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Universal Travel Group (UTA) $12.25 +0.25 on 61% avg vol. 10/2/2009 4:00pm
Vital Signs
GSA Rank
Earnings Consistency
Sales Consistency
Looks Like A Past Winner?
Investor Sentiment
Entry Risk Above Support
Group Action Today
"Must Have"/Timing Factors
GSA 59.34
Acc Dist 1.18
Disc 0.00%
Avg Vol 574,200
Liquidity 2.84%
Below High 28.78%
Group Action 57
3-Month Trends of Key Indicators:
Accumulation Distribution UTA's A/D rank is 1.18. A number more than 1.0 indicates accumulation. Our past Top Picks Winners* had a median A/D rank of 1.52.
Liquidity UTA's liquidity is 2.84%. A number less than 0.5% is associated with large bid-ask spreads and error-prone chart patterns. Our past Top Picks Winners* had a median liquidity of 1.48%.
Industry Group Action UTA is in a top 57 group. We normally want to see stocks belonging to a Top 40 group. Our past Top Picks Winners* had a median group rank of 15.
Fundamental/Technical Factors
Qrtly EPS 6% 42%
EPS Growth 45%
Sls Growth 65%
Proj Growth N/A %
Anal. Rank 0.00
Shares 13.7M
Instit 14%
3-Month Trends of Key Indicators:
EPS Analysis Last Quarter: 6% ($0.18 v $0.17), Prior Quarter: 42% ($0.17 v $0.12). UTA's average EPS growth in the last two quarters was 24%. Our past Top Picks Winners* had a median quarterly EPS of 100%. On a scale of 0 to 1, consistency of earnings was 0.15.
Sales Analysis Last Quarter: 56% ($18M v 12M), Prior Quarter: 121% ($16M v $7M). UTA's average sales growth in the last three years was 65%. Our past Top Picks Winners* had a median quarterly sales growth of 53%. On a scale of 0 to 1, consistency of sales was 0.43.
Institutional Holdings UTA's institutional holdings are at 14%. Anything more than 70%-80% is too much ownership. Our past Top Picks Winners* had median institutional holdings of 41%.
Looks Like a Winner?
UTA looks better than most Top Picks Winners* in 5 out of 10 key factors.
Ctrip.com (CTRP) $55.85 -0.42 on 44% avg vol. 10/2/2009 4:00pm
Vital Signs
GSA Rank
Earnings Consistency
Sales Consistency
Looks Like A Past Winner?
Investor Sentiment
Entry Risk Above Support
Group Action Today
"Must Have"/Timing Factors
GSA 57.03
Acc Dist 1.21
Disc 123.84%
Avg Vol 1,089,300
Liquidity 1.61%
Below High 8.95%
Group Action 57
3-Month Trends of Key Indicators:
Accumulation Distribution CTRP's A/D rank is 1.21. A number more than 1.0 indicates accumulation. Our past Top Picks Winners* had a median A/D rank of 1.52.
Liquidity CTRP's liquidity is 1.61%. A number less than 0.5% is associated with large bid-ask spreads and error-prone chart patterns. Our past Top Picks Winners* had a median liquidity of 1.48%.
Industry Group Action CTRP is in a top 57 group. We normally want to see stocks belonging to a Top 40 group. Our past Top Picks Winners* had a median group rank of 15.
Fundamental/Technical Factors
Qrtly EPS -4% 33%
EPS Growth 45%
Sls Growth 44%
Proj Growth 20.6%
Anal. Rank 4.00
Shares 66.9M
Instit 150%
3-Month Trends of Key Indicators:
EPS Analysis Last Quarter: -4% ($0.46 v $0.48), Prior Quarter: 33% ($0.52 v $0.39). CTRP's average EPS growth in the last two quarters was 15%. Our past Top Picks Winners* had a median quarterly EPS of 100%. On a scale of 0 to 1, consistency of earnings was 0.73.
Sales Analysis Last Quarter: 15% ($54M v 47M), Prior Quarter: 30% ($55M v $42M). CTRP's average sales growth in the last three years was 44%. Our past Top Picks Winners* had a median quarterly sales growth of 53%. On a scale of 0 to 1, consistency of sales was 0.95.
Institutional Holdings CTRP's institutional holdings are at 150%. Anything more than 70%-80% is too much ownership. Our past Top Picks Winners* had median institutional holdings of 41%.
Looks Like a Winner?
CTRP looks better than most Top Picks Winners* in 4 out of 10 key factors.
Emergency Medical Services Corp (EMS) $47.52 -0.11 on 58% avg vol. 10/2/2009 4:01pm
Vital Signs
GSA Rank
Earnings Consistency
Sales Consistency
Looks Like A Past Winner?
Investor Sentiment
Entry Risk Above Support
Group Action Today
"Must Have"/Timing Factors
GSA 50.16
Acc Dist 2.30
Disc 22.79%
Avg Vol 328,500
Liquidity 0.63%
Below High 4.08%
Group Action 57
3-Month Trends of Key Indicators:
Accumulation Distribution EMS's A/D rank is 2.30. A number more than 1.0 indicates accumulation. Our past Top Picks Winners* had a median A/D rank of 1.52.
