.3 million. Immediately upon consummation of the transaction, GPAC will change its name to Sequel Youth and Family Services, Inc.

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
GPAC EPS/Sales Growth GPAC vs. Peers

Newater Technology Inc (NEWA)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

4/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

11%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
67.68
Acc Dist
1.26
Disc
0.00%
Avg Vol
152,200
Liquidity
1.08%
Below High
40.06%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
0.00
Shares
10.6M
Instit
1%
3-Month Trends of Key Indicators:
Looks Like a Winner?
NEWA looks better than most Top Picks Winners* in 4 out of 10 key factors.
Accum/Dist: 1.26 (median winner: 1.53)
Above 40wkMA: 127% (median winner: 35%)
Instit. Ownership: 1% (median winner: 63%)
Liquidity: 1.08% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 67.68 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 40.06% (winner: 3.30%)
Relative Strength: 71 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Newater Technology, Inc. develops, manufactures, and sells filtration products used in wastewater purification. It offers disk tube reverse osmosis (DTRO) and disk tube nanofiltration (DTNF) membrane filtration products that are used in the treatment, recycling, and discharge of wastewater. The company also supplies hardware and engineered systems to implement integrated solutions with DTRO and DTNF products. In addition, it provides traditional wastewater treatment solutions, such as activated carbon and resins; as well as engineering support and installation, technical advice, and other proj

  • How Did Newater Technology Inc’s (NEWA) 33.55% ROE Fare Against The Industry? Thu, 23 Nov 2017 21:41:09 +0000
    With an ROE of 33.55%, Newater Technology Inc (NASDAQ:NEWA) outpaced its own industry which delivered a less exciting 11.63% over the past year. On the surface, this looks fantastic sinceRead More...
  • At $12.22, Is Newater Technology Inc (NEWA) A Sell? Wed, 08 Nov 2017 23:49:12 +0000
    Newater Technology Inc (NASDAQ:NEWA) trades with a trailing P/E of 44x, which is higher than the industry average of 27.2x. While NEWA might seem like a stock to avoid orRead More...
  • Newwater Technology Technology Inc. Recently Presented at the 2017 Disruptive Growth Company Showcase NYC Presented by SeeThruEquity and RHK Capital Thu, 28 Sep 2017 18:33:00 +0000
    NEW YORK, NY / ACCESSWIRE / September 28, 2017 / Newater Technology Inc. (NASDAQ: NEWA), a developer and manufacturer of membrane filtration products and related hardware and engineered systems that are ...
  • Newater Technology, Inc. (Nasdaq: NEWA) to Ring The Nasdaq Stock Market Opening Bell Fri, 22 Sep 2017 14:00:00 +0000
    What: Newater Technology, Inc., a China-based wastewater purification treatment company, will visit the Nasdaq MarketSite in Times Square in celebration of its recent IPO. In honor of the occasion, Yuebiao ...
  • Newater Technology, Inc. Announces Full Exercise of Underwriter's Over-Allotment Option Thu, 03 Aug 2017 20:30:00 +0000
    YANTAI, China, Aug. 3, 2017 /PRNewswire/ -- Newater Technology, Inc. ("Newater" or the "Company") (NEWA), a developer and manufacturer of membrane ď¬ltration products and related hardware and engineered systems that are used in the treatment, recycling and discharge of wastewater, today announced that ViewTrade Securities, Inc., who acted as the managing underwriter and sole book-runner of the Company's initial public offering ("IPO"), has exercised the full over-allotment option to purchase an additional 210,000 common shares of the Company at the IPO price of $5.00 per share. As a result, the Company has raised $8,050,000 in gross proceeds, before underwriting discounts and commissions and offering expenses, through the issuance of a total of 1,610,000 common shares in the IPO.
  • Newater Technology, Inc. Announces Closing of Initial Public Offering Wed, 02 Aug 2017 20:30:00 +0000
    YANTAI, China, Aug. 2, 2017 / PRNewswire/ -- Newater Technology, Inc. ("Newater" or the "Company") (NEWA), a developer and manufacturer of membrane ď¬ltration products and related hardware and engineered systems that are used in the treatment, recycling and discharge of wastewater, today announced the closing of its initial public offering (the "IPO") of 1,400,000 of its common shares at a price to the public of $5.00 per share for a total offering size of  $7,000,000 before underwriting discounts and commissions and offering expenses. The Company has granted the underwriter a 45-day option to purchase up to 210,000 additional shares. The offering closed on August 2, 2017 and shares began trading on July 28, 2017 on NASDAQ Capital Market under the symbol "NEWA".

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
NEWA EPS/Sales Growth NEWA vs. Peers

Emerald Expositions Events Inc (EEX)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

4/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

4%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
67.68
Acc Dist
1.16
Disc
86.38%
Avg Vol
65,800
Liquidity
0.10%
Below High
7.03%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
4.38
Shares
72.2M
Instit
27%
3-Month Trends of Key Indicators:
Looks Like a Winner?
EEX looks better than most Top Picks Winners* in 4 out of 10 key factors.
Accum/Dist: 1.16 (median winner: 1.53)
Above 40wkMA: 38% (median winner: 35%)
Instit. Ownership: 27% (median winner: 63%)
Liquidity: 0.10% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 67.68 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 7.03% (winner: 3.30%)
Relative Strength: 74 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Emerald is the largest operator of business-to-business trade shows in the United States, with most of our shows dating back several decades. We currently operate more than 50 trade shows, including 31 of the top 250 trade shows in the country as ranked by TSNN, as well as numerous other events. Our events connect over 500,000 global attendees and exhibitors and occupy more than 6.5 million NSF of exhibition space. We have been recognized with many awards and accolades that reflect our industry leadership as well as the importance of our shows to the exhibitors and attendees we serve.

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
EEX EPS/Sales Growth EEX vs. Peers

Bank of NT Butterfield & Son (NTB)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

4/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

11%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
67.35
Acc Dist
1.67
Disc
126.33%
Avg Vol
289,700
Liquidity
0.52%
Below High
0.85%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
1%
Proj Growth
6%
Anal. Rank
2.91
Shares
54.6M
Instit
73%
3-Month Trends of Key Indicators:
Looks Like a Winner?
NTB looks better than most Top Picks Winners* in 4 out of 10 key factors.
Accum/Dist: 1.67 (median winner: 1.53)
Above 40wkMA: 14% (median winner: 35%)
Instit. Ownership: 73% (median winner: 63%)
Liquidity: 0.52% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 67.35 (winner: 75.66)
Sales Growth: 1% (median winner: 28%)
Below 52wk High: 0.85% (winner: 3.30%)
Relative Strength: 84 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

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The Butterfield Group is a full service community bank and a provider of specialised international financial services. Our headquarters and largest operations are in Bermuda, where we were established in 1858 as the Island’s first bank, and continue to play an important role in the local economy.

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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
NTB EPS/Sales Growth NTB vs. Peers

Schneider National Inc (SNDR)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

5/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

4%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
66.78
Acc Dist
1.63
Disc
107.31%
Avg Vol
552,400
Liquidity
0.37%
Below High
12.15%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
4.44
Shares
177M
Instit
40%
3-Month Trends of Key Indicators:
Looks Like a Winner?
SNDR looks better than most Top Picks Winners* in 5 out of 10 key factors.
Accum/Dist: 1.63 (median winner: 1.53)
Above 40wkMA: 37% (median winner: 35%)
Instit. Ownership: 40% (median winner: 63%)
Liquidity: 0.37% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 66.78 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 12.15% (winner: 3.30%)
Relative Strength: 83 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

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Schneider is the premier provider of truckload, intermodal and logistics services. Offering the broadest portfolio in the industry.

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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
SNDR EPS/Sales Growth SNDR vs. Peers

Lamb Weston Holdings Inc (LW)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.5/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

4/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

8%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
66.72
Acc Dist
2.49
Disc
303.33%
Avg Vol
692,000
Liquidity
0.43%
Below High
0.38%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
6%
Proj Growth
5.7%
Anal. Rank
4.16
Shares
146M
Instit
81%
3-Month Trends of Key Indicators:
Looks Like a Winner?
LW looks better than most Top Picks Winners* in 4 out of 10 key factors.
Accum/Dist: 2.49 (median winner: 1.53)
Above 40wkMA: 21% (median winner: 35%)
Instit. Ownership: 81% (median winner: 63%)
Liquidity: 0.43% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 66.72 (winner: 75.66)
Sales Growth: 6% (median winner: 28%)
Below 52wk High: 0.38% (winner: 3.30%)
Relative Strength: 90 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Lamb Weston, North America's premier potato company, manufactures innovative frozen potato, appetizer and vegetable products and provides ideas and recipes customers will enjoy.

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
LW EPS/Sales Growth LW vs. Peers

Integer Holdings Corporation Co (ITGR)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.7/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

2/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

6%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
65.87
Acc Dist
1.22
Disc
25.07%
Avg Vol
168,000
Liquidity
0.54%
Below High
10.14%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
13%  433%
EPS Growth
0%
Sls Growth
21%
Proj Growth
15%
Anal. Rank
3.34
Shares
31.7M
Instit
95%
3-Month Trends of Key Indicators:
Looks Like a Winner?
ITGR looks better than most Top Picks Winners* in 2 out of 10 key factors.
Accum/Dist: 1.22 (median winner: 1.53)
Above 40wkMA: 13% (median winner: 35%)
Instit. Ownership: 95% (median winner: 63%)
Liquidity: 0.54% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 65.87 (winner: 75.66)
Sales Growth: 21% (median winner: 28%)
Below 52wk High: 10.14% (winner: 3.30%)
Relative Strength: 89 (winner: 96)
Avg Qrtly EPS: 223% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

As a global leader in the development & manufacture of critical technologies for medical device & commercial markets, lead OEMs worldwide to choose Integer.

