Top Buy Stocks: AET, BHI,C, HPQ… (Oct 26)

NYSE: AET (Aetna Inc.)

NYSE: AET (Aetna Inc.) has closed at $38.9, its traded Volume was 4070.8K shares, AET opened the Day at $38.88, it made an intraday Low of $38.41, and an intraday High of $39.51. AET’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. AET has closed below upper band by 9.5%. Bollinger Bands are 15.2% narrower than normal. The current width does not suggest anything. AET (Aetna Inc.) 52-week High is $45.659, 52-week Low is: $29.177, it has supports at $36.49 and $33.29, resistances at $41.68 and $48.68. Overall, this stock is rated BUY today.

AET’s earning is $4.59 per share, Next quarter estimated EPS is $0.87, current year estimated EPS is $4.8. Its PE ratio is 8.

NYSE: AIG (American International Group)

NYSE: AIG (American International Group) has closed at $25.32, its traded Volume was 9152.5K shares, AIG opened the Day at $24.62, it made an intraday Low of $24.43, and an intraday High of $25.58. AIG’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. AIG has closed below upper band by 3.1%. Bollinger Bands are 12% wider than normal. The current width does not suggest anything. AIG (American International Group) 52-week High is $52.676, 52-week Low is: $19.18, it has supports at $21.68 and $19.18, resistances at $25.73 and $30.05. Overall, this stock is rated BUY today.

AIG’s earning is $5.24 per share, Next quarter estimated EPS is $0.69, current year estimated EPS is $3.04. Its PE ratio is 5.

NASDAQ: ALTR (Altera Corp.)

NASDAQ: ALTR (Altera Corp.) has closed at $38.07, its traded Volume was 6654.6K shares, ALTR opened the Day at $38.66, it made an intraday Low of $37.47, and an intraday High of $39.17. ALTR’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. ALTR has closed below upper band by 10.1%. Bollinger Bands are 15.4% wider than normal. The current width does not suggest anything. ALTR (Altera Corp.) 52-week High is $49.417, 52-week Low is: $30.39, it has supports at $33.73 and $30.38, resistances at $39.16 and $45.73. Overall, this stock is rated BUY today.

ALTR’s earning is $2.72 per share, Next quarter estimated EPS is $0.59, current year estimated EPS is $2.51. Its PE ratio is 14.

NASDAQ: AMAT (Applied Materials)

NASDAQ: AMAT (Applied Materials) has closed at $11.84, its traded Volume was 12536.7K shares, AMAT opened the Day at $11.89, it made an intraday Low of $11.61, and an intraday High of $12. AMAT’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. AMAT has closed below upper band by 20.5%. Bollinger Bands are 2.3% wider than normal. The current width does not suggest anything. AMAT (Applied Materials) 52-week High is $16.709, 52-week Low is: $9.7, it has supports at $10.57 and $9.69, resistances at $12 and $14.01. Overall, this stock is rated BUY today.

AMAT’s earning is $1.45 per share, Next quarter estimated EPS is $0.18, current year estimated EPS is $1.29. Its PE ratio is 8.

NYSE: BHI (Baker Hughes Inc.)

NYSE: BHI (Baker Hughes Inc.) has closed at $56.48, its traded Volume was 6048.8K shares, BHI opened the Day at $56.18, it made an intraday Low of $54.796, and an intraday High of $56.95. BHI’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. BHI has closed below upper band by 20.0%. Bollinger Bands are 29.3% narrower than normal. The current width does not suggest anything. BHI (Baker Hughes Inc.) 52-week High is $80.827, 52-week Low is: $41.91, it has supports at $50.41 and $41.9, resistances at $64.2 and $74.98. Overall, this stock is rated BUY today.

BHI’s earning is $3.01 per share, Next quarter estimated EPS is $1.37, current year estimated EPS is $4.36. Its PE ratio is 19.

NYSE: BHP (Bhp Billiton Limited)

NYSE: BHP (Bhp Billiton Limited) has closed at $78.04, its traded Volume was 4519.9K shares, BHP opened the Day at $78.36, it made an intraday Low of $76.34, and an intraday High of $78.74. BHP’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. BHP has closed below upper band by 17.9%. Bollinger Bands are 26.1% narrower than normal. The current width does not suggest anything. BHP (Bhp Billiton Limited) 52-week High is $103.164, 52-week Low is: $62.54, it has supports at $71.14 and $62.54, resistances at $85.06 and $99.35. Overall, this stock is rated BUY today.

