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Piper Jaffray Companies (PJC)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.3/1.0
Sales
Consistency

Sales Consistency Ranking

0.6/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

1/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

11%
Group
Action

Group Action Ranking

37
"Must Have"/Timing Factors
GSA
74.85
Acc Dist
2.33
Disc
0.00%
Avg Vol
87,900
Liquidity
0.68%
Below High
4.83%
Group Action
37
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
-626%  650%
EPS Growth
0%
Sls Growth
11%
Proj Growth
N/A %
Anal. Rank
3.13
Shares
15.1M
Instit
68%
3-Month Trends of Key Indicators:
Looks Like a Winner?
PJC looks better than most Top Picks Winners* in 1 out of 10 key factors.
Accum/Dist: 2.33 (median winner: 1.53)
Above 40wkMA: 24% (median winner: 35%)
Instit. Ownership: 68% (median winner: 63%)
Liquidity: 0.68% (median winner: 1.18%)
Group Action: 37 (median winner: 20)
GSA Rank: 74.85 (winner: 75.66)
Sales Growth: 11% (median winner: 28%)
Below 52wk High: 4.83% (winner: 3.30%)
Relative Strength: 85 (winner: 96)
Avg Qrtly EPS: 12% (median winner: 68%)
Industry Group: 37. Asset Management

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

Founded in 1895, Piper Jaffray Companies (NYSE: PJC) is a full-service U.S. investment bank and asset management firm offering M&A advisory, investment underwriting, corporate investment services and institutional brokerage.

Stock Research
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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
PJC EPS/Sales Growth PJC vs. Peers

Noah Holdings Ltd (NOAH)
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

18%
Group
Action

Group Action Ranking

37
"Must Have"/Timing Factors
GSA
71.40
Acc Dist
2.26
Disc
0.00%
Avg Vol
258,700
Liquidity
0.40%
Below High
0.43%
Group Action
37
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
N/A%  N/A%
EPS Growth
0%
Sls Growth
43%
Proj Growth
N/A %
Anal. Rank
5.00
Shares
56.6M
Instit
0%
3-Month Trends of Key Indicators:
Looks Like a Winner?
NOAH looks better than most Top Picks Winners* in 7 out of 10 key factors.
Accum/Dist: 2.26 (median winner: 1.53)
Above 40wkMA: 56% (median winner: 35%)
Instit. Ownership: 0% (median winner: 63%)
Liquidity: 0.40% (median winner: 1.18%)
Group Action: 37 (median winner: 20)
GSA Rank: 71.40 (winner: 75.66)
Sales Growth: 43% (median winner: 28%)
Below 52wk High: 0.43% (winner: 3.30%)
Relative Strength: 96 (winner: 96)
Avg Qrtly EPS: 0% (median winner: 68%)
Industry Group: 37. Asset Management