  • Integer Announces Participation in the 2017 Bank of America Merrill Lynch Leveraged Finance Conference Tue, 21 Nov 2017 13:00:00 +0000
    FRISCO, Texas, Nov. 21, 2017-- Integer Holdings Corporation today announced that Gary Haire, executive vice president and chief financial officer, will present at the 2017 Bank of America Merrill Lynch ...
  • ETFs with exposure to Integer Holdings Corp. : November 14, 2017 Tue, 14 Nov 2017 19:29:27 +0000
    Categories: ETFs Yahoo FinanceClick here to see latest analysis ETFs with exposure to Integer Holdings Corp. Here are 5 ETFs with the largest exposure to ITGR-US. Comparing the performance and risk of Integer Holdings Corp. with the ETFs that have exposure to it gives us some ETF choices that could give us similar returns with lower volatility. Ticker ... Read more (Read more...)
  • See what the IHS Markit Score report has to say about Integer Holdings Corp. Fri, 10 Nov 2017 13:08:37 +0000
    Integer Holdings Corp NYSE:ITGR
  • Integer Holdings Corp. :ITGR-US: Earnings Analysis: Q3, 2017 By the Numbers : November 8, 2017 Wed, 08 Nov 2017 12:33:06 +0000
    Categories: Yahoo FinanceGet free summary analysis Integer Holdings Corp. reports financial results for the quarter ended September 30, 2017. We analyze the earnings along side the following peers of Integer Holdings Corp. – Boston Scientific Corporation, Zimmer Biomet Holdings, Inc., Stryker Corporation, Edwards Lifesciences Corporation and Johnson & Johnson (BSX-US, ZBH-US, SYK-US, EW-US and JNJ-US) that have ... Read more (Read more...)
  • Edited Transcript of ITGR earnings conference call or presentation 26-Oct-17 9:00pm GMT Tue, 07 Nov 2017 21:29:24 +0000
    Q3 2017 Integer Holdings Corp Earnings Call
  • Integer Holdings Corp. – Value Analysis (NYSE:ITGR) : October 31, 2017 Tue, 31 Oct 2017 16:14:27 +0000
    Categories: Fundamental Analysis Yahoo FinanceClick here to see latest analysis Capitalcube gives Integer Holdings Corp. a score of 41. Our analysis is based on comparing Integer Holdings Corp. with the following peers – Boston Scientific Corporation, Zimmer Biomet Holdings, Inc., Sparton Corporation, Stryker Corporation, Edwards Lifesciences Corporation, Johnson & Johnson, Medtronic plc, Stereotaxis, Inc. and Micron Solutions, Inc. (BSX-US, ... Read more (Read more...)
  • ETFs with exposure to Integer Holdings Corp. : October 31, 2017 Tue, 31 Oct 2017 15:42:50 +0000
    Categories: ETFs Yahoo FinanceClick here to see latest analysis ETFs with exposure to Integer Holdings Corp. Here are 5 ETFs with the largest exposure to ITGR-US. Comparing the performance and risk of Integer Holdings Corp. with the ETFs that have exposure to it gives us some ETF choices that could give us similar returns with lower volatility. Ticker ... Read more (Read more...)
  • Integer Holdings Corp. breached its 50 day moving average in a Bearish Manner : ITGR-US : October 30, 2017 Mon, 30 Oct 2017 12:39:44 +0000
    Categories: ETFs Yahoo FinanceGet full CapitalCube analysis *Disclaimer : This is as of previous day’s closing price. Technical Indicators Below is a quick look at 5 technical indicators for Integer Holdings Corp.. More studies are available on the Technical Chart. Indicator Signal Closing Price above/below 50 Day Moving Average Bearish Closing Price above/below 200 Day Moving Average Bullish ... Read more (Read more...)
  • Integer beats Street 3Q forecasts Fri, 27 Oct 2017 09:01:40 +0000
    The Frisco, Texas-based company said it had profit of 43 cents per share. Earnings, adjusted for amortization costs and non-recurring costs, were 82 cents per share. The results beat Wall Street expectations. ...
  • Integer Holdings Corporation to Host Earnings Call Thu, 26 Oct 2017 16:40:00 +0000
    NEW YORK, NY / ACCESSWIRE / October 26, 2017 / Integer Holdings Corporation (NYSE: ITGR ) will be discussing their earnings results in their Q3 Earnings Call to be held on October 26, 2017 at 5:00 PM Eastern ...

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
ITGR EPS/Sales Growth ITGR vs. Peers

Editas Medicine Inc (EDIT)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

2/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

14%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
65.62
Acc Dist
1.42
Disc
0.00%
Avg Vol
1,044,900
Liquidity
1.99%
Below High
11.64%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A   
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
3.34
Shares
42.1M
Instit
69%
3-Month Trends of Key Indicators:
Looks Like a Winner?
EDIT looks better than most Top Picks Winners* in 2 out of 10 key factors.
Accum/Dist: 1.42 (median winner: 1.53)
Above 40wkMA: 27% (median winner: 35%)
Instit. Ownership: 69% (median winner: 63%)
Liquidity: 1.99% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 65.62 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 11.64% (winner: 3.30%)
Relative Strength: 93 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

  • FDA warns against â€do it yourself’ gene therapy kits Wed, 22 Nov 2017 18:15:11 +0000
    The U.S. Food and Drug Administration has issued a stern warning against the use of “do it yourself” gene therapy kits, pushing back against a nascent “biohacker” movement that seeks to make experimental medicines and technologies available to the masses, often by circumventing regulators. A statement posted on the FDA’s website on Tuesday cautions that it is illegal to sell gene therapy products and kits intended for self-administration. Gene therapy involves inserting new, healthy genes into cells to cure diseases that are caused by faulty genes.
  • Disruptor Alert: These 5 Companies Are Changing Healthcare Tue, 14 Nov 2017 12:34:00 +0000
    Healthcare won't be the same in the future because of these pioneers in gene editing, gene sequencing, and artificial intelligence.
  • Torque, a Flagship Pioneering Company, Launches Platform to Develop a New Class of Deep-Primed™ Immune Cell Therapies, Financed with $25M Series A and Led by a Veteran Management Team Tue, 14 Nov 2017 12:00:00 +0000
    CAMBRIDGE, Mass., Nov. 14, 2017 /PRNewswire/ -- Torque, an immuno-oncology company developing Deep Primed™ cell therapies that direct and evoke immune responses in the tumor microenvironment, today announced the launch of its technology platform to create a new class of immune cell therapeutics to treat cancer, financed with $25 million in Series A capital by Flagship Pioneering. The Torque platform makes it possible to anchor powerful stimulatory cytokines, antibodies, and small molecules directly to immune cells to direct their activity and increase their efficacy and durability in the "hostile" tumor microenvironment, without systemic exposure.
  • Edited Transcript of EDIT earnings conference call or presentation 7-Nov-17 10:00pm GMT Mon, 13 Nov 2017 22:26:53 +0000
    Q3 2017 Editas Medicine Inc Earnings Call
  • Editas Medicine Keeps Moving Forward Thu, 09 Nov 2017 14:00:00 +0000
    The biotech offered steady progress and no big surprises in its latest quarter -- and that's a good thing.
  • Editas Medicine, Inc. breached its 50 day moving average in a Bearish Manner : EDIT-US : November 9, 2017 Thu, 09 Nov 2017 12:53:52 +0000
    Categories: ETFs Yahoo FinanceGet full CapitalCube analysis *Disclaimer : This is as of previous day’s closing price. Technical Indicators Below is a quick look at 5 technical indicators for Editas Medicine, Inc.. More studies are available on the Technical Chart. Indicator Signal Closing Price above/below 50 Day Moving Average Bearish Closing Price above/below 200 Day Moving Average Bullish ... Read more (Read more...)
  • Barclays: Editas Medicine On Track To File New Drug App Next Year Wed, 08 Nov 2017 21:24:20 +0000
    Editas Medicine Inc (NASDAQ: EDIT ) reported third-quarter earnings Tuesday and it failed to meet Wall Street expectations. The Analyst Barclays' Gena Wang . The Rating Wang maintained an Overweight on ...
  • Here's Why Editas Medicine Collapsed at Market Open Today Wed, 08 Nov 2017 17:25:00 +0000
    The innovative biopharma announced third-quarter 2017 results Tuesday, but there weren't any surprises.
  • Editas reports 3Q loss Tue, 07 Nov 2017 21:13:39 +0000
    On a per-share basis, the Cambridge, Massachusetts-based company said it had a loss of 64 cents. The results did not meet Wall Street expectations. The average estimate of five analysts surveyed by Zacks ...
  • Editas Medicine Announces Third Quarter 2017 Results and Update Tue, 07 Nov 2017 21:03:00 +0000
    CAMBRIDGE, Mass., Nov. 07, 2017-- Editas Medicine, Inc., a leading genome editing company, today reported financial results for the third quarter ended September 30, 2017, and provided an update on recent ...

Stock Research
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(Larger Charts. ATR=Average True Range)

Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
EDIT EPS/Sales Growth EDIT vs. Peers

Janus Henderson Group plc Ordin (JHG)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

4/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

3%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
65.42
Acc Dist
1.47
Disc
22.45%
Avg Vol
509,100
Liquidity
0.25%
Below High
0.97%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
12.5%
Anal. Rank
3.00
Shares
200M
Instit
47%
3-Month Trends of Key Indicators:
Looks Like a Winner?
JHG looks better than most Top Picks Winners* in 4 out of 10 key factors.
Accum/Dist: 1.47 (median winner: 1.53)
Above 40wkMA: 18% (median winner: 35%)
Instit. Ownership: 47% (median winner: 63%)
Liquidity: 0.25% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 65.42 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 0.97% (winner: 3.30%)
Relative Strength: 86 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

As a leading global manager, Janus Henderson offers actively managed solutions to meet diverse investment goals and seeks to deliver exceptional service to our clients.

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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
JHG EPS/Sales Growth JHG vs. Peers

Hamilton Lane Inc (HLNE)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

1.0/1.0
Sales
Consistency

Sales Consistency Ranking

1.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

5/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

25%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
65.29
Acc Dist
3.13
Disc
93.53%
Avg Vol
142,800
Liquidity
0.25%
Below High
0.83%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
5%
Proj Growth
15%
Anal. Rank
3.13
Shares
47.2M
Instit
68%
3-Month Trends of Key Indicators:
Looks Like a Winner?
HLNE looks better than most Top Picks Winners* in 5 out of 10 key factors.
Accum/Dist: 3.13 (median winner: 1.53)
Above 40wkMA: 54% (median winner: 35%)
Instit. Ownership: 68% (median winner: 63%)
Liquidity: 0.25% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 65.29 (winner: 75.66)
Sales Growth: 5% (median winner: 28%)
Below 52wk High: 0.83% (winner: 3.30%)
Relative Strength: 95 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Hamilton Lane is an independent alternative investment management firm providing innovative private markets solutions to sophisticated investors around the world. The firm has been dedicated to private equity investing for more than 25 years and currently has 260+ employees operating in 12 offices globally.

