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GSA Rank Above 70  Acc. Dist. Above 1
GSA Live Portfolio
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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

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking
Sales
Consistency

Sales Consistency Ranking
Looks Like A
Past Winner?

Looks Like A Winner Ranking
Investor
Sentiment

Investor Sentiment Ranking
Entry Risk
Above Support

Price Above Stop Loss Ranking
Group Action
Today

Group Action Today Ranking
"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.
Industry Group: Paper & Paper Products(+0.13%)

Stop Loss Violation - BAD
Rank Alerts
GSAR=68.61 - GOOD  12-Month RS=90 - GOOD  
Earnings Alerts
Mod.Overvalued 0.00 % - OK  
Price Alerts
     Price Below 10wkMA - BAD  Internal Momentum at 49.47 - BAD
Volume Alerts
Accum/Dist of 0.91 - BAD        

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Earnings Due:

Stock Research
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Stock Research
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Investor Sentiment Daily Top 5 (Reports)

Industry Group ROE and Net MarginsIndustry Group EPS and Sales Growth
TIS vs. Peers TIS EPS/Sales Growth

Schweitzer Mauduit International Inc (SWM) $55.25
+0.00 on 68% avg vol.
10/2/2009 4:04pm

Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking
Sales
Consistency

Sales Consistency Ranking
Looks Like A
Past Winner?

Looks Like A Winner Ranking
Investor
Sentiment

Investor Sentiment Ranking
Entry Risk
Above Support

Price Above Stop Loss Ranking
Group Action
Today

Group Action Today Ranking
"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.
Industry Group: Paper & Paper Products(+0.13%)

Stop Loss $47.61
Rank Alerts
GSAR=67.15 - GOOD  12-Month RS=95 - GOOD  
Earnings Alerts
Undervalued -39.36% - GOOD  
Price Alerts
       Internal Momentum at 74.14 - GOOD
Volume Alerts
Accum/Dist of 1.86 - GOOD        

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Investor Sentiment Daily Top 5 (Reports)

Industry Group ROE and Net MarginsIndustry Group EPS and Sales Growth
SWM vs. Peers SWM EPS/Sales Growth

KapStone Paper and Packaging Corp (KPPC) $8.09
+0.03 on 80% avg vol.
10/2/2009 4:00pm

Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking
Sales
Consistency

Sales Consistency Ranking
Looks Like A
Past Winner?

Looks Like A Winner Ranking
Investor
Sentiment

Investor Sentiment Ranking
Entry Risk
Above Support

Price Above Stop Loss Ranking
Group Action
Today

Group Action Today Ranking
"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.
Industry Group: Paper & Paper Products(+0.13%)

Stop Loss $5.93
Rank Alerts
GSAR=66.70 - GOOD  12-Month RS=95 - GOOD  
Earnings Alerts
Undervalued -31.24% - GOOD  
Price Alerts
       Internal Momentum at 77.04 - GOOD
Volume Alerts
Accum/Dist of 1.18 - GOOD        52wk Hi On Low Vol - BAD

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Earnings Due:

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Stock Research
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Investor Sentiment Daily Top 5 (Reports)

Industry Group ROE and Net MarginsIndustry Group EPS and Sales Growth
KPPC vs. Peers KPPC EPS/Sales Growth

Buckeye Technologies Inc (BKI) $10.86
+0.32 on 99% avg vol.
10/2/2009 4:00pm

Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking
Sales
Consistency

Sales Consistency Ranking
Looks Like A
Past Winner?

Looks Like A Winner Ranking
Investor
Sentiment

Investor Sentiment Ranking
Entry Risk
Above Support

Price Above Stop Loss Ranking
Group Action
Today

Group Action Today Ranking
"Must Have"/Timing Factors
GSA
64.48
Acc Dist
1.59
Disc
0.00%
Avg Vol
428,600
Liquidity
1.00%
Below High
7.73%
Group Action
12
3-Month Trends of Key Indicators:
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.
Industry Group: Paper & Paper Products(+0.13%)

Stop Loss $8.15
Rank Alerts
GSAR=64.48 - GOOD  12-Month RS=96 - GOOD  
Earnings Alerts
Mod.Overvalued 0.00 % - OK  
Price Alerts
       Internal Momentum at 78.22 - GOOD
Volume Alerts
Accum/Dist of 1.59 - GOOD        

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Buckeye Technologies is a leading manufacturer and worldwide marketer of "value added" cellulose based absorbent products.

Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr

Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%
Investor Sentiment Daily Top 5 (Reports)

Industry Group ROE and Net MarginsIndustry Group EPS and Sales Growth
BKI vs. Peers BKI EPS/Sales Growth

Clearwater Paper Corp (CLW) $40.24
+1.21 on 67% avg vol.
10/2/2009 4:00pm

Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking
Sales
Consistency

Sales Consistency Ranking
Looks Like A
Past Winner?