Liquidity EMS's liquidity is 0.63%. A number less than 0.5% is associated with large bid-ask spreads and error-prone chart patterns. Our past Top Picks Winners* had a median liquidity of 1.48%.
Industry Group Action EMS is in a top 57 group. We normally want to see stocks belonging to a Top 40 group. Our past Top Picks Winners* had a median group rank of 15.
Fundamental/Technical Factors
Qrtly EPS 57% 39%
EPS Growth 46%
Sls Growth 13%
Proj Growth 15.7%
Anal. Rank 4.00
Shares 42.8M
Instit 56%
3-Month Trends of Key Indicators:
EPS Analysis Last Quarter: 57% ($0.69 v $0.44), Prior Quarter: 39% ($0.57 v $0.41). EMS's average EPS growth in the last two quarters was 48%. Our past Top Picks Winners* had a median quarterly EPS of 100%. On a scale of 0 to 1, consistency of earnings was 0.65.
Sales Analysis Last Quarter: 12% ($637M v 571M), Prior Quarter: 8% ($613M v $566M). EMS's average sales growth in the last three years was 13%. Our past Top Picks Winners* had a median quarterly sales growth of 53%. On a scale of 0 to 1, consistency of sales was 0.70.
Institutional Holdings EMS's institutional holdings are at 56%. Anything more than 70%-80% is too much ownership. Our past Top Picks Winners* had median institutional holdings of 41%.
Looks Like a Winner?
EMS looks better than most Top Picks Winners* in 3 out of 10 key factors.
Accumulation Distribution SFLY's A/D rank is 1.10. A number more than 1.0 indicates accumulation. Our past Top Picks Winners* had a median A/D rank of 1.52.
Liquidity SFLY's liquidity is 0.85%. A number less than 0.5% is associated with large bid-ask spreads and error-prone chart patterns. Our past Top Picks Winners* had a median liquidity of 1.48%.
Industry Group Action SFLY is in a top 57 group. We normally want to see stocks belonging to a Top 40 group. Our past Top Picks Winners* had a median group rank of 15.
Fundamental/Technical Factors
Qrtly EPS N/A% N/A%
EPS Growth -72%
Sls Growth 14%
Proj Growth 18%
Anal. Rank 4.00
Shares 25.5M
Instit 84%
3-Month Trends of Key Indicators:
EPS Analysis Last Quarter: N/A% ($ -0.22 v $-0.16), Prior Quarter: N/A% ($-0.25 v $-0.15). SFLY's average EPS growth in the last two quarters was N/A%. Our past Top Picks Winners* had a median quarterly EPS of 100%. On a scale of 0 to 1, consistency of earnings was 0.01.
Sales Analysis Last Quarter: 10% ($39M v 35M), Prior Quarter: 5% ($36M v $34M). SFLY's average sales growth in the last three years was 14%. Our past Top Picks Winners* had a median quarterly sales growth of 53%. On a scale of 0 to 1, consistency of sales was 0.05.
Institutional Holdings SFLY's institutional holdings are at 84%. Anything more than 70%-80% is too much ownership. Our past Top Picks Winners* had median institutional holdings of 41%.
Looks Like a Winner?
SFLY looks better than most Top Picks Winners* in 3 out of 10 key factors.
Accumulation Distribution MNRO's A/D rank is 1.56. A number more than 1.0 indicates accumulation. Our past Top Picks Winners* had a median A/D rank of 1.52.
Liquidity MNRO's liquidity is 1.50%. A number less than 0.5% is associated with large bid-ask spreads and error-prone chart patterns. Our past Top Picks Winners* had a median liquidity of 1.48%.
Industry Group Action MNRO is in a top 57 group. We normally want to see stocks belonging to a Top 40 group. Our past Top Picks Winners* had a median group rank of 15.
Fundamental/Technical Factors
Qrtly EPS 14% 60%
EPS Growth 24%
Sls Growth 8%
Proj Growth 17.5%
Anal. Rank 4.00
Shares 19.5M
Instit 97%
3-Month Trends of Key Indicators:
EPS Analysis Last Quarter: 14% ($0.48 v $0.42), Prior Quarter: 60% ($0.16 v $0.1). MNRO's average EPS growth in the last two quarters was 37%. Our past Top Picks Winners* had a median quarterly EPS of 100%. On a scale of 0 to 1, consistency of earnings was 0.01.
Sales Analysis Last Quarter: 6% ($128M v 120M), Prior Quarter: 9% ($117M v $107M). MNRO's average sales growth in the last three years was 8%. Our past Top Picks Winners* had a median quarterly sales growth of 53%. On a scale of 0 to 1, consistency of sales was 0.68.
Institutional Holdings MNRO's institutional holdings are at 97%. Anything more than 70%-80% is too much ownership. Our past Top Picks Winners* had median institutional holdings of 41%.
Looks Like a Winner?
MNRO looks better than most Top Picks Winners* in 4 out of 10 key factors.
*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.
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___ Blue Line On Graph Shows the 10-Week Moving Average.
___ Magenta Line On Graph Shows the 40-Week Moving Average.
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