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Orchids Paper Products Co (TIS) $19.30 -0.45 on 134% 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 68.61
Acc Dist 0.91
Disc 0.00%
Avg Vol 52,600
Liquidity 0.71%
Below High 16.01%
Group Action 12
3-Month Trends of Key Indicators:
Accumulation Distribution TIS's A/D rank is 0.91. A number more than 1.0 indicates accumulation. Our past Top Picks Winners* had a median A/D rank of 1.52.
Liquidity TIS's liquidity is 0.71%. 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 TIS is in a top 12 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 314% 340%
EPS Growth 174%
Sls Growth 18%
Proj Growth N/A %
Anal. Rank 5.00
Shares 6.5M
Instit 10%
3-Month Trends of Key Indicators:
EPS Analysis Last Quarter: 314% ($0.58 v $0.14), Prior Quarter: 340% ($0.44 v $0.1). TIS's average EPS growth in the last two quarters was 327%. Our past Top Picks Winners* had a median quarterly EPS of 100%. On a scale of 0 to 1, consistency of earnings was 0.80.
Sales Analysis Last Quarter: 8% ($24M v 22M), Prior Quarter: 16% ($24M v $20M). TIS's average sales growth in the last three years was 18%. Our past Top Picks Winners* had a median quarterly sales growth of 53%. On a scale of 0 to 1, consistency of sales was 0.93.
Institutional Holdings TIS's institutional holdings are at 10%. Anything more than 70%-80% is too much ownership. Our past Top Picks Winners* had median institutional holdings of 41%.
Looks Like a Winner?
TIS looks better than most Top Picks Winners* in 5 out of 10 key factors.
Schweitzer Mauduit International Inc (SWM) $55.25 +0.00 on 68% avg vol. 10/2/2009 4:04pm
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 67.15
Acc Dist 1.86
Disc -39.36%
Avg Vol 288,500
Liquidity 1.76%
Below High 3.54%
Group Action 12
3-Month Trends of Key Indicators:
Accumulation Distribution SWM's A/D rank is 1.86. A number more than 1.0 indicates accumulation. Our past Top Picks Winners* had a median A/D rank of 1.52.
Liquidity SWM's liquidity is 1.76%. 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 SWM is in a top 12 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 262% N/A%
EPS Growth 190%
Sls Growth 3%
Proj Growth 25%
Anal. Rank 4.00
Shares 15.3M
Instit 85%
3-Month Trends of Key Indicators:
EPS Analysis Last Quarter: 262% ($0.47 v $0.13), Prior Quarter: N/A% ($0.87 v $-0.08). SWM's average EPS growth in the last two quarters was 262%. Our past Top Picks Winners* had a median quarterly EPS of 100%. On a scale of 0 to 1, consistency of earnings was 0.14.
Sales Analysis Last Quarter: -9% ($183M v 202M), Prior Quarter: -3% ($184M v $190M). SWM's average sales growth in the last three years was 3%. Our past Top Picks Winners* had a median quarterly sales growth of 53%. On a scale of 0 to 1, consistency of sales was 0.14.
Institutional Holdings SWM's institutional holdings are at 85%. Anything more than 70%-80% is too much ownership. Our past Top Picks Winners* had median institutional holdings of 41%.
Looks Like a Winner?
SWM looks better than most Top Picks Winners* in 7 out of 10 key factors.
KapStone Paper and Packaging Corp (KPPC) $8.09 +0.03 on 80% 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 66.70
Acc Dist 1.18
Disc -31.23%
Avg Vol 588,400
Liquidity 1.49%
Below High 10.71%
Group Action 12
3-Month Trends of Key Indicators:
Accumulation Distribution KPPC'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 KPPC's liquidity is 1.49%. 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 KPPC is in a top 12 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 100% 34%
EPS Growth 20%
Sls Growth 108%
Proj Growth 5%
Anal. Rank 5.00
Shares 28.4M
Instit 33%
3-Month Trends of Key Indicators:
EPS Analysis Last Quarter: 100% ($0.64 v $0.32), Prior Quarter: 34% ($0.39 v $0.29). KPPC's average EPS growth in the last two quarters was 67%. Our past Top Picks Winners* had a median quarterly EPS of 100%. On a scale of 0 to 1, consistency of earnings was 0.12.