Looks Like A Winner Ranking
Investor
Sentiment

Investor Sentiment Ranking
Entry Risk
Above Support

Price Above Stop Loss Ranking
Group Action
Today

Group Action Today Ranking
"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.
Industry Group: Paper & Paper Products(+0.13%)

Stop Loss $37.87
Rank Alerts
GSAR=63.80 - GOOD  12-Month RS=97 - GOOD  
Earnings Alerts
Overvalued 60.31% - BAD  
Price Alerts
     Price Below 10wkMA - BAD  Internal Momentum at 63.08 - GOOD
Volume Alerts
Accum/Dist of 1.10 - GOOD        

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Earnings Due:
Clearwater Paper manufactures quality paperboard, consumer tissue and wood products.

Stock Research
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Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%
Investor Sentiment Daily Top 5 (Reports)

Industry Group ROE and Net MarginsIndustry Group EPS and Sales Growth
CLW vs. Peers CLW EPS/Sales Growth

Boise Ord Shs (BZ) $5.15
+0.03 on 86% avg vol.
10/2/2009 4:04pm

Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking
Sales
Consistency

Sales Consistency Ranking
Looks Like A
Past Winner?

Looks Like A Winner Ranking
Investor
Sentiment

Investor Sentiment Ranking
Entry Risk
Above Support

Price Above Stop Loss Ranking
Group Action
Today

Group Action Today Ranking
"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.
Industry Group: Paper & Paper Products(+0.13%)

Stop Loss $3.47
Rank Alerts
GSAR=60.02 - GOOD  12-Month RS=99 - GOOD  
Earnings Alerts
Overvalued 40.88% - BAD  
Price Alerts
     Price High Above 40wkMA - BAD  Internal Momentum at 83.34 - GOOD
Volume Alerts
Accum/Dist of 1.65 - GOOD        

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Earnings Due:

Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr

Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%
Investor Sentiment Daily Top 5 (Reports)

Industry Group ROE and Net MarginsIndustry Group EPS and Sales Growth
BZ vs. Peers BZ EPS/Sales Growth

Cenveo Inc (CVO) $6.71
-0.06 on 134% avg vol.
10/2/2009 4:03pm

Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking
Sales
Consistency

Sales Consistency Ranking
Looks Like A
Past Winner?

Looks Like A Winner Ranking
Investor
Sentiment

Investor Sentiment Ranking
Entry Risk
Above Support

Price Above Stop Loss Ranking
Group Action
Today

Group Action Today Ranking
"Must Have"/Timing Factors
GSA
57.37
Acc Dist
1.61
Disc
22.23%
Avg Vol
495,900
Liquidity
0.98%
Below High
6.81%
Group Action
12
3-Month Trends of Key Indicators:
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.
Industry Group: Paper & Paper Products(+0.13%)

Stop Loss $4.35
Rank Alerts
GSAR=57.37 - BAD  12-Month RS=87 - GOOD  
Earnings Alerts
Mod.Overvalued 22.23 % - OK  
Price Alerts
       Internal Momentum at 70.92 - GOOD
Volume Alerts
Accum/Dist of 1.61 - GOOD        

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Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr

Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%
Investor Sentiment Daily Top 5 (Reports)

Industry Group ROE and Net MarginsIndustry Group EPS and Sales Growth
CVO vs. Peers CVO EPS/Sales Growth

Rock-Tenn Co (RKT) $44.04
-0.44 on 78% avg vol.
10/2/2009 4:02pm

Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking
Sales
Consistency

Sales Consistency Ranking
Looks Like A
Past Winner?

Looks Like A Winner Ranking
Investor
Sentiment

Investor Sentiment Ranking
Entry Risk
Above Support

Price Above Stop Loss Ranking
Group Action
Today

Group Action Today Ranking
"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.
Industry Group: Paper & Paper Products(+0.13%)

Stop Loss Violation - BAD
Rank Alerts
GSAR=57.25 - BAD  12-Month RS=84 - GOOD  
Earnings Alerts
Mod.Overvalued 0.00 % - OK  
Price Alerts
     Price Below 10wkMA - BAD  Internal Momentum at 53.31 - BAD
Volume Alerts
Accum/Dist of 1.03 - GOOD        

Instit.   Insiders   Yahoo   Zacks   MSN   Daily Charts   Web Site

Stock Research
Weekly-1Yr Daily-3Mo Daily-6Mo Daily-1Yr

Stock Research
Rel Str Acc/Dist Grp Action Instit Disc%
Investor Sentiment Daily Top 5 (Reports)

Industry Group ROE and Net MarginsIndustry Group EPS and Sales Growth
RKT vs. Peers RKT EPS/Sales Growth

Domtar Corp (UFS) $37.88
+0.90 on 144% avg vol.
10/2/2009 4:02pm

Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking
Sales
Consistency

Sales Consistency Ranking
Looks Like A
Past Winner?