BHP’s earning is $8.54 per share, Next quarter estimated EPS is $0, current year estimated EPS is $8.53. Its PE ratio is 9.

NYSE: C (Citigroup Inc.)

NYSE: C (Citigroup Inc.) has closed at $31.15, its traded Volume was 67997.2K shares, C opened the Day at $31.59, it made an intraday Low of $30.27, and an intraday High of $31.87. C’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. C has closed below upper band by 19.4%. Bollinger Bands are 13.3% wider than normal. The current width does not suggest anything. C (Citigroup Inc.) 52-week High is $51.47, 52-week Low is: $21.4, it has supports at $25.39 and $21.39, resistances at $31.87 and $37.22. Overall, this stock is rated BUY today.

C’s earning is $3.75 per share, Next quarter estimated EPS is $1.08, current year estimated EPS is $4.04. Its PE ratio is 8.

NYSE: CIM (Chimera Investment Corp.)

NYSE: CIM (Chimera Investment Corp.) has closed at $2.95, its traded Volume was 7884.2K shares, CIM opened the Day at $2.94, it made an intraday Low of $2.93, and an intraday High of $2.97. CIM’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. CIM has closed below upper band by 24.6%. Bollinger Bands are 3.2% narrower than normal. The current width does not suggest anything. CIM (Chimera Investment Corp.) 52-week High is $3.867, 52-week Low is: $2.38, it has supports at $2.66 and $2.38, resistances at $3.13 and $3.65. Overall, this stock is rated BUY today.

CIM’s earning is $0.58 per share, Next quarter estimated EPS is $0.13, current year estimated EPS is $0.56. Its PE ratio is 5.

NYSE: CMI (Cummins Inc.)

NYSE: CMI (Cummins Inc.) has closed at $94.88, its traded Volume was 4426.6K shares, CMI opened the Day at $95.52, it made an intraday Low of $92.75, and an intraday High of $96.8552. CMI’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. CMI has closed below upper band by 40.6%. Bollinger Bands are 39.6% narrower than normal. The current width does not suggest anything. CMI (Cummins Inc.) 52-week High is $120.658, 52-week Low is: $79.53, it has supports at $87.24 and $79.52, resistances at $99.73 and $116.48. Overall, this stock is rated BUY today.

CMI’s earning is $7.62 per share, Next quarter estimated EPS is $2.49, current year estimated EPS is $8.88. Its PE ratio is 12.

NYSE: CP (Canadian Pacific Railway)

NYSE: CP (Canadian Pacific Railway) has closed at $59.5, its traded Volume was 4660.3K shares, CP opened the Day at $58.49, it made an intraday Low of $58.24, and an intraday High of $59.61. CP’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. CP has closed below upper band by 11.4%. Bollinger Bands are 79.8% wider than normal. The large width of the bands suggest high volatility as compared to CP’s normal range. The bands have been in this wide range for 8 bars. This is a sign that the current trend might continue. CP (Canadian Pacific Railway) 52-week High is $68.848, 52-week Low is: $44.471, it has supports at $50.34 and $44.47, resistances at $59.86 and $69.91. Overall, this stock is rated BUY today.

CP’s earning is $3.16 per share, Next quarter estimated EPS is $1.21, current year estimated EPS is $3.34. Its PE ratio is 19.

NYSE: DD (E.I. Du Pont De Nemours And Company)

NYSE: DD (E.I. Du Pont De Nemours And Company) has closed at $46.1, its traded Volume was 9116.2K shares, DD opened the Day at $45.78, it made an intraday Low of $44.99, and an intraday High of $46.3812. DD’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. DD has closed below upper band by 10.5%. Bollinger Bands are 21% narrower than normal. The current width does not suggest anything. DD (E.I. Du Pont De Nemours And Company) 52-week High is $56.067, 52-week Low is: $37.1, it has supports at $41.61 and $37.09, resistances at $48.93 and $57.15. Overall, this stock is rated BUY today.

DD’s earning is $3.61 per share, Next quarter estimated EPS is $0.52, current year estimated EPS is $3.96. Its PE ratio is 13.

NYSE: ETN (Eaton Corp.)