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

  • Top Growth Stocks To Buy Now Thu, 23 Nov 2017 16:02:13 +0000
    Individual investors like stocks with a high growth potential. These companies have a strong outlook that can bring a significant upside to your portfolio, regardless of market cyclicality. If yourRead More...
  • Noah posts 3Q profit Mon, 20 Nov 2017 22:19:47 +0000
    The Shanghai-based company said it had net income of 47 cents per share. Earnings, adjusted for stock option expense, came to 54 cents per share. The wealth management firm posted revenue of $102.9 million ...
  • Noah Holdings Limited Announces Unaudited Financial Results for the Third Quarter of 2017 Mon, 20 Nov 2017 22:00:00 +0000
    SHANGHAI , Nov. 20, 2017 /PRNewswire/ -- Noah Holdings Limited ("Noah" or the "Company") (NYSE: NOAH), a leading wealth and asset management service provider in China with a focus on ...
  • ETFs with exposure to Noah Holdings Ltd. : November 20, 2017 Mon, 20 Nov 2017 17:57:31 +0000
    Categories: ETFs Yahoo FinanceClick here to see latest analysis ETFs with exposure to Noah Holdings Ltd. Here are 5 ETFs with the largest exposure to NOAH-US. Comparing the performance and risk of Noah Holdings Ltd. 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...)
  • Noah Holdings Ltd. Sponsored ADR Class A to Host Earnings Call Mon, 20 Nov 2017 11:15:00 +0000
    NEW YORK, NY / ACCESSWIRE / November 20, 2017 / Noah Holdings Ltd. Sponsored ADR Class A (NYSE: NOAH ) will be discussing their earnings results in their Q3 Earnings Call to be held on November 20, 2017 ...
  • ETFs with exposure to Noah Holdings Ltd. : October 20, 2017 Fri, 20 Oct 2017 14:19:51 +0000
    Categories: ETFs Yahoo FinanceClick here to see latest analysis ETFs with exposure to Noah Holdings Ltd. Here are 5 ETFs with the largest exposure to NOAH-US. Comparing the performance and risk of Noah Holdings Ltd. 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...)
  • Noah Holdings Limited to Hold 2017 Annual General Meeting on December 1, 2017 Thu, 19 Oct 2017 22:00:00 +0000
    SHANGHAI, Oct. 19, 2017 /PRNewswire/ -- Noah Holdings Limited ("Noah" or the "Company") (NOAH), a leading wealth and asset management service provider in China with a focus on global investment and asset allocation services for high net worth individuals and enterprises, today announced that it will hold its 2017 annual general meeting ("AGM") of shareholders at Seaview Resort Xiamen, No. 3999, the South Ring Road, Siming District, Xiamen, Fujian Province, 361005, People's Republic of China on December 1, 2017 at 2:00 p.m. local time. At the AGM, shareholders will be asked to approve a new 2017 Share Incentive Plan, which has previously been approved by the Company's Board of Directors. The record date (the "Record Date") for determining the shareholders entitled to receive notice of the AGM or any adjournment or postponement thereof has been set as the close of business on October 20, 2017.
  • 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 ...
  • Noah Holdings Limited Provides Update on Asset Management Business Fri, 29 Sep 2017 22:00:00 +0000
    SHANGHAI , Sept. 29, 2017 /PRNewswire/ -- Noah Holdings Limited ("Noah" or the "Company") (NYSE: NOAH), a leading wealth and asset management service provider in China with a focus ...
  • ETFs with exposure to Noah Holdings Ltd. : September 22, 2017 Fri, 22 Sep 2017 15:15:41 +0000
    Categories: ETFs Yahoo FinanceClick here to see latest analysis ETFs with exposure to Noah Holdings Ltd. Here are 5 ETFs with the largest exposure to NOAH-US. Comparing the performance and risk of Noah Holdings Ltd. 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
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
NOAH EPS/Sales Growth NOAH vs. Peers

Moelis (MC)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.4/1.0
Sales
Consistency

Sales Consistency Ranking

0.5/1.0
Looks Like
A Winner?

Looks Like A Winner Ranking

2/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

12%
Group
Action

Group Action Ranking

37
"Must Have"/Timing Factors
GSA
69.51
Acc Dist
2.81
Disc
95.86%
Avg Vol
317,800
Liquidity
0.60%
Below High
0.74%
Group Action
37
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
21%  100%
EPS Growth
19%
Sls Growth
14%
Proj Growth
9.9%
Anal. Rank
4.29
Shares
53.3M
Instit
91%
3-Month Trends of Key Indicators:
Looks Like a Winner?
MC looks better than most Top Picks Winners* in 2 out of 10 key factors.
Accum/Dist: 2.81 (median winner: 1.53)
Above 40wkMA: 21% (median winner: 35%)
Instit. Ownership: 91% (median winner: 63%)
Liquidity: 0.60% (median winner: 1.18%)
Group Action: 37 (median winner: 20)
GSA Rank: 69.51 (winner: 75.66)
Sales Growth: 14% (median winner: 28%)
Below 52wk High: 0.74% (winner: 3.30%)
Relative Strength: 90 (winner: 96)
Avg Qrtly EPS: 60% (median winner: 68%)
Industry Group: 37. Asset Management