  • Five Hot Stocks to Buy on Monday Fri, 17 Nov 2017 18:57:06 +0000
    These five stocks are Strong Buys breaking out
  • ETFs with exposure to Hamilton Lane, Inc. : October 12, 2017 Thu, 12 Oct 2017 14:36:08 +0000
    Categories: ETFs Yahoo FinanceClick here to see latest analysis ETFs with exposure to Hamilton Lane, Inc. Here are 5 ETFs with the largest exposure to HLNE-US. Comparing the performance and risk of Hamilton Lane, Inc. with the ETFs that have exposure to it gives us some ETF choices that could give us similar returns with lower volatility. Ticker ... Read more (Read more...)
  • Private Capital Markets Platform Cobalt Now Integrated with Ipreo's iLEVEL Wed, 20 Sep 2017 11:00:00 +0000
    Integration Enables Better Data Control and Streamlined Workflows for GPs and LPs BOSTON and BALA CYNWYD, Pa. , Sept. 20, 2017 /PRNewswire/ -- Bison, a leading technology provider focused on developing ...
  • 5 Money Management Stocks to Improve Your Finances Fri, 08 Sep 2017 22:15:10 +0000
    Investment management has been performing decently for the last couple of years and offers significant upside potential.
  • Hamilton Lane Partners with Philadelphia’s Cristo Rey High School Thu, 07 Sep 2017 12:00:00 +0000
    BALA CYNWYD, Pa., Sept. 07, 2017-- Hamilton Lane announced it has once again partnered with Cristo Rey Philadelphia, an independent, Catholic, college preparatory school for students of all faiths who ...
  • ETFs with exposure to Hamilton Lane, Inc. : August 31, 2017 Thu, 31 Aug 2017 22:42:08 +0000
    Categories: ETFs Yahoo FinanceClick here to see latest analysis ETFs with exposure to Hamilton Lane, Inc. Here are 5 ETFs with the largest exposure to HLNE-US. Comparing the performance and risk of Hamilton Lane, Inc. with the ETFs that have exposure to it gives us some ETF choices that could give us similar returns with lower volatility. Ticker ... Read more (Read more...)
  • [$$] On the Menu: Philadelphia Tue, 29 Aug 2017 13:34:06 +0000
    Perhaps best known as America’s birthplace, Philadelphia also is home to a unique food scene, with hallmarks such as indoor marketplace Reading Terminal Market and classic Philly eats including cheesesteaks, ...
  • Hamilton Lane, Inc. :HLNE-US: Earnings Analysis: Q1, 2018 By the Numbers : August 28, 2017 Mon, 28 Aug 2017 17:47:56 +0000
    Categories: Yahoo FinanceGet free summary analysis Hamilton Lane, Inc. reports financial results for the quarter ended June 30, 2017. We analyze the earnings along side the following peers of Hamilton Lane, Inc. – Oaktree Capital Group, LLC Class A, NATIXIS Unsponsored ADR and Nomura Holdings, Inc. (OAK-US, NTXFY-US and NRSCF-US) that have also reported for this period. ... Read more (Read more...)
  • Hamilton Lane, Inc. – Value Analysis (NASDAQ:HLNE) : August 17, 2017 Thu, 17 Aug 2017 01:12:58 +0000
    Categories: Fundamental Analysis Yahoo FinanceClick here to see latest analysis Capitalcube gives Hamilton Lane, Inc. a score of 71. Our analysis is based on comparing Hamilton Lane, Inc. with the following peers – Oaktree Capital Group, LLC Class A, NATIXIS Unsponsored ADR, Nomura Holdings, Inc. and Noah Holdings Ltd. Sponsored ADR Class A (OAK-US, NTXFY-US, NRSCF-US and NOAH-US). Investment ... Read more (Read more...)
  • Hamilton Lane beats 1Q profit forecasts Wed, 09 Aug 2017 03:00:51 +0000
    On a per-share basis, the Bala Cynwyd, Pennsylvania-based company said it had net income of 30 cents. Earnings, adjusted for non-recurring costs, were 33 cents per share. The results surpassed Wall Street ...

Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr
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(Larger Charts. ATR=Average True Range)

Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
HLNE EPS/Sales Growth HLNE vs. Peers

BeiGene Ltd (BGNE)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

4/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

11%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
65.22
Acc Dist
1.12
Disc
0.00%
Avg Vol
300,300
Liquidity
0.66%
Below High
26.46%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A   
EPS Growth
0%
Sls Growth
-54%
Proj Growth
N/A %
Anal. Rank
4.38
Shares
45.5M
Instit
4%
3-Month Trends of Key Indicators:
Looks Like a Winner?
BGNE looks better than most Top Picks Winners* in 4 out of 10 key factors.
Accum/Dist: 1.12 (median winner: 1.53)
Above 40wkMA: 43% (median winner: 35%)
Instit. Ownership: 4% (median winner: 63%)
Liquidity: 0.66% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 65.22 (winner: 75.66)
Sales Growth: -54% (median winner: 28%)
Below 52wk High: 26.46% (winner: 3.30%)
Relative Strength: 98 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

BeiGene is a globally focused biopharma company focused on developing molecularly targeted and immuno-oncology drug candidates for the treatment of cancer. 

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
BGNE EPS/Sales Growth BGNE vs. Peers

Vantage Energy Acquisition Corp (VEAC)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

5/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

-100%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
64.67
Acc Dist
1.79
Disc
0.00%
Avg Vol
123,200
Liquidity
0.23%
Below High
3.02%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
0.00
Shares
69M
Instit
65%
3-Month Trends of Key Indicators:
Looks Like a Winner?
VEAC looks better than most Top Picks Winners* in 5 out of 10 key factors.
Accum/Dist: 1.79 (median winner: 1.53)
Above 40wkMA: 41% (median winner: 35%)
Instit. Ownership: 65% (median winner: 63%)
Liquidity: 0.23% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 64.67 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 3.02% (winner: 3.30%)
Relative Strength: 70 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Vantage Energy Acquisition Corp. is a blank check company. The company was incorporated in 2017 and is headquartered in Irving, Texas.

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
VEAC EPS/Sales Growth VEAC vs. Peers

BlackBerry Limited (BB)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

4/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

7%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
64.00
Acc Dist
1.77
Disc
1011.80%
Avg Vol
6,378,400
Liquidity
0.57%
Below High
8.40%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
-41%
Proj Growth
18.6%
Anal. Rank
2.63
Shares
530M
Instit
60%
3-Month Trends of Key Indicators:
Looks Like a Winner?
BB looks better than most Top Picks Winners* in 4 out of 10 key factors.
Accum/Dist: 1.77 (median winner: 1.53)
Above 40wkMA: 13% (median winner: 35%)
Instit. Ownership: 60% (median winner: 63%)
Liquidity: 0.57% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 64.00 (winner: 75.66)
Sales Growth: -41% (median winner: 28%)
Below 52wk High: 8.40% (winner: 3.30%)
Relative Strength: 86 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

A global leader in mobile communications, BlackBerry offers unrivaled security in smartphones and enterprise software solutions. Learn more and shop now.

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
BB EPS/Sales Growth BB vs. Peers

Varex Imaging Corporation (VREX)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

4/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

10%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
63.73
Acc Dist
1.96
Disc
102.60%
Avg Vol
211,000
Liquidity
0.58%
Below High
2.40%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
10%
Anal. Rank
3.34
Shares
37.6M
Instit
94%
3-Month Trends of Key Indicators:
Looks Like a Winner?
VREX looks better than most Top Picks Winners* in 4 out of 10 key factors.
Accum/Dist: 1.96 (median winner: 1.53)
Above 40wkMA: 11% (median winner: 35%)
Instit. Ownership: 94% (median winner: 63%)
Liquidity: 0.58% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 63.73 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 2.40% (winner: 3.30%)
Relative Strength: 80 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Varex Imaging Corporation is the world’s largest independent supplier of medical X-ray tubes and image processing solutions. From medical imaging, to cargo screening and border security, our components are used by X-ray imaging system manufacturers everywhere to detect, diagnose, and protect. Our products are designed to harness the power of X-ray energy to pioneer advances in any application. This requires us to maintain an extensive catalog, and we are a leading supplier of high-voltage connectors, X-ray collimators, ionization chambers, mammography paddles, solid state automatic exposur

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
VREX EPS/Sales Growth VREX vs. Peers

Kinsale Capital Group Inc (KNSL)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.2/1.0
Sales
Consistency

Sales Consistency Ranking

1.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

3/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

1%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
63.54
Acc Dist
1.75
Disc
0.00%
Avg Vol
90,900
Liquidity
0.39%
Below High
12.29%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
-70%  -33%
EPS Growth
0%
Sls Growth
49%
Proj Growth
N/A %
Anal. Rank
4.16
Shares
21M
Instit
82%
3-Month Trends of Key Indicators:
Looks Like a Winner?
KNSL looks better than most Top Picks Winners* in 3 out of 10 key factors.
Accum/Dist: 1.75 (median winner: 1.53)
Above 40wkMA: 12% (median winner: 35%)
Instit. Ownership: 82% (median winner: 63%)
Liquidity: 0.39% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 63.54 (winner: 75.66)
Sales Growth: 49% (median winner: 28%)
Below 52wk High: 12.29% (winner: 3.30%)
Relative Strength: 87 (winner: 96)
Avg Qrtly EPS: -52% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
KNSL EPS/Sales Growth KNSL vs. Peers

Gores Holdings II Inc (GSHT)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

2/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

0%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
63.49
Acc Dist
1.06
Disc
0.00%
Avg Vol
33,900
Liquidity
0.11%
Below High
11.57%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
0.00
Shares
50M
Instit
76%
3-Month Trends of Key Indicators:
Looks Like a Winner?
GSHT looks better than most Top Picks Winners* in 2 out of 10 key factors.
Accum/Dist: 1.06 (median winner: 1.53)
Above 40wkMA: 10% (median winner: 35%)
Instit. Ownership: 76% (median winner: 63%)
Liquidity: 0.11% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 63.49 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 11.57% (winner: 3.30%)
Relative Strength: 70 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

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The Gores Group is a Los Angeles based, global private equity firm specializing in acquiring and partnering with mature and growing businesses. Over the last 30 years, the firm has consistently created value in situations characterized by complexity and operational challenges.

  • What’s Ahead For Gores Holdings II Inc (GSHT)? Fri, 27 Oct 2017 00:30:21 +0000
    Gores Holdings II Inc (NASDAQ:GSHT), a USD$398.40M small-cap, operates in the capital markets industry, which has been simplifying their business and operating models over the last few years, both forRead More...
  • 11 Best New Company Stocks to Buy in 2017 Mon, 19 Jun 2017 01:31:11 +0000
    If you’re on the lookout for interesting new investment opportunities, we’ve compiled a list of the 11 best new company stocks to buy in 2017. Whether through IPOs or spinoffs, the appearance of new stocks on the market often leads to a great deal of excitement among investors. Whereas it’s hard to get very excited […]

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Quarterly EPS GrowthQuarterly Sales Growth
GSHT EPS/Sales Growth GSHT vs. Peers

Audentes Therapeutics Inc (BOLD)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.2/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

4/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

15%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
63.15
Acc Dist
1.60
Disc
0.00%
Avg Vol
227,000
Liquidity
0.73%
Below High
15.50%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
-116%  87%
EPS Growth
0%
Sls Growth
0%
Proj Growth
4.9%
Anal. Rank
4.29
Shares
29.9M
Instit
79%
3-Month Trends of Key Indicators:
Looks Like a Winner?
BOLD looks better than most Top Picks Winners* in 4 out of 10 key factors.
Accum/Dist: 1.60 (median winner: 1.53)
Above 40wkMA: 41% (median winner: 35%)
Instit. Ownership: 79% (median winner: 63%)
Liquidity: 0.73% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 63.15 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 15.50% (winner: 3.30%)
Relative Strength: 96 (winner: 96)
Avg Qrtly EPS: -15% (median winner: 68%)
Industry Group: 1. Not Available

