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iShares MSCI Singapore Index (EWS) $10.38 -0.11 on 172% avg vol. 10/2/2009 4:00pm
Vital Signs
GSA Rank
Earnings Consistency
Sales Consistency
Looks Like A Past Winner?
Investor Sentiment
Entry Risk Above Support
Group Action Today
"Must Have"/Timing Factors
GSA 61.48
Acc Dist 0.84
Disc 0.00%
Avg Vol 3,325,000
Liquidity 0.00%
Below High 4.68%
Group Action 1
3-Month Trends of Key Indicators:
Accumulation Distribution EWS's A/D rank is 0.84. A number more than 1.0 indicates accumulation. Our past Top Picks Winners* had a median A/D rank of 1.52.
Liquidity EWS's liquidity is 0.00%. A number less than 0.5% is associated with large bid-ask spreads and error-prone chart patterns. Our past Top Picks Winners* had a median liquidity of 1.48%.
Industry Group Action EWS is in a top 1 group. We normally want to see stocks belonging to a Top 40 group. Our past Top Picks Winners* had a median group rank of 15.
Fundamental/Technical Factors
Qrtly EPS N/A% N/A%
EPS Growth 0%
Sls Growth 0%
Proj Growth N/A %
Anal. Rank 0.00
Shares 0M
Instit 0%
3-Month Trends of Key Indicators:
EPS Analysis Last Quarter: N/A% ($ NA v $NA), Prior Quarter: N/A% ($NA v $NA). EWS'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 0.02.
Sales Analysis Last Quarter: -100% ($0M v 0M), Prior Quarter: -100% ($0M v $0M). EWS's average sales growth in the last three years was 0%. Our past Top Picks Winners* had a median quarterly sales growth of 53%. On a scale of 0 to 1, consistency of sales was 0.00.
Institutional Holdings EWS's institutional holdings are at 0%. Anything more than 70%-80% is too much ownership. Our past Top Picks Winners* had median institutional holdings of 41%.
Looks Like a Winner?
EWS looks better than most Top Picks Winners* in 5 out of 10 key factors.
Accumulation Distribution CTSH's A/D rank is 1.47. A number more than 1.0 indicates accumulation. Our past Top Picks Winners* had a median A/D rank of 1.52.
Liquidity CTSH's liquidity is 1.20%. 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 CTSH is in a top 4 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 33% 11%
EPS Growth 23%
Sls Growth 26%
Proj Growth 18.1%
Anal. Rank 4.00
Shares 293.2M
Instit 93%
3-Month Trends of Key Indicators:
EPS Analysis Last Quarter: 33% ($0.48 v $0.36), Prior Quarter: 11% ($0.39 v $0.35). CTSH's average EPS growth in the last two quarters was 22%. Our past Top Picks Winners* had a median quarterly EPS of 100%. On a scale of 0 to 1, consistency of earnings was 0.90.
Sales Analysis Last Quarter: 13% ($777M v 685M), Prior Quarter: 16% ($746M v $643M). CTSH's average sales growth in the last three years was 26%. Our past Top Picks Winners* had a median quarterly sales growth of 53%. On a scale of 0 to 1, consistency of sales was 0.96.
Institutional Holdings CTSH's institutional holdings are at 93%. Anything more than 70%-80% is too much ownership. Our past Top Picks Winners* had median institutional holdings of 41%.
Looks Like a Winner?
CTSH looks better than most Top Picks Winners* in 4 out of 10 key factors.
Cognizant (NASDAQ: CTSH) is a leading provider of information technology, consulting, and business process outsourcing services headquartered in Teaneck, NJ. Cognizants single-minded passion is to dedicate our global technology and innovation know-how, our industry expertise and worldwide resources to working together with clients to make their businesses stronger.
Hecla Mining Co (HL) $4.06 -0.07 on 93% 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 58.54
Acc Dist 1.71
Disc -1414.29%
Avg Vol 10,470,500
Liquidity 5.45%
Below High 19.44%
Group Action 59
3-Month Trends of Key Indicators:
Accumulation Distribution HL's A/D rank is 1.71. A number more than 1.0 indicates accumulation. Our past Top Picks Winners* had a median A/D rank of 1.52.