Sales Analysis Last Quarter: 129% ($157M v 68M), Prior Quarter: 110% ($141M v $67M). KPPC's average sales growth in the last three years was 108%. Our past Top Picks Winners* had a median quarterly sales growth of 53%. On a scale of 0 to 1, consistency of sales was 0.58.
Institutional Holdings KPPC's institutional holdings are at 33%. Anything more than 70%-80% is too much ownership. Our past Top Picks Winners* had median institutional holdings of 41%.
Looks Like a Winner?
KPPC looks better than most Top Picks Winners* in 7 out of 10 key factors.
Accumulation Distribution BKI's A/D rank is 1.59. A number more than 1.0 indicates accumulation. Our past Top Picks Winners* had a median A/D rank of 1.52.
Liquidity BKI's liquidity is 1.00%. 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 BKI is in a top 12 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 400% -59%
EPS Growth 119%
Sls Growth 0%
Proj Growth N/A %
Anal. Rank 4.50
Shares 38.7M
Instit 75%
3-Month Trends of Key Indicators:
EPS Analysis Last Quarter: 400% ($1.2 v $0.24), Prior Quarter: -59% ($0.11 v $0.27). BKI's average EPS growth in the last two quarters was 170%. 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: -18% ($177M v 215M), Prior Quarter: -15% ($172M v $202M). BKI'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 0.02.
Institutional Holdings BKI's institutional holdings are at 75%. Anything more than 70%-80% is too much ownership. Our past Top Picks Winners* had median institutional holdings of 41%.
Looks Like a Winner?
BKI looks better than most Top Picks Winners* in 6 out of 10 key factors.
Clearwater Paper Corp (CLW) $40.24 +1.21 on 67% 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 63.80
Acc Dist 1.10
Disc 60.31%
Avg Vol 178,500
Liquidity 1.18%
Below High 21.41%
Group Action 12
3-Month Trends of Key Indicators:
Accumulation Distribution CLW'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 CLW's liquidity is 1.18%. 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 CLW is in a top 12 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 1409% 500%
EPS Growth 332%
Sls Growth 4%
Proj Growth 5%
Anal. Rank 3.00
Shares 11.4M
Instit 72%
3-Month Trends of Key Indicators:
EPS Analysis Last Quarter: 1409% ($6.64 v $0.44), Prior Quarter: 500% ($1.2 v $0.2). CLW's average EPS growth in the last two quarters was 955%. Our past Top Picks Winners* had a median quarterly EPS of 100%. On a scale of 0 to 1, consistency of earnings was 0.27.
Sales Analysis Last Quarter: 0% ($317M v 316M), Prior Quarter: -7% ($287M v $307M). CLW's average sales growth in the last three years was 4%. Our past Top Picks Winners* had a median quarterly sales growth of 53%. On a scale of 0 to 1, consistency of sales was 0.24.
Institutional Holdings CLW'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?
CLW looks better than most Top Picks Winners* in 4 out of 10 key factors.
Boise Ord Shs (BZ) $5.15 +0.03 on 86% avg vol. 10/2/2009 4:04pm
Vital Signs
GSA Rank
Earnings Consistency
Sales Consistency
Looks Like A Past Winner?
Investor Sentiment
Entry Risk Above Support
Group Action Today
"Must Have"/Timing Factors
GSA 60.02
Acc Dist 1.65
Disc 40.88%
Avg Vol 1,322,400
Liquidity 1.45%
Below High 6.53%
Group Action 12
3-Month Trends of Key Indicators:
Accumulation Distribution BZ's A/D rank is 1.65. A number more than 1.0 indicates accumulation. Our past Top Picks Winners* had a median A/D rank of 1.52.
Liquidity BZ's liquidity is 1.45%. A number less than 0.5% is associated with large bid-ask spreads and error-prone chart patterns. Our past Top Picks Winners* had a median liquidity of 1.48%.
Industry Group Action BZ is in a top 12 group. We normally want to see stocks belonging to a Top 40 group. Our past Top Picks Winners* had a median group rank of 15.