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  • Audentes Therapeutics Announces Publication of Data from RECENSUS, a Retrospective Medical Record Review of Patients With X-Linked Myotubular Myopathy Tue, 21 Nov 2017 13:00:00 +0000
    SAN FRANCISCO, Nov. 21, 2017 /PRNewswire/ -- Audentes Therapeutics, Inc. (BOLD), a biotechnology company focused on developing and commercializing gene therapy products for patients living with serious, life-threatening rare diseases, today announced the publication of "A Multicenter, Retrospective Medical Record Review of X-Linked Myotubular Myopathy: The RECENSUS Study," in Muscle & Nerve.  This publication from RECENSUS, a study sponsored by Audentes, expands upon the data first presented at the Muscular Dystrophy Association (MDA) Scientific Conference in March 2017, and reinforces the high mortality and significant disease burden experienced by children with XLMTM and their families. 32% of patients >18 months of age).  At birth, 95% of the boys were hypotonic and 90% required some form of respiratory support.  After the immediate neonatal period, once patients have been stabilized, almost half (48%) required 24-hour ventilation, while the remaining boys averaged 8.5 hours per day on a ventilator.  60% of the boys in the study had undergone a tracheostomy.  Critically, the data show that infants with XLMTM spend, on average, 35% of their first year of life in the hospital and undergo an average of 3.7 surgeries during that time.
  • Audentes Therapeutics to Present at Upcoming Investor Conferences Thu, 16 Nov 2017 13:00:00 +0000
    SAN FRANCISCO , Nov. 16, 2017 /PRNewswire/ -- Audentes Therapeutics, Inc. (Nasdaq: BOLD), a biotechnology company focused on developing and commercializing gene therapy products for patients living with ...
  • Audentes Therapeutics reports 3Q loss Thu, 16 Nov 2017 10:14:31 +0000
    On a per-share basis, the San Francisco-based company said it had a loss of 88 cents. The results fell short of Wall Street expectations. The average estimate of five analysts surveyed by Zacks Investment ...
  • Edited Transcript of BOLD earnings conference call or presentation 14-Nov-17 9:30pm GMT Wed, 15 Nov 2017 03:45:45 +0000
    Q3 2017 Audentes Therapeutics Inc Earnings Call
  • Audentes Therapeutics Reports Third Quarter 2017 Financial Results and Provides Corporate Update Tue, 14 Nov 2017 21:01:00 +0000
    - Completed enrollment of the first dose cohort of ASPIRO, the Phase 1/2 clinical study of AT132 to treat X-Linked Myotubular Myopathy (XLMTM) - AT132 has been well-tolerated by all patients with no significant ...
  • Audentes Therapeutics, Inc. to Host Earnings Call Tue, 14 Nov 2017 17:00:00 +0000
    NEW YORK, NY / ACCESSWIRE / November 14, 2017 / Audentes Therapeutics, Inc. (NASDAQ: BOLD ) will be discussing their earnings results in their Q3 Earnings Call to be held on Tuesday, November 14, 2017 ...
  • Audentes Therapeutics to Release Third Quarter 2017 Financial Results and Provide Corporate Update on Tuesday, November 14, 2017 Tue, 07 Nov 2017 13:00:00 +0000
    -- Conference Call and Webcast to Follow -- SAN FRANCISCO , Nov. 7, 2017 /PRNewswire/ -- Audentes Therapeutics, Inc. (Nasdaq: BOLD), a biotechnology company focused on developing and commercializing gene ...
  • How Spark's Gene Therapy Win Could Also Be A Boon For These Biotechs Fri, 13 Oct 2017 16:09:05 +0000
    Spark's positive vote by an FDA committee could be a boon for other drugmakers working on gene therapies including Audentes, BioMarin and Ultragenyx.
  • This Biotech Makes Bold Move On Potential For Speedier Drug OK Wed, 27 Sep 2017 20:07:30 +0000
    Audentes stock made a bold move Wednesday after the FDA granted one of its drugs a "fast-track" designation.
  • Audentes Therapeutics Announces Rare Pediatric Disease and Fast Track Designations for AT132 for the Treatment of X-Linked Myotubular Myopathy Wed, 27 Sep 2017 12:00:00 +0000
    SAN FRANCISCO, Sept. 27, 2017 /PRNewswire/ -- Audentes Therapeutics, Inc. (BOLD), a biotechnology company focused on developing and commercializing gene therapy products for patients living with serious, life-threatening rare diseases, today announced that the U.S. Food and Drug Administration (FDA) has granted Rare Pediatric Disease and Fast Track designations for AT132, the company's gene therapy product candidate being developed to treat X-Linked Myotubular Myopathy (XLMTM).  In addition to these two new designations, AT132 has also received Orphan Drug designation from both the FDA and European Medicines Agency.

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Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
BOLD EPS/Sales Growth BOLD vs. Peers

Tabula Rasa HealthCare Inc (TRHC)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.1/1.0
Sales
Consistency

Sales Consistency Ranking

1.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

8/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

34%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
62.97
Acc Dist
2.07
Disc
314.72%
Avg Vol
104,000
Liquidity
0.63%
Below High
0.71%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
1600%  -29%
EPS Growth
0%
Sls Growth
39%
Proj Growth
25%
Anal. Rank
4.59
Shares
17.9M
Instit
32%
3-Month Trends of Key Indicators:
Looks Like a Winner?
TRHC looks better than most Top Picks Winners* in 8 out of 10 key factors.
Accum/Dist: 2.07 (median winner: 1.53)
Above 40wkMA: 96% (median winner: 35%)
Instit. Ownership: 32% (median winner: 63%)
Liquidity: 0.63% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 62.97 (winner: 75.66)
Sales Growth: 39% (median winner: 28%)
Below 52wk High: 0.71% (winner: 3.30%)
Relative Strength: 99 (winner: 96)
Avg Qrtly EPS: 786% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Devoted to leveraging technology to improve healthcare and provide new beginnings for our clients, through innovative service models and fresh approaches.

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Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
TRHC EPS/Sales Growth TRHC vs. Peers

The RMR Group Inc (RMR)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.1/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

4/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

10%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
62.13
Acc Dist
1.76
Disc
0.00%
Avg Vol
29,900
Liquidity
0.19%
Below High
0.27%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
0%  13%
EPS Growth
0%
Sls Growth
-3%
Proj Growth
N/A %
Anal. Rank
3.50
Shares
15.1M
Instit
35%
3-Month Trends of Key Indicators:
Looks Like a Winner?
RMR looks better than most Top Picks Winners* in 4 out of 10 key factors.
Accum/Dist: 1.76 (median winner: 1.53)
Above 40wkMA: 19% (median winner: 35%)
Instit. Ownership: 35% (median winner: 63%)
Liquidity: 0.19% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 62.13 (winner: 75.66)
Sales Growth: -3% (median winner: 28%)
Below 52wk High: 0.27% (winner: 3.30%)
Relative Strength: 87 (winner: 96)
Avg Qrtly EPS: 7% (median winner: 68%)
Industry Group: 1. Not Available

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  • Select Income REIT -- Moody's downgrades Select Income's ratings on spin-off announcement Wed, 22 Nov 2017 16:40:07 +0000
    Rating Action: Moody's downgrades Select Income's ratings on spin-off announcement. Global Credit Research- 22 Nov 2017. Approximately $1.8 billion in securities affected.
  • ETFs with exposure to RMR Group, Inc. : November 15, 2017 Wed, 15 Nov 2017 17:26:13 +0000
    Categories: ETFs Yahoo FinanceClick here to see latest analysis ETFs with exposure to RMR Group, Inc. Here are 5 ETFs with the largest exposure to RMR-US. Comparing the performance and risk of RMR Group, Inc. with the ETFs that have exposure to it gives us some ETF choices that could give us similar returns with lower volatility. Ticker ... Read more (Read more...)
  • The RMR Group Inc. Congratulates TravelCenters of America for Board Diversity Recognition Mon, 13 Nov 2017 21:01:00 +0000
    The RMR Group Inc. today congratulates TravelCenters of America LLC on its recognition by the Women’s Forum of New York for approaching gender parity with 40% of its board seats held by women.
  • RMR Group, Inc. : RMR-US: Dividend Analysis : October 23rd, 2017 (record date) : By the numbers : October 26, 2017 Thu, 26 Oct 2017 13:40:03 +0000
    Categories: Yahoo FinanceGet free summary analysis Our analysis is based on comparing RMR Group, Inc. with the following peers – Optibase Ltd., Omagine, Inc. and Regent Pacific Properties Inc. (OBAS-US, OMAG-US and RPP-CA). Dividend Quality Overview Over the last twelve months (prior to June 30, 2017), RMR-US paid a high quality dividend, which represents a yield of ... Read more (Read more...)
  • Should You Invest In The Real Estate Sector And The RMR Group Inc (RMR)? Tue, 17 Oct 2017 00:05:36 +0000
    The RMR Group Inc (NASDAQ:RMR), a USD$1.64B small-cap, operates in the real estate industry which is the most prevalent industry globally, and has continued to play a crucial role inRead More...
  • The RMR Group Inc. Announces Quarterly Dividend on Common Shares Thu, 12 Oct 2017 20:15:00 +0000
    The RMR Group Inc. today announced a regular quarterly cash dividend on its shares of Class A Common Stock and Class B-1 Common Stock of $0.25 per share for the quarter ended September 30, 2017 .
  • CBRE Group (CBG) Inks Deal to Acquire Heery International Mon, 09 Oct 2017 16:05:04 +0000
    The acquisition of Heery is slated to improve CBRE Group's (CBG) competence in the local market as well as account-based project management services.
  • ETFs with exposure to RMR Group, Inc. : October 3, 2017 Tue, 03 Oct 2017 15:33:18 +0000
    Categories: ETFs Yahoo FinanceClick here to see latest analysis ETFs with exposure to RMR Group, Inc. Here are 5 ETFs with the largest exposure to RMR-US. Comparing the performance and risk of RMR Group, Inc. with the ETFs that have exposure to it gives us some ETF choices that could give us similar returns with lower volatility. Ticker ... Read more (Read more...)
  • RMR Group, Inc. :RMR-US: Earnings Analysis: Q3, 2017 By the Numbers : October 2, 2017 Mon, 02 Oct 2017 12:57:07 +0000
    Categories: Yahoo FinanceGet free summary analysis RMR Group, Inc. reports financial results for the quarter ended June 30, 2017. Highlights Summary numbers: Revenues of USD 57.86 million, Net Earnings of USD 6.83 million. Change in operating cash flow of -14.44% compared to same period last year is about the same as change in earnings, likely no significant ... Read more (Read more...)
  • RMR Group, Inc. breached its 50 day moving average in a Bearish Manner : RMR-US : September 26, 2017 Tue, 26 Sep 2017 12:22:36 +0000
    Categories: ETFs Yahoo FinanceGet full CapitalCube analysis *Disclaimer : This is as of previous day’s closing price. Technical Indicators Below is a quick look at 5 technical indicators for RMR Group, Inc.. More studies are available on the Technical Chart. Indicator Signal Closing Price above/below 50 Day Moving Average Bearish Closing Price above/below 200 Day Moving Average Bullish ... Read more (Read more...)

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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
RMR EPS/Sales Growth RMR vs. Peers

Mimecast Limited (MIME)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

1.0/1.0
Sales
Consistency

Sales Consistency Ranking

1.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

4/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

4%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
62.08
Acc Dist
1.20
Disc
2520.75%
Avg Vol
246,400
Liquidity
0.39%
Below High
4.59%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
28%
Proj Growth
20%
Anal. Rank
4.53
Shares
57.3M
Instit
59%
3-Month Trends of Key Indicators:
Looks Like a Winner?
MIME looks better than most Top Picks Winners* in 4 out of 10 key factors.
Accum/Dist: 1.20 (median winner: 1.53)
Above 40wkMA: 16% (median winner: 35%)
Instit. Ownership: 59% (median winner: 63%)
Liquidity: 0.39% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 62.08 (winner: 75.66)
Sales Growth: 28% (median winner: 28%)
Below 52wk High: 4.59% (winner: 3.30%)
Relative Strength: 89 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

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Mimecast unified email management offers cloud email services for email security, continuity and archiving emails. Protect and manage your email data.