Liquidity HL's liquidity is 5.45%. 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 HL is in a top 59 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% -80%
EPS Growth 21%
Sls Growth 27%
Proj Growth 7.5%
Anal. Rank 3.50
Shares 236.5M
Instit 48%
3-Month Trends of Key Indicators:
EPS Analysis Last Quarter: N/A% ($0 v $-0.35), Prior Quarter: -80% ($0.02 v $0.1). HL's average EPS growth in the last two quarters was -80%. Our past Top Picks Winners* had a median quarterly EPS of 100%. On a scale of 0 to 1, consistency of earnings was 0.23.
Sales Analysis Last Quarter: 11% ($75M v 68M), Prior Quarter: 46% ($55M v $38M). HL's average sales growth in the last three years was 27%. Our past Top Picks Winners* had a median quarterly sales growth of 53%. On a scale of 0 to 1, consistency of sales was 0.32.
Institutional Holdings HL's institutional holdings are at 48%. Anything more than 70%-80% is too much ownership. Our past Top Picks Winners* had median institutional holdings of 41%.
Looks Like a Winner?
HL looks better than most Top Picks Winners* in 5 out of 10 key factors.
Hecla Mining Company mines and processes silver, gold, lead and zinc in the United States, Mexico and Venezuela. Established in 1891, our companys rich history of mining has distinguished us as a respected precious metals producer.
Accumulation Distribution MEND's A/D rank is 2.71. A number more than 1.0 indicates accumulation. Our past Top Picks Winners* had a median A/D rank of 1.52.
Liquidity MEND's liquidity is 0.46%. A number less than 0.5% is associated with large bid-ask spreads and error-prone chart patterns. Our past Top Picks Winners* had a median liquidity of 1.48%.
Industry Group Action MEND is in a top 16 group. We normally want to see stocks belonging to a Top 40 group. Our past Top Picks Winners* had a median group rank of 15.
Fundamental/Technical Factors
Qrtly EPS N/A% N/A%
EPS Growth -98%
Sls Growth 15%
Proj Growth 43.5%
Anal. Rank 4.00
Shares 15.8M
Instit 72%
3-Month Trends of Key Indicators:
EPS Analysis Last Quarter: N/A% ($ 0.14 v $-0.42), Prior Quarter: N/A% ($0.04 v $-0.4). MEND'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 0.29.
Sales Analysis Last Quarter: 16% ($21M v 18M), Prior Quarter: 6% ($21M v $20M). MEND's average sales growth in the last three years was 15%. Our past Top Picks Winners* had a median quarterly sales growth of 53%. On a scale of 0 to 1, consistency of sales was 0.62.
Institutional Holdings MEND's institutional holdings are at 72%. Anything more than 70%-80% is too much ownership. Our past Top Picks Winners* had median institutional holdings of 41%.
Looks Like a Winner?
MEND looks better than most Top Picks Winners* in 5 out of 10 key factors.
Accumulation Distribution ASA's A/D rank is 0.98. A number more than 1.0 indicates accumulation. Our past Top Picks Winners* had a median A/D rank of 1.52.
Liquidity ASA's liquidity is 0.95%. 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 ASA is in a top 0 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% -43%
EPS Growth -241%
Sls Growth -31%
Proj Growth N/A %
Anal. Rank 0.00
Shares 7.2M
Instit 35%
3-Month Trends of Key Indicators:
EPS Analysis Last Quarter: N/A% ($23.46 v $-5.75), Prior Quarter: -43% ($6.01 v $10.53). ASA's average EPS growth in the last two quarters was -43%. Our past Top Picks Winners* had a median quarterly EPS of 100%. On a scale of 0 to 1, consistency of earnings was 0.00.
Sales Analysis Last Quarter: -73% ($1M v 4M), Prior Quarter: -38% ($1M v $1M). ASA's average sales growth in the last three years was -31%. Our past Top Picks Winners* had a median quarterly sales growth of 53%. On a scale of 0 to 1, consistency of sales was 0.18.
Institutional Holdings ASA's institutional holdings are at 35%. Anything more than 70%-80% is too much ownership. Our past Top Picks Winners* had median institutional holdings of 41%.
Looks Like a Winner?
ASA looks better than most Top Picks Winners* in 4 out of 10 key factors.
ASA (Bermuda) Limited is a closed-end investment company organized in 1958. The company is incorporated in South Africa and its shares are listed on the New York Stock Exchange, it is registered in in the United States as a diversified investment company under the Investment Company Act of 1940. It has a Stock Portfolio consisting primarily of stocks of companies conducting, as a major portion of their business, gold mining and related activities in South Africa. The company invests its assets in gold or gold certificates. The securities in its portfolio are held for long-term investment purpo
*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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