Fundamental/Technical Factors
Qrtly EPS N/A% N/A%
EPS Growth 58%
Sls Growth 0%
Proj Growth 20%
Anal. Rank 0.00
Shares 84.4M
Instit 12%
3-Month Trends of Key Indicators:
EPS Analysis Last Quarter: N/A% ($ 0.65 v $-0.23), Prior Quarter: N/A% ($-0.01 v $-0.26). BZ'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 0.10.
Sales Analysis Last Quarter: -22% ($479M v 618M), Prior Quarter: 119% ($500M v $228M). BZ's average sales growth in the last three years was 0%. Our past Top Picks Winners* had a median quarterly sales growth of 53%. On a scale of 0 to 1, consistency of sales was 0.70.
Institutional Holdings BZ's institutional holdings are at 12%. Anything more than 70%-80% is too much ownership. Our past Top Picks Winners* had median institutional holdings of 41%.
Looks Like a Winner?
BZ looks better than most Top Picks Winners* in 7 out of 10 key factors.
Accumulation Distribution CVO's A/D rank is 1.61. A number more than 1.0 indicates accumulation. Our past Top Picks Winners* had a median A/D rank of 1.52.
Liquidity CVO's liquidity is 0.98%. A number less than 0.5% is associated with large bid-ask spreads and error-prone chart patterns. Our past Top Picks Winners* had a median liquidity of 1.48%.
Industry Group Action CVO is in a top 12 group. We normally want to see stocks belonging to a Top 40 group. Our past Top Picks Winners* had a median group rank of 15.
Fundamental/Technical Factors
Qrtly EPS N/A% N/A%
EPS Growth 220%
Sls Growth -5%
Proj Growth 20%
Anal. Rank 5.00
Shares 54.6M
Instit 80%
3-Month Trends of Key Indicators:
EPS Analysis Last Quarter: N/A% ($ -0.33 v $0.05), Prior Quarter: N/A% ($-0.08 v $-0.06). CVO'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 0.13.
Sales Analysis Last Quarter: -24% ($398M v 525M), Prior Quarter: -23% ($412M v $534M). CVO's average sales growth in the last three years was -5%. Our past Top Picks Winners* had a median quarterly sales growth of 53%. On a scale of 0 to 1, consistency of sales was 0.10.
Institutional Holdings CVO's institutional holdings are at 80%. Anything more than 70%-80% is too much ownership. Our past Top Picks Winners* had median institutional holdings of 41%.
Looks Like a Winner?
CVO looks better than most Top Picks Winners* in 6 out of 10 key factors.
Rock-Tenn Co (RKT) $44.04 -0.44 on 78% avg vol. 10/2/2009 4:02pm
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 57.25
Acc Dist 1.03
Disc 0.00%
Avg Vol 578,600
Liquidity 1.25%
Below High 16.24%
Group Action 12
3-Month Trends of Key Indicators:
Accumulation Distribution RKT's A/D rank is 1.03. A number more than 1.0 indicates accumulation. Our past Top Picks Winners* had a median A/D rank of 1.52.
Liquidity RKT's liquidity is 1.25%. 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 RKT is in a top 12 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 357% 115%
EPS Growth 82%
Sls Growth 14%
Proj Growth N/A %
Anal. Rank 3.00
Shares 38.6M
Instit 68%
3-Month Trends of Key Indicators:
EPS Analysis Last Quarter: 357% ($2.24 v $0.49), Prior Quarter: 115% ($0.99 v $0.46). RKT's average EPS growth in the last two quarters was 236%. Our past Top Picks Winners* had a median quarterly EPS of 100%. On a scale of 0 to 1, consistency of earnings was 0.48.
Sales Analysis Last Quarter: -9% ($704M v 771M), Prior Quarter: -1% ($676M v $686M). RKT's average sales growth in the last three years was 14%. Our past Top Picks Winners* had a median quarterly sales growth of 53%. On a scale of 0 to 1, consistency of sales was 0.60.
Institutional Holdings RKT's institutional holdings are at 68%. Anything more than 70%-80% is too much ownership. Our past Top Picks Winners* had median institutional holdings of 41%.
Looks Like a Winner?
RKT looks better than most Top Picks Winners* in 4 out of 10 key factors.
Accumulation Distribution UFS's A/D rank is 3.19. A number more than 1.0 indicates accumulation. Our past Top Picks Winners* had a median A/D rank of 1.52.