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

  • Earnings Review and Free Research Report: Moelis & Co.’s Revenue Jumped 13%; Adjusted EPS Surged 30% Wed, 22 Nov 2017 12:40:00 +0000
    Research Desk Line-up: New Mountain Finance Post Earnings Coverage LONDON, UK / ACCESSWIRE / November 22, 2017 / Pro-Trader Daily has just published a free post-earnings coverage on Moelis & Co. (NYSE: ...
  • Goldman Sachs marks stake in Weinstein Co down to zero - source Tue, 14 Nov 2017 00:40:33 +0000
    Goldman Sachs' move comes as the Weinstein Company looks for fresh financing after more than 50 women claimed that Weinstein sexually harassed or assaulted them over the past three decades. Last month, Goldman Sachs said it was trying to find a buyer for its stake in the Weinstein Company. A Goldman Sachs spokesman had said at the time that the bank valued the stake at less than $1 million.
  • M&A fee battle pits David v Goliath Mon, 13 Nov 2017 19:11:22 +0000
    Independent investment banks have been well represented on every large M&A transaction over the past 15 years, and Broadcom's new US$103bn (US$130bn including debt) hostile bid for Qualcomm is no exception. Evercore, Moelis and Centerview Partners have earned coveted advisory spots advising both sides in what would be the largest and possibly most contentious tech takeover ever. Indeed, the boutique shops have become a formidable force in M&A advisory by offering independent advice, the individualised focus of senior bankers and a heightened sense of discretion.
  • Moelis & Company Management to Speak at the Bank of America Merrill Lynch Future of Financials 2017 Conference Wed, 08 Nov 2017 19:25:00 +0000
    Moelis & Company , a leading global independent investment bank, today announced that Ken Moelis, Chairman and Chief Executive Officer, is scheduled to present at the Bank of America Merrill Lynch Future of Financials Conference on Wednesday, November 15, 2017 at 9:50 a.m.
  • Moelis & Co. : MC-US: Dividend Analysis : November 06th, 2017 (record date) : By the numbers : November 6, 2017 Mon, 06 Nov 2017 15:21:51 +0000
    Categories: Yahoo FinanceGet free summary analysis Our analysis is based on comparing Moelis & Co. with the following peers – Lazard Ltd Class A, Evercore Inc Class A, HFF, Inc. Class A and Greenhill & Co., Inc. (LAZ-US, EVR-US, HF-US and GHL-US). Moelis & Co.’s dividend yield is 9.61 percent and its dividend payout is 68.42 percent. ... Read more (Read more...)
  • November Top Stock Picks Thu, 02 Nov 2017 11:02:08 +0000
    Steady, income-generating stocks can be ideal for one investor, whilst high growth potential and a strong track record may be appealing for others. There are many different factors to considerRead More...
  • MOVES-Moelis names new managing director Wed, 01 Nov 2017 15:53:39 +0000
    Boutique investment bank Moelis & Co on Wednesday named Marco Acaia as managing director. Acaia will be based in London and most recently was a partner at Stamford Partners.
  • 3 Days Left To Cash In On Moelis & Company (MC) Dividend, Should Investors Buy? Mon, 30 Oct 2017 16:41:31 +0000
    On the 20 November 2017, Moelis & Company (NYSE:MC) will be paying shareholders an upcoming dividend amount of $0.37 per share. However, investors must have bought the company’s stock beforeRead More...
  • Why France, Yet Again, Is Running Short Of The Good Stuff Sun, 29 Oct 2017 17:41:00 +0000
    Mon dieu! France is running short of butter, Evian water, and Hennesy Cognac.
  • What Are Analysts Saying About Moelis & Company’s (MC) Future? Thu, 26 Oct 2017 23:00:19 +0000
    Based on the latest analyst predictions, Moelis & Company (NYSE:MC) is estimated to sizably shrink its earnings by -14.29% next year. Presently, with an EPS of $2.515, we can expectRead More...

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
MC EPS/Sales Growth MC vs. Peers

Artisan Partners Asset Management Inc (APAM)
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

9%
Group
Action

Group Action Ranking

37
"Must Have"/Timing Factors
GSA
69.16
Acc Dist
2.04
Disc
65.70%
Avg Vol
365,600
Liquidity
0.48%
Below High
1.93%
Group Action
37
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
51%  26%
EPS Growth
-1%
Sls Growth
9%
Proj Growth
9.7%
Anal. Rank
2.91
Shares
75.6M
Instit
97%
3-Month Trends of Key Indicators:
Looks Like a Winner?
APAM looks better than most Top Picks Winners* in 2 out of 10 key factors.
Accum/Dist: 2.04 (median winner: 1.53)
Above 40wkMA: 28% (median winner: 35%)
Instit. Ownership: 97% (median winner: 63%)
Liquidity: 0.48% (median winner: 1.18%)
Group Action: 37 (median winner: 20)
GSA Rank: 69.16 (winner: 75.66)
Sales Growth: 9% (median winner: 28%)
Below 52wk High: 1.93% (winner: 3.30%)
Relative Strength: 91 (winner: 96)
Avg Qrtly EPS: 38% (median winner: 68%)
Industry Group: 37. Asset Management

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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
APAM EPS/Sales Growth APAM vs. Peers

Ameriprise Financial Inc (AMP)
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

3/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

3%
Group
Action

Group Action Ranking

37
"Must Have"/Timing Factors
GSA
68.54
Acc Dist
2.50
Disc
0.00%
Avg Vol
743,200
Liquidity
0.47%
Below High
1.63%
Group Action
37
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
147%  26%
EPS Growth
9%
Sls Growth
3%
Proj Growth
N/A %
Anal. Rank
3.38
Shares
148M
Instit
89%
3-Month Trends of Key Indicators:
Looks Like a Winner?
AMP looks better than most Top Picks Winners* in 3 out of 10 key factors.
Accum/Dist: 2.50 (median winner: 1.53)
Above 40wkMA: 17% (median winner: 35%)
Instit. Ownership: 89% (median winner: 63%)
Liquidity: 0.47% (median winner: 1.18%)
Group Action: 37 (median winner: 20)
GSA Rank: 68.54 (winner: 75.66)
Sales Growth: 3% (median winner: 28%)
Below 52wk High: 1.63% (winner: 3.30%)
Relative Strength: 86 (winner: 96)
Avg Qrtly EPS: 86% (median winner: 68%)
Industry Group: 37. Asset Management

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The personal financial advisors at Ameriprise Financial can help you realize your dreams.