Looks Like A Winner Ranking
Investor
Sentiment

Investor Sentiment Ranking
Entry Risk
Above Support

Price Above Stop Loss Ranking
Group Action
Today

Group Action Today Ranking
"Must Have"/Timing Factors
GSA
54.42
Acc Dist
3.19
Disc
-769.37%
Avg Vol
908,900
Liquidity
1.95%
Below High
9.81%
Group Action
12
3-Month Trends of Key Indicators:
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.
Industry Group: Paper & Paper Products(+0.13%)

Stop Loss $30.59
Rank Alerts
GSAR=54.42 - BAD  12-Month RS=99 - GOOD  
Earnings Alerts
Undervalued -769.37% - GOOD  
Price Alerts
   Downside Price Gap Within Last Two Weeks - BAD  Price High Above 40wkMA - BAD  Internal Momentum at 74.4 - GOOD
Volume Alerts
Accum/Dist of 3.19 - GREAT        

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Industry Group ROE and Net MarginsIndustry Group EPS and Sales Growth
UFS vs. Peers UFS EPS/Sales Growth

Temple-Inland Inc (TIN) $16.04
+0.20 on 171% avg vol.
10/2/2009 4:01pm

Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking
Sales
Consistency

Sales Consistency Ranking
Looks Like A
Past Winner?

Looks Like A Winner Ranking
Investor
Sentiment

Investor Sentiment Ranking
Entry Risk
Above Support

Price Above Stop Loss Ranking
Group Action
Today

Group Action Today Ranking
"Must Have"/Timing Factors
GSA
49.45
Acc Dist
1.34
Disc
252.24%
Avg Vol
2,322,200
Liquidity
2.10%
Below High
15.13%
Group Action
12
3-Month Trends of Key Indicators:
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.
Industry Group: Paper & Paper Products(+0.13%)

Stop Loss $14.30
Rank Alerts
GSAR=49.45 - BAD  12-Month RS=93 - GOOD  
Earnings Alerts
Overvalued 252.24% - BAD  
Price Alerts
     Price Below 10wkMA - BAD  Internal Momentum at 57.15 - BAD
Volume Alerts
Accum/Dist of 1.34 - GOOD        

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Industry Group ROE and Net MarginsIndustry Group EPS and Sales Growth
TIN vs. Peers TIN EPS/Sales Growth

Mercer International Inc (MERC) $3.23
-0.10 on 34% avg vol.
10/2/2009 4:00pm

Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking
Sales
Consistency

Sales Consistency Ranking
Looks Like A
Past Winner?

Looks Like A Winner Ranking
Investor
Sentiment

Investor Sentiment Ranking
Entry Risk
Above Support

Price Above Stop Loss Ranking
Group Action
Today

Group Action Today Ranking
"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.
Industry Group: Paper & Paper Products(+0.13%)

Stop Loss $2.49
Rank Alerts
GSAR=49.44 - BAD  12-Month RS=98 - GOOD  
Earnings Alerts
Mod.Overvalued 0.00 % - OK  
Price Alerts
     Price High Above 40wkMA - BAD  Internal Momentum at 82.81 - GOOD
Volume Alerts
Accum/Dist of 3.47 - GREAT        

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Industry Group ROE and Net MarginsIndustry Group EPS and Sales Growth
MERC vs. Peers MERC EPS/Sales Growth

Verso Paper Corp (VRS) $2.91
-0.05 on 44% avg vol.
10/2/2009 4:03pm

Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking
Sales
Consistency

Sales Consistency Ranking
Looks Like A
Past Winner?

Looks Like A Winner Ranking
Investor
Sentiment

Investor Sentiment Ranking
Entry Risk
Above Support

Price Above Stop Loss Ranking
Group Action
Today

Group Action Today Ranking
"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.
Industry Group: Paper & Paper Products(+0.13%)

Stop Loss $2.56
Rank Alerts
GSAR=48.04 - BAD  12-Month RS=96 - GOOD  
Earnings Alerts
Mod.Overvalued 0.00 % - OK  
Price Alerts
       Internal Momentum at 64.67 - GOOD
Volume Alerts
Accum/Dist of 1.73 - GOOD        

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Industry Group ROE and Net MarginsIndustry Group EPS and Sales Growth
VRS vs. Peers VRS EPS/Sales Growth

International Paper Co (IP) $21.39
+0.04 on 97% avg vol.
10/2/2009 4:02pm

Vital Signs
GSA
Rank

Stock Ranking
Earnings
Consistency

EPS Consistency Ranking
Sales
Consistency

Sales Consistency Ranking
Looks Like A
Past Winner?

Looks Like A Winner Ranking
Investor
Sentiment

Investor Sentiment Ranking
Entry Risk
Above Support

Price Above Stop Loss Ranking
Group Action
Today

Group Action Today Ranking
"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.
Industry Group: Paper & Paper Products(+0.13%)

Stop Loss $19.86
Rank Alerts
GSAR=38.93 - BAD  12-Month RS=90 - GOOD  
Earnings Alerts
Overvalued 1,550.31% - BAD  
Price Alerts
     Price Below 10wkMA - BAD  Internal Momentum at 66.54 - GOOD
Volume Alerts
Accum/Dist of 1.44 - GOOD        

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Industry Group ROE and Net MarginsIndustry Group EPS and Sales Growth
IP vs. Peers IP EPS/Sales Growth



*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.
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