Liquidity UFS's liquidity is 1.95%. A number less than 0.5% is associated with large bid-ask spreads and error-prone chart patterns. Our past Top Picks Winners* had a median liquidity of 1.48%.
Industry Group Action UFS is in a top 12 group. We normally want to see stocks belonging to a Top 40 group. Our past Top Picks Winners* had a median group rank of 15.
Fundamental/Technical Factors
Qrtly EPS N/A% N/A%
EPS Growth 0%
Sls Growth 0%
Proj Growth 3%
Anal. Rank 3.50
Shares 43.3M
Instit 92%
3-Month Trends of Key Indicators:
EPS Analysis Last Quarter: N/A% ($ NA v $NA), Prior Quarter: N/A% ($NA v $NA). UFS'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 0.00.
Sales Analysis Last Quarter: -100% ($0M v 0M), Prior Quarter: -100% ($0M v $0M). UFS'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 UFS's institutional holdings are at 92%. Anything more than 70%-80% is too much ownership. Our past Top Picks Winners* had median institutional holdings of 41%.
Looks Like a Winner?
UFS looks better than most Top Picks Winners* in 7 out of 10 key factors.
Accumulation Distribution TIN's A/D rank is 1.34. A number more than 1.0 indicates accumulation. Our past Top Picks Winners* had a median A/D rank of 1.52.
Liquidity TIN's liquidity is 2.10%. 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 TIN is in a top 12 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 675% N/A%
EPS Growth 166%
Sls Growth -2%
Proj Growth 6%
Anal. Rank 4.00
Shares 106.5M
Instit 75%
3-Month Trends of Key Indicators:
EPS Analysis Last Quarter: 675% ($0.62 v $0.08), Prior Quarter: N/A% ($0.33 v $-0.12). TIN's average EPS growth in the last two quarters was 675%. Our past Top Picks Winners* had a median quarterly EPS of 100%. On a scale of 0 to 1, consistency of earnings was 0.03.
Sales Analysis Last Quarter: -9% ($906M v 991M), Prior Quarter: -0% ($941M v $944M). TIN's average sales growth in the last three years was -2%. Our past Top Picks Winners* had a median quarterly sales growth of 53%. On a scale of 0 to 1, consistency of sales was 0.42.
Institutional Holdings TIN's institutional holdings are at 75%. Anything more than 70%-80% is too much ownership. Our past Top Picks Winners* had median institutional holdings of 41%.
Looks Like a Winner?
TIN looks better than most Top Picks Winners* in 6 out of 10 key factors.
Mercer International Inc (MERC) $3.23 -0.10 on 34% avg vol. 10/2/2009 4:00pm
Vital Signs
GSA Rank
Earnings Consistency
Sales Consistency
Looks Like A Past Winner?
Investor Sentiment
Entry Risk Above Support
Group Action Today
"Must Have"/Timing Factors
GSA 49.44
Acc Dist 3.47
Disc 0.00%
Avg Vol 488,800
Liquidity 1.64%
Below High 26.09%
Group Action 12
3-Month Trends of Key Indicators:
Accumulation Distribution MERC's A/D rank is 3.47. A number more than 1.0 indicates accumulation. Our past Top Picks Winners* had a median A/D rank of 1.52.
Liquidity MERC's liquidity is 1.64%. A number less than 0.5% is associated with large bid-ask spreads and error-prone chart patterns. Our past Top Picks Winners* had a median liquidity of 1.48%.
Industry Group Action MERC is in a top 12 group. We normally want to see stocks belonging to a Top 40 group. Our past Top Picks Winners* had a median group rank of 15.
Fundamental/Technical Factors
Qrtly EPS N/A% N/A%
EPS Growth 66%
Sls Growth -5%
Proj Growth N/A %
Anal. Rank 1.50
Shares 36.4M
Instit 26%
3-Month Trends of Key Indicators:
EPS Analysis Last Quarter: N/A% ($ -0.46 v $0.04), Prior Quarter: N/A% ($-1.59 v $0.12). MERC'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 0.45.