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
AMP EPS/Sales Growth AMP vs. Peers

B Riley Financial (RILY)
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

2/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

18%
Group
Action

Group Action Ranking

37
"Must Have"/Timing Factors
GSA
67.86
Acc Dist
1.86
Disc
0.00%
Avg Vol
107,900
Liquidity
0.33%
Below High
9.31%
Group Action
37
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
-112%  N/A%
EPS Growth
205%
Sls Growth
23%
Proj Growth
N/A %
Anal. Rank
0.00
Shares
26.5M
Instit
49%
3-Month Trends of Key Indicators:
Looks Like a Winner?
RILY looks better than most Top Picks Winners* in 2 out of 10 key factors.
Accum/Dist: 1.86 (median winner: 1.53)
Above 40wkMA: 15% (median winner: 35%)
Instit. Ownership: 49% (median winner: 63%)
Liquidity: 0.33% (median winner: 1.18%)
Group Action: 37 (median winner: 20)
GSA Rank: 67.86 (winner: 75.66)
Sales Growth: 23% (median winner: 28%)
Below 52wk High: 9.31% (winner: 3.30%)
Relative Strength: 82 (winner: 96)
Avg Qrtly EPS: -112% (median winner: 68%)
Industry Group: 37. Asset Management

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
RILY EPS/Sales Growth RILY vs. Peers

T Rowe Price Group Inc (TROW)
Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking

0.4/1.0
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

8%
Group
Action

Group Action Ranking

37
"Must Have"/Timing Factors
GSA
67.76
Acc Dist
1.72
Disc
58.50%
Avg Vol
1,151,400
Liquidity
0.47%
Below High
0.44%
Group Action
37
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
22%  90%
EPS Growth
19%
Sls Growth
9%
Proj Growth
10.3%
Anal. Rank
2.50
Shares
242M
Instit
73%
3-Month Trends of Key Indicators:
Looks Like a Winner?
TROW looks better than most Top Picks Winners* in 2 out of 10 key factors.
Accum/Dist: 1.72 (median winner: 1.53)
Above 40wkMA: 24% (median winner: 35%)
Instit. Ownership: 73% (median winner: 63%)
Liquidity: 0.47% (median winner: 1.18%)
Group Action: 37 (median winner: 20)
GSA Rank: 67.76 (winner: 75.66)
Sales Growth: 9% (median winner: 28%)
Below 52wk High: 0.44% (winner: 3.30%)
Relative Strength: 88 (winner: 96)
Avg Qrtly EPS: 56% (median winner: 68%)
Industry Group: 37. Asset Management

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
TROW EPS/Sales Growth TROW vs. Peers

Blackrock Inc (BLK)
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

2/10
Entry Risk
Above Support

Price Above Stop Loss Ranking

4%
Group
Action

Group Action Ranking

37
"Must Have"/Timing Factors
GSA
57.56
Acc Dist
1.68
Disc
65.43%
Avg Vol
438,300
Liquidity
0.24%
Below High
2.05%
Group Action
37
3-Month Trends of Key Indicators:
Fundamental/Technical Factors
Qrtly EPS
10%  10%
EPS Growth
6%
Sls Growth
5%
Proj Growth
13%
Anal. Rank
4.44
Shares
160M
Instit
89%
3-Month Trends of Key Indicators:
Looks Like a Winner?
BLK looks better than most Top Picks Winners* in 2 out of 10 key factors.
Accum/Dist: 1.68 (median winner: 1.53)
Above 40wkMA: 15% (median winner: 35%)
Instit. Ownership: 89% (median winner: 63%)
Liquidity: 0.24% (median winner: 1.18%)
Group Action: 37 (median winner: 20)
GSA Rank: 57.56 (winner: 75.66)
Sales Growth: 5% (median winner: 28%)
Below 52wk High: 2.05% (winner: 3.30%)
Relative Strength: 84 (winner: 96)
Avg Qrtly EPS: 10% (median winner: 68%)
Industry Group: 37. Asset Management

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
BLK EPS/Sales Growth BLK 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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