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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
MIME EPS/Sales Growth MIME vs. Peers

GTY Technology Holdings Inc (GTYH)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

3/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

2%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
61.90
Acc Dist
0.76
Disc
0.00%
Avg Vol
37,600
Liquidity
0.06%
Below High
23.54%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
0.00
Shares
69M
Instit
49%
3-Month Trends of Key Indicators:
Looks Like a Winner?
GTYH looks better than most Top Picks Winners* in 3 out of 10 key factors.
Accum/Dist: 0.76 (median winner: 1.53)
Above 40wkMA: -1% (median winner: 35%)
Instit. Ownership: 49% (median winner: 63%)
Liquidity: 0.06% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 61.90 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 23.54% (winner: 3.30%)
Relative Strength: 70 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

GTY Technology Holdings Inc. is a blank check company. The Company was formed for the purpose of effecting a merger, share exchange, asset acquisition, share purchase, reorganization or similar business combination with one or more businesses (the business combination). The Company seeks to complete its initial business combination with a company or business that may be financially unstable or in its early stages of development or growth. The Company intends to focus its search for a target business or businesses in the technology industry, including software and services. As of December 31, 2

  • 5 Hot IPOs That Hedge Funds Couldn’t Ignore Fri, 31 Mar 2017 12:30:22 +0000
    2016 was undoubtedly a meager one in terms of IPO activity. There were just 105 U.S IPOs last year, down from 170 in 2015 and 275 in 2014. Proceeds from U.S IPOs also fell heavily, to just $18.8 billion in 2016 from $86.6 billion in 2014. However, the IPO picture did improve somewhat in the […]

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Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
GTYH EPS/Sales Growth GTYH vs. Peers

SEACOR Marine Holdings Inc (SMHI)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

2/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

3%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
61.39
Acc Dist
1.43
Disc
0.00%
Avg Vol
110,700
Liquidity
0.68%
Below High
46.12%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
2.50
Shares
17.7M
Instit
94%
3-Month Trends of Key Indicators:
Looks Like a Winner?
SMHI looks better than most Top Picks Winners* in 2 out of 10 key factors.
Accum/Dist: 1.43 (median winner: 1.53)
Above 40wkMA: 32% (median winner: 35%)
Instit. Ownership: 94% (median winner: 63%)
Liquidity: 0.68% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 61.39 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 46.12% (winner: 3.30%)
Relative Strength: 68 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

SEACOR Marine operates a fleet of offshore marine support vessels, serving the offshore oil and gas exploration and production industry. With vessels strategically deployed offshore in the Gulf of Mexico, Latin America, the North Sea, West Africa, Southeast Asia and the Middle East, we provide a broad range of offshore support services coupled with the highest standards of safety, service and technology available in the industry.

  • Seacor Marine reports 3Q loss Thu, 09 Nov 2017 22:38:03 +0000
    On a per-share basis, the Houma, Louisiana-based company said it had a loss of $1.25. The operator of a fleet of marine support vessels posted revenue of $47.8 million in the period. _____ This story was ...
  • SEACOR Marine Announces Results for Its Third Quarter and Nine Months Ended September 30, 2017 Thu, 09 Nov 2017 21:05:00 +0000
    SEACOR Marine Holdings Inc. , a leading provider of global marine and support transportation services to offshore oil and gas exploration, development and production facilities worldwide, today announced results for its third quarter and nine months ended September 30, 2017.
  • SEACOR Marine Unveils New Fleet of Fast Support Vessels Mon, 23 Oct 2017 11:30:00 +0000
    Seacor Marine Holdings, Inc. is pleased to unveil the first of a new fleet of Fast Support Vessels , focused on enhanced passenger comfort and increased speed.
  • ETFs with exposure to Seacor Marine Holdings, Inc. : August 1, 2017 Tue, 01 Aug 2017 21:19:24 +0000
    Categories: ETFs Yahoo FinanceClick here to see latest analysis ETFs with exposure to Seacor Marine Holdings, Inc. Here are 5 ETFs with the largest exposure to SMHI-US. Comparing the performance and risk of Seacor Marine Holdings, Inc. with the ETFs that have exposure to it gives us some ETF choices that could give us similar returns with lower ... Read more (Read more...)
  • ETFs with exposure to Seacor Marine Holdings, Inc. : June 13, 2017 Tue, 13 Jun 2017 16:55:33 +0000
    Categories: ETFs Yahoo FinanceClick here to see latest analysis ETFs with exposure to Seacor Marine Holdings, Inc. Here are 5 ETFs with the largest exposure to SMHI-US. Comparing the performance and risk of Seacor Marine Holdings, Inc. with the ETFs that have exposure to it gives us some ETF choices that could give us similar returns with lower ... Read more (Read more...)
  • Seacor Marine Holdings, Inc. :SMHI-US: Earnings Analysis: 2016 By the Numbers : June 8, 2017 Thu, 08 Jun 2017 17:18:57 +0000
    Categories: Yahoo FinanceGet free summary analysis Seacor Marine Holdings, Inc. reports financial results for the year ended December 31, 2016. We analyze the earnings along side the following peers of Seacor Marine Holdings, Inc. – Westshore Terminals Investment Corporation (WTE-CA) that have also reported for this period. Highlights Gross margins narrowed from 8.45% to -4.34% compared to ... Read more (Read more...)

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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
SMHI EPS/Sales Growth SMHI vs. Peers

WAVE Life Sciences Ltd (WVE)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

3/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

67%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
61.32
Acc Dist
2.11
Disc
0.00%
Avg Vol
130,000
Liquidity
0.56%
Below High
9.30%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A   
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
5.00
Shares
27.8M
Instit
74%
3-Month Trends of Key Indicators:
Looks Like a Winner?
WVE looks better than most Top Picks Winners* in 3 out of 10 key factors.
Accum/Dist: 2.11 (median winner: 1.53)
Above 40wkMA: 59% (median winner: 35%)
Instit. Ownership: 74% (median winner: 63%)
Liquidity: 0.56% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 61.32 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 9.30% (winner: 3.30%)
Relative Strength: 95 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

  • 3 Biotech Stocks That Soared: Are They Buys? Sat, 18 Nov 2017 22:47:00 +0000
    Could Nektar Therapeutics, Wave Life Sciences, and Savara go even higher after huge gains this past week?
  • Wave Life Sciences reports 3Q loss Thu, 09 Nov 2017 13:06:02 +0000
    The Singapore-based company said it had a loss of 94 cents per share. The results met Wall Street expectations. The average estimate of three analysts surveyed by Zacks Investment Research was also for ...
  • Wave Life Sciences Reports Third Quarter 2017 Financial Results and Provides Business Update Thu, 09 Nov 2017 13:00:00 +0000
    Wave Life Sciences Ltd. , a biotechnology company focused on delivering transformational therapies for patients with serious, genetically-defined diseases, today announced financial results for the third quarter ended September 30, 2017.
  • Wave Life Sciences Ltd. breached its 50 day moving average in a Bearish Manner : WVE-US : November 8, 2017 Wed, 08 Nov 2017 15:51:55 +0000
    Categories: ETFs Yahoo FinanceGet full CapitalCube analysis *Disclaimer : This is as of previous day’s closing price. Technical Indicators Below is a quick look at 5 technical indicators for Wave Life Sciences Ltd.. More studies are available on the Technical Chart. Indicator Signal Closing Price above/below 50 Day Moving Average Bearish Closing Price above/below 200 Day Moving Average ... Read more (Read more...)
  • Wave Life Sciences Initiates Clinical Trial for Lead Program in Duchenne Muscular Dystrophy (DMD) Mon, 06 Nov 2017 12:00:00 +0000
    Wave Life Sciences Ltd. , a biotechnology company focused on delivering transformational therapies for patients with serious, genetically-defined diseases, today announced the initiation of a global Phase 1 clinical trial for WVE-210201 in Duchenne muscular dystrophy patients amenable to exon 51 skipping.
  • Wave Life Sciences Ltd. – Value Analysis (NASDAQ:WVE) : October 30, 2017 Mon, 30 Oct 2017 16:52:31 +0000
    Categories: Fundamental Analysis Yahoo FinanceClick here to see latest analysis Capitalcube gives Wave Life Sciences Ltd. a score of 20. Our analysis is based on comparing Wave Life Sciences Ltd. with the following peers – NextEra Energy, Inc., Exelon Corporation and E.ON SE Sponsored ADR (NEE-US, EXC-US and EONGY-US). Investment Outlook Wave Life Sciences Ltd. has a fundamental score ... Read more (Read more...)
  • Wave Life Sciences Unveils New Manufacturing Facility in Lexington, MA Thu, 26 Oct 2017 20:00:00 +0000
    Wave Life Sciences Ltd. , a biotechnology company focused on delivering transformational therapies for patients with serious, genetically-defined diseases, today announced the public opening of its new 90,000 square foot state-of-the-art manufacturing facility and office space in Lexington, Massachusetts.
  • ETFs with exposure to Wave Life Sciences Ltd. : October 23, 2017 Mon, 23 Oct 2017 15:17:14 +0000
    Categories: ETFs Yahoo FinanceClick here to see latest analysis ETFs with exposure to Wave Life Sciences Ltd. Here are 5 ETFs with the largest exposure to WVE-US. Comparing the performance and risk of Wave Life Sciences Ltd. with the ETFs that have exposure to it gives us some ETF choices that could give us similar returns with lower ... Read more (Read more...)
  • Wave Life Sciences to Present at the Jefferies Gene Technology Investor Summit Thu, 12 Oct 2017 11:00:00 +0000
    Wave Life Sciences Ltd. , a biotechnology company focused on delivering transformational therapies for patients with serious, genetically-defined diseases, today announced that Paul Bolno, M.D., MBA, President and Chief Executive Officer, will present at the Jefferies Gene Technology Investor Summit on Thursday, October 12, 2017 at 8:20 A.M.
  • ETFs with exposure to Wave Life Sciences Ltd. : September 1, 2017 Fri, 01 Sep 2017 02:11:51 +0000
    Categories: ETFs Yahoo FinanceClick here to see latest analysis ETFs with exposure to Wave Life Sciences Ltd. Here are 5 ETFs with the largest exposure to WVE-US. Comparing the performance and risk of Wave Life Sciences Ltd. with the ETFs that have exposure to it gives us some ETF choices that could give us similar returns with lower ... Read more (Read more...)