NYSE: ETN (Eaton Corp.) has closed at $43.74, its traded Volume was 4407.9K shares, ETN opened the Day at $43.9, it made an intraday Low of $42.5, and an intraday High of $44.33. ETN’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. ETN has closed below upper band by 14.8%. Bollinger Bands are 18.1% narrower than normal. The current width does not suggest anything. ETN (Eaton Corp.) 52-week High is $55.706, 52-week Low is: $33.09, it has supports at $37.42 and $33.09, resistances at $44.45 and $51.91. Overall, this stock is rated BUY today.

ETN’s earning is $3.41 per share, Next quarter estimated EPS is $1.1, current year estimated EPS is $3.99. Its PE ratio is 13.

NYSE: HPQ (Hewlett-Packard Company)

NYSE: HPQ (Hewlett-Packard Company) has closed at $25.75, its traded Volume was 20334.3K shares, HPQ opened the Day at $25.12, it made an intraday Low of $24.84, and an intraday High of $25.88. HPQ’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. HPQ has closed below upper band by 32.9%. Bollinger Bands are 62.2% narrower than normal. The narrow width of the bands suggests low volatility as compared to HPQ’s normal range. The bands have been in this narrow range for 1 bars. This is a sign that the market might initiate a new trend. HPQ (Hewlett-Packard Company) 52-week High is $48.871, 52-week Low is: $21.5, it has supports at $21.5 and $17.88, resistances at $29.1 and $33.81. Overall, this stock is rated BUY today.

HPQ’s earning is $4.26 per share, Next quarter estimated EPS is $1.13, current year estimated EPS is $4.84. Its PE ratio is 6.

NYSE: JNJ (Johnson & Johnson)

NYSE: JNJ (Johnson & Johnson) has closed at $64.49, its traded Volume was 9932K shares, JNJ opened the Day at $64.19, it made an intraday Low of $63.79, and an intraday High of $64.6. JNJ’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. JNJ has closed below upper band by 27.7%. Bollinger Bands are 21% narrower than normal. The current width does not suggest anything. JNJ (Johnson & Johnson) 52-week High is $67.449, 52-week Low is: $56.503, it has supports at $62.89 and $60.83, resistances at $66.23 and $77.35. Overall, this stock is rated BUY today.

JNJ’s earning is $4.1 per share, Next quarter estimated EPS is $1.32, current year estimated EPS is $4.97. Its PE ratio is 16.

NASDAQ: MRVL (Marvell Technology Group)

NASDAQ: MRVL (Marvell Technology Group) has closed at $13.66, its traded Volume was 11398.9K shares, MRVL opened the Day at $13.64, it made an intraday Low of $13.24, and an intraday High of $13.79. MRVL’s close price is below its Short term MA, short term MA is above mid-term, and above long term MA. MRVL has closed above bottom band by 26.6%. Bollinger Bands are 47.8% wider than normal. The large width of the bands suggest high volatility as compared to MRVL’s normal range. The bands have been in this wide range for 1 bars. This is a sign that the current trend might continue. MRVL (Marvell Technology Group) 52-week High is $22.01, 52-week Low is: $11.23, it has supports at $11.89 and $9.89, resistances at $14.36 and $15.9. Overall, this stock is rated BUY today.

MRVL’s earning is $1.25 per share, Next quarter estimated EPS is $0.37, current year estimated EPS is $1.44. Its PE ratio is 11.

NYSE: NBR (Nabors Industries)

NYSE: NBR (Nabors Industries) has closed at $17.35, its traded Volume was 15816.8K shares, NBR opened the Day at $16.41, it made an intraday Low of $15.955, and an intraday High of $17.57. NBR’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. NBR has closed above the upper band by 12.2%. If price is in a uptrend band; upward trend might continue. However a short term pullback inside the band is likely. Bollinger Bands are 28.4% narrower than normal. The current width does not suggest anything. NBR (Nabors Industries) 52-week High is $32.47, 52-week Low is: $11.05, it has supports at $14.24 and $11.05, resistances at $19.42 and $22.68. Overall, this stock is rated BUY today.

NBR’s earning is $0.98 per share, Next quarter estimated EPS is $0.53, current year estimated EPS is $1.46. Its PE ratio is 18.