Sales Analysis Last Quarter: -10% ($234M v 260M), Prior Quarter: -25% ($205M v $275M). MERC's average sales growth in the last three years was -5%. Our past Top Picks Winners* had a median quarterly sales growth of 53%. On a scale of 0 to 1, consistency of sales was 0.27.
Institutional Holdings MERC's institutional holdings are at 26%. Anything more than 70%-80% is too much ownership. Our past Top Picks Winners* had median institutional holdings of 41%.
Looks Like a Winner?
MERC looks better than most Top Picks Winners* in 7 out of 10 key factors.
Verso Paper Corp (VRS) $2.91 -0.05 on 44% avg vol. 10/2/2009 4:03pm
Vital Signs
GSA Rank
Earnings Consistency
Sales Consistency
Looks Like A Past Winner?
Investor Sentiment
Entry Risk Above Support
Group Action Today
"Must Have"/Timing Factors
GSA 48.04
Acc Dist 1.73
Disc 0.00%
Avg Vol 420,100
Liquidity 0.70%
Below High 23.22%
Group Action 12
3-Month Trends of Key Indicators:
Accumulation Distribution VRS's A/D rank is 1.73. A number more than 1.0 indicates accumulation. Our past Top Picks Winners* had a median A/D rank of 1.52.
Liquidity VRS's liquidity is 0.70%. A number less than 0.5% is associated with large bid-ask spreads and error-prone chart patterns. Our past Top Picks Winners* had a median liquidity of 1.48%.
Industry Group Action VRS is in a top 12 group. We normally want to see stocks belonging to a Top 40 group. Our past Top Picks Winners* had a median group rank of 15.
Fundamental/Technical Factors
Qrtly EPS N/A% N/A%
EPS Growth 10%
Sls Growth -5%
Proj Growth N/A %
Anal. Rank 5.00
Shares 52M
Instit 68%
3-Month Trends of Key Indicators:
EPS Analysis Last Quarter: N/A% ($ -0.2 v $-1), Prior Quarter: N/A% ($1.05 v $-0.08). VRS'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 0.41.
Sales Analysis Last Quarter: -34% ($298M v 452M), Prior Quarter: -37% ($287M v $454M). VRS's average sales growth in the last three years was -5%. Our past Top Picks Winners* had a median quarterly sales growth of 53%. On a scale of 0 to 1, consistency of sales was 0.14.
Institutional Holdings VRS's institutional holdings are at 68%. Anything more than 70%-80% is too much ownership. Our past Top Picks Winners* had median institutional holdings of 41%.
Looks Like a Winner?
VRS looks better than most Top Picks Winners* in 5 out of 10 key factors.
International Paper Co (IP) $21.39 +0.04 on 97% avg vol. 10/2/2009 4:02pm
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 38.93
Acc Dist 1.44
Disc 1550.31%
Avg Vol 7,678,200
Liquidity 1.70%
Below High 15.45%
Group Action 12
3-Month Trends of Key Indicators:
Accumulation Distribution IP's A/D rank is 1.44. A number more than 1.0 indicates accumulation. Our past Top Picks Winners* had a median A/D rank of 1.52.
Liquidity IP's liquidity is 1.70%. 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 IP is in a top 12 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 -41% 97%
EPS Growth -4%
Sls Growth 9%
Proj Growth 2%
Anal. Rank 3.50
Shares 432.8M
Instit 80%
3-Month Trends of Key Indicators:
EPS Analysis Last Quarter: -41% ($0.32 v $0.54), Prior Quarter: 97% ($0.61 v $0.31). IP's average EPS growth in the last two quarters was 28%. Our past Top Picks Winners* had a median quarterly EPS of 100%. On a scale of 0 to 1, consistency of earnings was 0.13.
Sales Analysis Last Quarter: -0% ($5,802M v 5,807M), Prior Quarter: 0% ($5,668M v $5,668M). IP's average sales growth in the last three years was 9%. Our past Top Picks Winners* had a median quarterly sales growth of 53%. On a scale of 0 to 1, consistency of sales was 0.34.
Institutional Holdings IP's institutional holdings are at 80%. Anything more than 70%-80% is too much ownership. Our past Top Picks Winners* had median institutional holdings of 41%.
Looks Like a Winner?
IP looks better than most Top Picks Winners* in 5 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.
___ 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.