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
WVE EPS/Sales Growth WVE vs. Peers

Yangtze River Development Limit (YERR)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

4/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

3%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
60.60
Acc Dist
0.48
Disc
0.00%
Avg Vol
34,500
Liquidity
0.02%
Below High
37.22%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A   
EPS Growth
0%
Sls Growth
-100%
Proj Growth
N/A %
Anal. Rank
0.00
Shares
172M
Instit
0%
3-Month Trends of Key Indicators:
Looks Like a Winner?
YERR looks better than most Top Picks Winners* in 4 out of 10 key factors.
Accum/Dist: 0.48 (median winner: 1.53)
Above 40wkMA: 40% (median winner: 35%)
Instit. Ownership: 0% (median winner: 63%)
Liquidity: 0.02% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 60.60 (winner: 75.66)
Sales Growth: -100% (median winner: 28%)
Below 52wk High: 37.22% (winner: 3.30%)
Relative Strength: 99 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Wuhan Yangtze River Newport Logistics Co., Ltd. is a wholly-owned foreign enterprise established by Ricofeliz Capital (Hong Kong) Limited in Wuhan with a registered capital of RMB200 million. Its legal representative is Mr Zong Yu. The Company currently has over 80 employees mostly with broad expertise in construction planning and management, logistics and warehouse management, terminal handling, business management and other related fields.The Company is committed to provide office space, professional logistics, bonded logistics, waterways, railways, road transport, integrate and extend trans

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
YERR EPS/Sales Growth YERR vs. Peers

Voyager Therapeutics Inc (VYGR)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.1/1.0
Sales
Consistency

Sales Consistency Ranking

1.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

3/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

25%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
59.43
Acc Dist
0.99
Disc
0.00%
Avg Vol
624,400
Liquidity
2.35%
Below High
44.59%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
-157%  -95%
EPS Growth
0%
Sls Growth
0%
Proj Growth
N/A %
Anal. Rank
4.59
Shares
31.5M
Instit
36%
3-Month Trends of Key Indicators:
Looks Like a Winner?
VYGR looks better than most Top Picks Winners* in 3 out of 10 key factors.
Accum/Dist: 0.99 (median winner: 1.53)
Above 40wkMA: 15% (median winner: 35%)
Instit. Ownership: 36% (median winner: 63%)
Liquidity: 2.35% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 59.43 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 44.59% (winner: 3.30%)
Relative Strength: 92 (winner: 96)
Avg Qrtly EPS: -126% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Stock Research
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(Larger Charts. ATR=Average True Range)

Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
VYGR EPS/Sales Growth VYGR vs. Peers

CalAtlantic Group Inc (CAA)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.2/1.0
Sales
Consistency

Sales Consistency Ranking

0.6/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

8/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

6%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
59.29
Acc Dist
3.42
Disc
86.42%
Avg Vol
1,949,000
Liquidity
2.44%
Below High
0.44%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
-22%  -10%
EPS Growth
35%
Sls Growth
51%
Proj Growth
8.5%
Anal. Rank
2.50
Shares
110.3M
Instit
0%
3-Month Trends of Key Indicators:
Looks Like a Winner?
CAA looks better than most Top Picks Winners* in 8 out of 10 key factors.
Accum/Dist: 3.42 (median winner: 1.53)
Above 40wkMA: 44% (median winner: 35%)
Instit. Ownership: 0% (median winner: 63%)
Liquidity: 2.44% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 59.29 (winner: 75.66)
Sales Growth: 51% (median winner: 28%)
Below 52wk High: 0.44% (winner: 3.30%)
Relative Strength: 96 (winner: 96)
Avg Qrtly EPS: -16% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

With nearly 100 years of combined homebuilding experience, Ryland and Standard Pacific have merged to create CalAtlantic Homes. This monumental merger of two iconic homebuilding companies is a historic event, positioning the newly formed company as one of the nation’s largest homebuilder.

Yum China Holdings Inc (YUMC)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.1/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

1/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

1%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
58.29
Acc Dist
1.43
Disc
145.39%
Avg Vol
2,319,900
Liquidity
0.47%
Below High
6.50%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
0%  N/A%
EPS Growth
0%
Sls Growth
-2%
Proj Growth
11.5%
Anal. Rank
4.20
Shares
384M
Instit
88%
3-Month Trends of Key Indicators:
Looks Like a Winner?
YUMC looks better than most Top Picks Winners* in 1 out of 10 key factors.
Accum/Dist: 1.43 (median winner: 1.53)
Above 40wkMA: 12% (median winner: 35%)
Instit. Ownership: 88% (median winner: 63%)
Liquidity: 0.47% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 58.29 (winner: 75.66)
Sales Growth: -2% (median winner: 28%)
Below 52wk High: 6.50% (winner: 3.30%)
Relative Strength: 86 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

um China Holdings, Inc. is China’s leading restaurant company with a vision of making every life taste beautiful. From a single restaurant in 1987, the company now operates over 7,300 restaurants in 1,100 cities and towns spanning every province and autonomous region across mainland China. Yum China (YUMC) became an independent, publicly-traded business company on November 1, 2016. Following our separation from Yum! Brands, we now have the exclusive right to operate and sub-license the KFC, Pizza Hut and Taco Bell brands in China, and we own the East Dawning and Little Sheep concepts outright

  • Yum China Holdings, Inc. – Value Analysis (NYSE:YUMC) : November 24, 2017 Fri, 24 Nov 2017 16:41:27 +0000
    Categories: Fundamental Analysis Yahoo FinanceClick here to see latest analysis Capitalcube gives Yum China Holdings, Inc. a score of 54. Our analysis is based on comparing Yum China Holdings, Inc. with the following peers – Diversified Restaurant Holdings, Inc., Restaurant Brands International LP, Restaurant Brands International Inc and Prestige Holdings Limited (SAUC-US, RSTRF-US, QSR-US and PHL-TT). Investment Outlook Yum ... Read more (Read more...)
  • Yum China Holdings, Inc. breached its 50 day moving average in a Bearish Manner : YUMC-US : November 23, 2017 Thu, 23 Nov 2017 12:33:25 +0000
    Categories: ETFs Yahoo FinanceGet full CapitalCube analysis *Disclaimer : This is as of previous day’s closing price. Technical Indicators Below is a quick look at 5 technical indicators for Yum China Holdings, Inc.. More studies are available on the Technical Chart. Indicator Signal Closing Price above/below 50 Day Moving Average Bearish Closing Price above/below 200 Day Moving Average ... Read more (Read more...)
  • [$$] Fast Food Gets a Reboot in China: Tuna-Pesto Panini, Paid for by Facial Recognition Tue, 07 Nov 2017 05:30:28 +0000
    KFC is trying out healthier offerings and new technology in China as parent Yum China, the country’s biggest fast-food company, seeks to drive growth in a competitive market.
  • 4 Highlights From Yum China's 2017 Investor Day Sun, 29 Oct 2017 13:03:00 +0000
    The company hosted its its first investor day with soon-to-be CEO Joey Wat. Here are the high points from the presentation.
  • Trade of the Day: Yum! Brands, Inc. (YUM) Thu, 26 Oct 2017 13:05:30 +0000
    Yum! Brands, Inc. (NYSE:YUM) has enjoyed a bullish run in 2017 since spinning off Yum China Holdings Inc (NYSE:YUMC) at the end of 2016, but we think it’s reached the end of the road for this current trend. Competitors like Domino’s Pizza, Inc. (NYSE:DPZ) have announced slower same-store sales growth, and we expect the same for Yum! Brands. InvestorPlace advisers John Jagerson and S. Wade Hansen, both Chartered Market Technician (CMT) designees, are co-founders of LearningMarkets.com, as well as the co-editors of SlingShot Trader, a trading service designed to help you make options profits by trading the news.
  • Better Buy: Yum Brands or Yum China? Mon, 23 Oct 2017 23:50:00 +0000
    Which Yum company is the yummier pick for your portfolio?
  • One Year Later, Yum China Thrives After Its Spin-off Wed, 18 Oct 2017 20:42:00 +0000
    Healthy third-quarter earnings reinforce the rationale for splitting off from Yum! Brands last October.
  • Yum China Hosts Investor Day Outlining Strategies to Drive Growth Tue, 17 Oct 2017 21:30:00 +0000
    SHANGHAI , Oct. 17 , 2017 /PRNewswire/ -- Yum China Holdings, Inc. (the "Company" or " Yum China ") (NYSE: YUMC) will host its Investor Day in Shanghai, China today. Yum China's management ...
  • Edited Transcript of YUMC earnings conference call or presentation 6-Apr-17 12:00am GMT Tue, 17 Oct 2017 20:35:51 +0000
    Q1 2017 Yum China Holdings Inc Earnings Call
  • 5 Things Yum China Inc. Management Wants You to Know Sat, 14 Oct 2017 22:48:00 +0000
    Read on for invaluable insight from the Chinese fast food giant's latest quarterly call.

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
YUMC EPS/Sales Growth YUMC vs. Peers

Sientra Inc (SIEN)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.1/1.0
Sales
Consistency

Sales Consistency Ranking

0.1/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

2/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

10%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
57.72
Acc Dist
0.80
Disc
0.00%
Avg Vol
140,900
Liquidity
0.67%
Below High
14.33%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
-37%  -88%
EPS Growth
0%
Sls Growth
19%
Proj Growth
N/A %
Anal. Rank
4.50
Shares
19.4M
Instit
77%
3-Month Trends of Key Indicators:
Looks Like a Winner?
SIEN looks better than most Top Picks Winners* in 2 out of 10 key factors.
Accum/Dist: 0.80 (median winner: 1.53)
Above 40wkMA: 32% (median winner: 35%)
Instit. Ownership: 77% (median winner: 63%)
Liquidity: 0.67% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 57.72 (winner: 75.66)
Sales Growth: 19% (median winner: 28%)
Below 52wk High: 14.33% (winner: 3.30%)
Relative Strength: 96 (winner: 96)
Avg Qrtly EPS: -62% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Sientra, Inc. is a medical aesthetics company. The Company's primary products are silicone gel breast implants for use in breast augmentation and breast reconstruction procedures, which it offers in over 190 variations of shapes, sizes and textures. The Company sells its breast implants and breast tissue expanders, or breast products to plastic surgeons. Its breast implants are primarily used in elective procedures, which are generally performed on a cash-pay basis. TRUE Texture provides texturing on the implant shell that is designed to reduce the incidence of malposition, rotation and capsul