NYSE: NFX (Newfield Exploration Company)

NYSE: NFX (Newfield Exploration Company) has closed at $38.14, its traded Volume was 5505.9K shares, NFX opened the Day at $37.82, it made an intraday Low of $37.13, and an intraday High of $38.44. NFX’s close price is below its Short term MA, short term MA is below mid-term, and below long term MA. NFX has closed above bottom band by 28.8%. Bollinger Bands are 18.6% narrower than normal. The current width does not suggest anything. NFX (Newfield Exploration Company) 52-week High is $77.93, 52-week Low is: $34.42, it has supports at $34.41 and $28.62, resistances at $47.01 and $54.81. Overall, this stock is rated BUY today.

NFX’s earning is $2.87 per share, Next quarter estimated EPS is $1.29, current year estimated EPS is $4.39. Its PE ratio is 13.

NASDAQ: NTAP (Netapp)

NASDAQ: NTAP (Netapp) has closed at $38.58, its traded Volume was 8227.1K shares, NTAP opened the Day at $38.61, it made an intraday Low of $37.33, and an intraday High of $39.01. NTAP’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. NTAP has closed below upper band by 43.0%. Bollinger Bands are 63.9% narrower than normal. The narrow width of the bands suggests low volatility as compared to NTAP’s normal range. The bands have been in this narrow range for 1 bars. This is a sign that the market might initiate a new trend. NTAP (Netapp) 52-week High is $61.02, 52-week Low is: $33, it has supports at $36.99 and $33, resistances at $43.47 and $50.77. Overall, this stock is rated BUY today.

NTAP’s earning is $1.65 per share, Next quarter estimated EPS is $0.63, current year estimated EPS is $2.45. Its PE ratio is 23.

NYSE: NXY (Nexen)

NYSE: NXY (Nexen) has closed at $16.65, its traded Volume was 6769.7K shares, NXY opened the Day at $16.6, it made an intraday Low of $16.275, and an intraday High of $16.85. NXY’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. NXY has closed below upper band by 27.3%. Bollinger Bands are 62.6% narrower than normal. The narrow width of the bands suggests low volatility as compared to NXY’s normal range. The bands have been in this narrow range for 10 bars. This is a sign that the market might initiate a new trend. NXY (Nexen) 52-week High is $27.754, 52-week Low is: $13.88, it has supports at $13.88 and $11.54, resistances at $18.7 and $21.68. Overall, this stock is rated BUY today.

NXY’s earning is $2.35 per share, Next quarter estimated EPS is $0.43, current year estimated EPS is $1.77. Its PE ratio is 7.

NASDAQ: OVTI (Omnivision Technologies)

NASDAQ: OVTI (Omnivision Technologies) has closed at $16.85, its traded Volume was 4727.4K shares, OVTI opened the Day at $17.18, it made an intraday Low of $16.5, and an intraday High of $17.43. OVTI’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. OVTI has closed below upper band by 34.9%. Bollinger Bands are 61.4% narrower than normal. The narrow width of the bands suggests low volatility as compared to OVTI’s normal range. The bands have been in this narrow range for 2 bars. This is a sign that the market might initiate a new trend. OVTI (Omnivision Technologies) 52-week High is $37.04, 52-week Low is: $12.6, it has supports at $12.6 and $10.48, resistances at $21.2 and $26.53. Overall, this stock is rated BUY today.

OVTI’s earning is $2.48 per share, Next quarter estimated EPS is $0.51, current year estimated EPS is $2.26. Its PE ratio is 7.

NYSE: PFE (Pfizer)

NYSE: PFE (Pfizer) has closed at $19.28, its traded Volume was 36724.2K shares, PFE opened the Day at $19.04, it made an intraday Low of $18.892, and an intraday High of $19.32. PFE’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. PFE has closed below upper band by 11.6%. Bollinger Bands are 33.3% narrower than normal. The current width does not suggest anything. PFE (Pfizer) 52-week High is $21.216, 52-week Low is: $15.75, it has supports at $17.93 and $17.04, resistances at $19.39 and $22.64. Overall, this stock is rated BUY today.

PFE’s earning is $1.07 per share, Next quarter estimated EPS is $0.5, current year estimated EPS is $2.25. Its PE ratio is 18.