  • Edited Transcript of SIEN earnings conference call or presentation 7-Nov-17 9:30pm GMT Mon, 13 Nov 2017 23:55:57 +0000
    Q3 2017 Sientra Inc Earnings Call
  • Sientra Reports Third Quarter 2017 Financial Results Tue, 07 Nov 2017 21:01:00 +0000
    Completed Acquisition of Miramar Labs and Making Significant Progress with Integration. SANTA BARBARA, Calif., Nov. 07, 2017-- Sientra, Inc., a medical aesthetics company, today announced its financial ...
  • Sientra, Inc. to Host Earnings Call Tue, 07 Nov 2017 15:10:00 +0000
    NEW YORK, NY / ACCESSWIRE / November 7, 2017 / Sientra, Inc. (NASDAQ: SIEN ) will be discussing their earnings results in their Q3 Earnings Call to be held on November 7, 2017 at 4:30 PM Eastern Time. ...
  • Sientra® to Release Third Quarter 2017 Financial Results Fri, 03 Nov 2017 12:01:00 +0000
    Host Conference Call on Tuesday, November 7, 2017. Management to Participate at Three Upcoming Investor Conferences. SANTA BARBARA, Calif., Nov. 03, 2017-- Sientra, Inc., a medical aesthetics company, ...
  • ETFs with exposure to Sientra, Inc. : November 2, 2017 Thu, 02 Nov 2017 16:33:49 +0000
    Categories: ETFs Yahoo FinanceClick here to see latest analysis ETFs with exposure to Sientra, Inc. Here are 5 ETFs with the largest exposure to SIEN-US. Comparing the performance and risk of Sientra, Inc. with the ETFs that have exposure to it gives us some ETF choices that could give us similar returns with lower volatility. Ticker Fund Name ... Read more (Read more...)
  • Sientra Supports Reconstructive Breast Patients with Launch of Full Circle™ Grant Program and Revolutionary Portfolio of Tissue Expanders Fri, 06 Oct 2017 10:00:00 +0000
    SANTA BARBARA, Calif., Oct. 6, 2017 /PRNewswire/ -- Sientra, Inc. (SIEN), a medical aesthetics company, today announced that it is Expanding What's Possible through the launch of Full Circle™, a first-in-kind annual charitable program to support research of breast cancer prevention, detection, and treatment and elevate awareness among the breast cancer and breast reconstruction community. "We hear stories every day about how education and access to options help women reconstruct their bodies and their lives after difficult journeys, but we realize new sources of funding are critical," said Dr. Kamakshi R. Zeidler, founder of Aesthetx, a premier plastic and aesthetic surgery practice in Northern California.
  • ETFs with exposure to Sientra, Inc. : October 2, 2017 Mon, 02 Oct 2017 15:06:12 +0000
    Categories: ETFs Yahoo FinanceClick here to see latest analysis ETFs with exposure to Sientra, Inc. Here are 5 ETFs with the largest exposure to SIEN-US. Comparing the performance and risk of Sientra, Inc. with the ETFs that have exposure to it gives us some ETF choices that could give us similar returns with lower volatility. Ticker Fund Name ... Read more (Read more...)
  • ETFs with exposure to Sientra, Inc. : September 19, 2017 Tue, 19 Sep 2017 22:31:10 +0000
    Categories: ETFs Yahoo FinanceClick here to see latest analysis ETFs with exposure to Sientra, Inc. Here are 5 ETFs with the largest exposure to SIEN-US. Comparing the performance and risk of Sientra, Inc. with the ETFs that have exposure to it gives us some ETF choices that could give us similar returns with lower volatility. Ticker Fund Name ... Read more (Read more...)
  • Sientra, Inc. :SIEN-US: Earnings Analysis: Q2, 2017 By the Numbers : September 18, 2017 Mon, 18 Sep 2017 17:05:15 +0000
    Categories: Yahoo FinanceGet free summary analysis Sientra, Inc. reports financial results for the quarter ended June 30, 2017. We analyze the earnings along side the following peers of Sientra, Inc. – DENTSPLY SIRONA, Inc., Zimmer Biomet Holdings, Inc., West Pharmaceutical Services, Inc. and Glaukos Corp (XRAY-US, ZBH-US, WST-US and GKOS-US) that have also reported for this period. ... Read more (Read more...)
  • Edited Transcript of SIEN earnings conference call or presentation 9-Aug-17 8:30pm GMT Mon, 14 Aug 2017 06:16:20 +0000
    Q2 2017 Sientra Inc Earnings Call

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
SIEN EPS/Sales Growth SIEN vs. Peers

Sanchez Midstream Partners LP (SNMP)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.1/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

3/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

5%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
56.30
Acc Dist
1.62
Disc
0.00%
Avg Vol
31,300
Liquidity
0.24%
Below High
23.93%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
-111%  87%
EPS Growth
0%
Sls Growth
11%
Proj Growth
N/A %
Anal. Rank
4.59
Shares
14.8M
Instit
34%
3-Month Trends of Key Indicators:
Looks Like a Winner?
SNMP looks better than most Top Picks Winners* in 3 out of 10 key factors.
Accum/Dist: 1.62 (median winner: 1.53)
Above 40wkMA: -6% (median winner: 35%)
Instit. Ownership: 34% (median winner: 63%)
Liquidity: 0.24% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 56.30 (winner: 75.66)
Sales Growth: 11% (median winner: 28%)
Below 52wk High: 23.93% (winner: 3.30%)
Relative Strength: 74 (winner: 96)
Avg Qrtly EPS: -12% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Sanchez Midstream Partners LP (NYSE MKT: SNMP) is a publicly-traded limited partnership focused on the acquisition, development, ownership and operation of midstream and other energy related assets. The Partnership has ownership stakes in oil and natural gas gathering systems, natural gas pipelines, and a natural gas processing facility, all located in the Western Eagle Ford in South Texas.

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
SNMP EPS/Sales Growth SNMP vs. Peers

TCF Financial Corporation (TCF)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.2/1.0
Sales
Consistency

Sales Consistency Ranking

0.8/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

2/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

5%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
56.07
Acc Dist
2.63
Disc
82.42%
Avg Vol
1,062,000
Liquidity
0.61%
Below High
6.91%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
-10%  6%
EPS Growth
3%
Sls Growth
0%
Proj Growth
8.3%
Anal. Rank
2.89
Shares
172M
Instit
84%
3-Month Trends of Key Indicators:
Looks Like a Winner?
TCF looks better than most Top Picks Winners* in 2 out of 10 key factors.
Accum/Dist: 2.63 (median winner: 1.53)
Above 40wkMA: 12% (median winner: 35%)
Instit. Ownership: 84% (median winner: 63%)
Liquidity: 0.61% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 56.07 (winner: 75.66)
Sales Growth: 0% (median winner: 28%)
Below 52wk High: 6.91% (winner: 3.30%)
Relative Strength: 79 (winner: 96)
Avg Qrtly EPS: -2% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

TCF Bank offers personal checking and savings accounts, business checking and savings accounts and much more.

  • TCF Financial Corp. : TCF-US: Dividend Analysis : November 15th, 2017 (record date) : By the numbers : November 14, 2017 Tue, 14 Nov 2017 18:13:28 +0000
    Categories: Yahoo FinanceGet free summary analysis Our analysis is based on comparing TCF Financial Corp. with the following peers – Wintrust Financial Corporation, Commerce Bancshares, Inc., Huntington Bancshares Incorporated, Fifth Third Bancorp, Associated Banc-Corp, Zions Bancorporation, Old National Bancorp, PNC Financial Services Group, Inc., BOK Financial Corporation and Wells Fargo & Company (WTFC-US, CBSH-US, HBAN-US, FITB-US, ASB-US, ... Read more (Read more...)
  • TCF Bank Signs Definitive Agreement to Acquire Rubicon Mortgage Advisors Mon, 30 Oct 2017 20:20:00 +0000
    TCF National Bank , a subsidiary of TCF Financial Corporation , today announced that it has signed a definitive agreement to acquire Rubicon Mortgage Advisors, LLC , a residential mortgage lender with offices in Minnesota and North Dakota and licenses to operate in South Dakota, Wisconsin, Colorado and California.
  • TCF Reports Quarterly Net Income of $60.5 Million, or 29 Cents Per Share Fri, 27 Oct 2017 12:00:00 +0000
    TCF Financial Corporation :
  • TCF Financial Corporation to Host Earnings Call Fri, 27 Oct 2017 11:10:00 +0000
    NEW YORK, NY / ACCESSWIRE / October 27, 2017 / TCF Financial Corporation (NYSE: TCF ) will be discussing their earnings results in their Q3 Earnings Call to be held on October 27, 2017 at 10:00 AM Eastern ...
  • TCF Declares Quarterly Cash Dividends Wed, 18 Oct 2017 22:30:00 +0000
    The Board of Directors of TCF Financial Corporation today declared quarterly cash dividends on TCF’s common shares, 6.45% Series B Non-Cumulative Perpetual Preferred Stock and 5.70% Series C Non-Cumulative Perpetual Preferred Stock.
  • TCF to Announce Third Quarter 2017 Earnings and Host Conference Call on Friday, October 27, 2017 Tue, 17 Oct 2017 20:19:00 +0000
    TCF Financial Corporation today announced it will release its third quarter 2017 earnings results before the market opens on Friday, October 27, 2017. Craig R. Dahl, chairman and chief executive officer, will host a conference call to discuss the results at 9:00 a.m.
  • TCF Bank Raises $60,000 for Make-A-Wish Minnesota Mon, 16 Oct 2017 14:15:00 +0000
    TCF National Bank , a subsidiary of TCF Financial Corporation , today announces that it raised more than $60,000 in 2017 for Make-A-Wish Minnesota to help make wishes a reality for children with critical illnesses.
  • TCF Announces Redemption of Series A Depositary Shares Fri, 15 Sep 2017 13:04:00 +0000
    TCF Financial Corporation today announced that it has submitted a redemption notice to Computershare Inc. and Computershare Trust Company, N.A. for the full redemption of all 6,900 issued and outstanding shares of Series A Non-Cumulative Perpetual Preferred Stock and all 6,900,000 issued and outstanding shares of the related depositary shares, each representing a 1/1,000th interest in a share of the ...
  • TCF Financial Corp. : TCF-US: Dividend Analysis : August 15th, 2017 (record date) : By the numbers : September 14, 2017 Thu, 14 Sep 2017 19:15:06 +0000
    Categories: Yahoo FinanceGet free summary analysis Our analysis is based on comparing TCF Financial Corp. with the following peers – Wintrust Financial Corporation, Commerce Bancshares, Inc., Huntington Bancshares Incorporated, Fifth Third Bancorp, Associated Banc-Corp, Old National Bancorp, Zions Bancorporation, PNC Financial Services Group, Inc., U.S. Bancorp and BOK Financial Corporation (WTFC-US, CBSH-US, HBAN-US, FITB-US, ASB-US, ONB-US, ZION-US, ... Read more (Read more...)
  • See what the IHS Markit Score report has to say about TCF Financial Corp. Mon, 11 Sep 2017 12:04:40 +0000
    TCF Financial Corp NYSE:TCF

Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr
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Daily-1 Yr (opens in new window)
(Larger Charts. ATR=Average True Range)

Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
TCF EPS/Sales Growth TCF vs. Peers

Spring Bank Pharmaceuticals Inc (SBPH)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

2/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

11%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
54.97
Acc Dist
1.06
Disc
0.00%
Avg Vol
45,400
Liquidity
0.35%
Below High
19.23%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A   
EPS Growth
0%
Sls Growth
-63%
Proj Growth
N/A %
Anal. Rank
5.00
Shares
13M
Instit
30%
3-Month Trends of Key Indicators:
Looks Like a Winner?
SBPH looks better than most Top Picks Winners* in 2 out of 10 key factors.
Accum/Dist: 1.06 (median winner: 1.53)
Above 40wkMA: 16% (median winner: 35%)
Instit. Ownership: 30% (median winner: 63%)
Liquidity: 0.35% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 54.97 (winner: 75.66)
Sales Growth: -63% (median winner: 28%)
Below 52wk High: 19.23% (winner: 3.30%)
Relative Strength: 94 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Spring Bank is devoted to pioneering its revolutionary SMNH chemistry platform to discover and develop a new generation of medicines to improve the lives of patients worldwide

Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr
Daily-6Mo w/2-ATR Stops 3-ATR 4-ATR
Daily-1 Yr (opens in new window)
(Larger Charts. ATR=Average True Range)

Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
SBPH EPS/Sales Growth SBPH vs. Peers

Welbilt Inc (WBT)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.2/1.0
Sales
Consistency

Sales Consistency Ranking

0.1/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

1/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

5%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
54.67
Acc Dist
1.01
Disc
185.60%
Avg Vol
934,800
Liquidity
0.67%
Below High
6.44%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
33%  91%
EPS Growth
0%
Sls Growth
-4%
Proj Growth
10%
Anal. Rank
3.93
Shares
139M
Instit
92%
3-Month Trends of Key Indicators:
Looks Like a Winner?
WBT looks better than most Top Picks Winners* in 1 out of 10 key factors.
Accum/Dist: 1.01 (median winner: 1.53)
Above 40wkMA: 9% (median winner: 35%)
Instit. Ownership: 92% (median winner: 63%)
Liquidity: 0.67% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 54.67 (winner: 75.66)
Sales Growth: -4% (median winner: 28%)
Below 52wk High: 6.44% (winner: 3.30%)
Relative Strength: 80 (winner: 96)
Avg Qrtly EPS: 62% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

With a heritage spanning over 70 years, Welbilt is a leading global supplier of commercial foodservice equipment. Our broad, award-winning hot- and cold-side product portfolio includes many of the strongest brands in the industry. We count among our customers some of the largest foodservice providers in the world. Restaurants and other foodservice providers are demanding more from their equipment to help them reduce waste, lower costs and deliver a better meal to their customers. Welbilt is well positioned to benefit from these and other important trends, with a culture of innovation that cons

Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr
Daily-6Mo w/2-ATR Stops 3-ATR 4-ATR
Daily-1 Yr (opens in new window)
(Larger Charts. ATR=Average True Range)

Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
WBT EPS/Sales Growth WBT vs. Peers

Versum Materials Inc (VSM)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.0/1.0
Sales
Consistency

Sales Consistency Ranking

0.8/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

2/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

6%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
53.70
Acc Dist
1.50
Disc
71.82%
Avg Vol
432,200
Liquidity
0.35%
Below High
6.47%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
-4%
Proj Growth
11%
Anal. Rank
4.03
Shares
109M
Instit
92%
3-Month Trends of Key Indicators:
Looks Like a Winner?
VSM looks better than most Top Picks Winners* in 2 out of 10 key factors.
Accum/Dist: 1.50 (median winner: 1.53)
Above 40wkMA: 17% (median winner: 35%)
Instit. Ownership: 92% (median winner: 63%)
Liquidity: 0.35% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 53.70 (winner: 75.66)
Sales Growth: -4% (median winner: 28%)
Below 52wk High: 6.47% (winner: 3.30%)
Relative Strength: 88 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Versum helps the world’s biggest tech companies stretch the boundaries of science and technology – bringing cutting-edge innovations to market.

Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr
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Daily-1 Yr (opens in new window)
(Larger Charts. ATR=Average True Range)

Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
VSM EPS/Sales Growth VSM vs. Peers

Culp Inc (CULP)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.3/1.0
Sales
Consistency

Sales Consistency Ranking

0.0/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

1/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

18%
Group
Action

Group Action Ranking

1
"Must Have"/Timing Factors
GSA
47.73
Acc Dist
1.30
Disc
0.00%
Avg Vol
21,600
Liquidity
0.14%
Below High
17.38%
Group Action
1
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
-7%  69%
EPS Growth
26%
Sls Growth
4%
Proj Growth
N/A %
Anal. Rank
3.75
Shares
12.4M
Instit
98%
3-Month Trends of Key Indicators:
Looks Like a Winner?
CULP looks better than most Top Picks Winners* in 1 out of 10 key factors.
Accum/Dist: 1.30 (median winner: 1.53)
Above 40wkMA: -1% (median winner: 35%)
Instit. Ownership: 98% (median winner: 63%)
Liquidity: 0.14% (median winner: 1.18%)
Group Action: 1 (median winner: 20)
GSA Rank: 47.73 (winner: 75.66)
Sales Growth: 4% (median winner: 28%)
Below 52wk High: 17.38% (winner: 3.30%)
Relative Strength: 71 (winner: 96)
Avg Qrtly EPS: 31% (median winner: 68%)
Industry Group: 1. Not Available

Instit.   Insiders   Yahoo   Zacks   MSN   Google Finance   Daily Charts   Web Site

Culp, Inc. manufacturers, sources, and markets mattress fabrics and sewn covers used for covering mattresses and foundations and other bedding products; and upholstery fabrics, including cut and sewn kits, primarily used in production of upholstered furniture. The company competes in a fashion-driven business, and we strive to differentiate ourselves by placing sustained focus on product innovation and creativity. In addition, Culp places great emphasis on providing creative designs, along with excellent and dependable service to our customers. Our focused efforts to protect our financial str

  • Culp, Inc. to Broadcast Second Quarter Fiscal 2018 Conference Call Live on the Internet Wed, 22 Nov 2017 15:00:00 +0000
    HIGH POINT, N.C., Nov. 22, 2017-- Culp, Inc., today announced that it will provide an online, real-time webcast and rebroadcast of its second quarter fiscal 2018 conference call on Friday, December 1, ...
  • Culp, Inc. breached its 50 day moving average in a Bullish Manner : CULP-US : November 21, 2017 Tue, 21 Nov 2017 12:39:17 +0000
    Categories: ETFs Yahoo FinanceGet full CapitalCube analysis *Disclaimer : This is as of previous day’s closing price. Technical Indicators Below is a quick look at 5 technical indicators for Culp, Inc.. More studies are available on the Technical Chart. Indicator Signal Closing Price above/below 50 Day Moving Average Bullish Closing Price above/below 200 Day Moving Average Bullish 50 ... Read more (Read more...)
  • Triad manufacturer nixes plans to buy Chinese firm Thu, 26 Oct 2017 10:45:10 +0000
    High Point-based Culp Inc. has confirmed that previous plans to acquire a Chinese mattress fabrics company are no longer moving forward. The company (CULP) said in September it had a non-binding letter of intent for the proposed acquisition of an undisclosed mattress fabrics business in China that generated about $12 million annually. Bowling added that there was not a strong commitment from the management team to remain with the Chinese company once the deal was complete.
  • Culp, Inc. Provides Update on Acquisition Activities Tue, 24 Oct 2017 20:30:00 +0000
    Culp, Inc. today provided an update on the company’s acquisition activities. Franklin N. Saxon, president and chief executive officer of Culp, Inc., reported, “We previously announced a non-binding letter of intent for a proposed acquisition of a mattress fabrics business in China.
  • Culp, Inc. : CULP-US: Dividend Analysis : October 02nd, 2017 (record date) : By the numbers : October 17, 2017 Tue, 17 Oct 2017 13:03:47 +0000
    Categories: Yahoo FinanceGet free summary analysis Our analysis is based on comparing Culp, Inc. with the following peers – Albany International Corp. Class A, Unifi, Inc., Crown Crafts, Inc., Flexsteel Industries, Inc., Leggett & Platt, Incorporated, Tempur Sealy International Inc and LaZBoy Incorporated (AIN-US, UFI-US, CRWS-US, FLXS-US, LEG-US, TPX-US and LZB-US). Culp, Inc.’s dividend yield is 1.68 ... Read more (Read more...)
  • Culp, Inc. breached its 50 day moving average in a Bullish Manner : CULP-US : September 18, 2017 Mon, 18 Sep 2017 13:36:12 +0000
    Categories: ETFs Yahoo FinanceGet full CapitalCube analysis *Disclaimer : This is as of previous day’s closing price. Technical Indicators Below is a quick look at 5 technical indicators for Culp, Inc.. More studies are available on the Technical Chart. Indicator Signal Closing Price above/below 50 Day Moving Average Bullish Closing Price above/below 200 Day Moving Average Bearish 50 ... Read more (Read more...)
  • Culp, Inc. :CULP-US: Earnings Analysis: Q1, 2018 By the Numbers : September 11, 2017 Mon, 11 Sep 2017 19:33:34 +0000
    Categories: Yahoo FinanceGet free summary analysis Culp, Inc. reports financial results for the quarter ended July 31, 2017. We analyze the earnings along side the following peers of Culp, Inc. – Albany International Corp. Class A, Unifi, Inc., Crown Crafts, Inc., Flexsteel Industries, Inc., Leggett & Platt, Incorporated, Tempur Sealy International Inc and LaZBoy Incorporated (AIN-US, UFI-US, ... Read more (Read more...)
  • Culp misses Street 1Q forecasts Fri, 01 Sep 2017 00:03:53 +0000
    The High Point, North Carolina-based company said it had net income of 40 cents per share. The results fell short of Wall Street expectations. The average estimate of three analysts surveyed by Zacks Investment ...
  • Culp Announces Results for First Quarter Fiscal 2018 Wed, 30 Aug 2017 20:15:00 +0000
    Culp, Inc. today reported financial and operating results for the first quarter ended July 30, 2017.
  • Culp, Inc. :CULP-US: Earnings Analysis: Q4, 2017 By the Numbers : July 18, 2017 Tue, 18 Jul 2017 14:03:49 +0000
    Categories: Yahoo FinanceGet free summary analysis Culp, Inc. reports financial results for the quarter ended April 30, 2017. We analyze the earnings along side the following peers of Culp, Inc. – LaZBoy Incorporated (LZB-US) that have also reported for this period. Highlights Summary numbers: Revenues of USD 77.35 million, Net Earnings of USD 6.20 million. Gross margins ... Read more (Read more...)

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%

Quarterly EPS GrowthQuarterly Sales Growth
CULP EPS/Sales Growth CULP vs. Peers



*Winners defined as our Top Picks that increased 20% or more within a 6-month period.
Red Letters imply that that particular criteria did not meet minimum requirements, e.g., a low GSA Rank would show it in red.
___ Red Line On Graph Shows a Trailing Stop Loss Based on Support and Resistance Levels. See how it works.
___ Blue Line On Graph Shows the 10-Week Moving Average.
___ Magenta Line On Graph Shows the 40-Week Moving Average.
Disclaimer The stock selections in our stock investing and stock trading database are not stock recommendations, but simply represent applications of a stock investing process. All materials, including our Top Stock Picks, are provided for information purposes only and should not be used or construed as an offer to sell, a solicitation of an offer to buy, or a recommendation for any security. Growth Stock Analytics, LLC is not responsible for gains/losses that may result in investing or trading in these securities. All information is believed to be obtained from reliable sources, but there is no guarantee that the information supplied is accurate, complete or timely. There is no guarantee or warranty with regard to the results obtained from its use. There is no guarantee of suitability or potential value of any particular investment or information source. You acknowledge that your requests for this information are unsolicited and shall neither constitute nor be considered investment advice. Past investing performance is not an indication of future performance results. Investing and trading in stocks is risky. Investors are encouraged to consult a registered stock broker or investment adviser before making any investing decisions. The interpretations and opinions expressed herein are solely those of Growth Stock Analytics, LLC, and not of any other individual or organization.
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