NASDAQ: PTEN (Patterson-Uti Energy)

NASDAQ: PTEN (Patterson-Uti Energy) has closed at $20.87, its traded Volume was 7771.3K shares, PTEN opened the Day at $19.92, it made an intraday Low of $19.47, and an intraday High of $20.98. PTEN’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. PTEN has closed above the upper band by 0.2%. If price is in a uptrend band; upward trend might continue. However a short term pullback inside the band is likely. Bollinger Bands are 32.2% narrower than normal. The current width does not suggest anything. PTEN (Patterson-Uti Energy) 52-week High is $34.019, 52-week Low is: $15.06, it has supports at $15.06 and $12.52, resistances at $22.38 and $26.91. Overall, this stock is rated BUY today.

PTEN’s earning is $1.51 per share, Next quarter estimated EPS is $0.67, current year estimated EPS is $2.22. Its PE ratio is 14.

NYSE: SID (National Steel Corp.)

NYSE: SID (National Steel Corp.) has closed at $8.72, its traded Volume was 4307.4K shares, SID opened the Day at $8.77, it made an intraday Low of $8.44, and an intraday High of $8.8. SID’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. SID has closed below upper band by 18.9%. Bollinger Bands are 32% narrower than normal. The current width does not suggest anything. SID (National Steel Corp.) 52-week High is $17.436, 52-week Low is: $7.07, it has supports at $8.31 and $7.07, resistances at $10.34 and $12.07. Overall, this stock is rated BUY today.

SID’s earning is $1.13 per share, Next quarter estimated EPS is $0.42, current year estimated EPS is $2.16. Its PE ratio is 8.

NASDAQ: SNDK (Sandisk Corp.)

NASDAQ: SNDK (Sandisk Corp.) has closed at $50.31, its traded Volume was 10080.2K shares, SNDK opened the Day at $50.19, it made an intraday Low of $49.3595, and an intraday High of $51. SNDK’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. SNDK has closed below upper band by 11.3%. Bollinger Bands are 38.8% wider than normal. The current width does not suggest anything. SNDK (Sandisk Corp.) 52-week High is $53.61, 52-week Low is: $32.24, it has supports at $39.41 and $32.24, resistances at $51.02 and $59.59. Overall, this stock is rated BUY today.

SNDK’s earning is $5.3 per share, Next quarter estimated EPS is $1.04, current year estimated EPS is $4.44. Its PE ratio is 9.

NASDAQ: STX (Seagate Technology.)

NASDAQ: STX (Seagate Technology.) has closed at $16.24, its traded Volume was 22040K shares, STX opened the Day at $15.81, it made an intraday Low of $15.67, and an intraday High of $16.95. STX’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. STX has closed below upper band by 3.5%. Bollinger Bands are 165.3% wider than normal. The large width of the bands suggest high volatility as compared to STX’s normal range. The bands have been in this wide range for 3 bars. This is a sign that the current trend might continue. STX (Seagate Technology.) 52-week High is $17.915, 52-week Low is: $9.05, it has supports at $12.06 and $9.05, resistances at $16.95 and $19.79. Overall, this stock is rated BUY today.

STX’s earning is $1.09 per share, Next quarter estimated EPS is $0.4, current year estimated EPS is $1.49. Its PE ratio is 15.

NYSE: TCK (Teck Resources Ltd)

NYSE: TCK (Teck Resources Ltd) has closed at $37.04, its traded Volume was 4603.8K shares, TCK opened the Day at $36.26, it made an intraday Low of $35.03, and an intraday High of $37.34. TCK’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. TCK has closed below upper band by 4.9%. Bollinger Bands are 49.7% narrower than normal. The narrow width of the bands suggests low volatility as compared to TCK’s normal range. The bands have been in this narrow range for 1 bars. This is a sign that the market might initiate a new trend. TCK (Teck Resources Ltd) 52-week High is $64.938, 52-week Low is: $25.76, it has supports at $33.2 and $25.76, resistances at $45.25 and $52.85. Overall, this stock is rated BUY today.

TCK’s earning is $3.15 per share, Next quarter estimated EPS is $1.5, current year estimated EPS is $4.82. Its PE ratio is 12.

NASDAQ: TEVA (Teva Pharmaceutical Industries Limited)

NASDAQ: TEVA (Teva Pharmaceutical Industries Limited) has closed at $40.28, its traded Volume was 8285.5K shares, TEVA opened the Day at $38.38, it made an intraday Low of $38.3, and an intraday High of $40.32. TEVA’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. TEVA has closed below upper band by 7.0%. Bollinger Bands are 28% narrower than normal. The current width does not suggest anything. TEVA (Teva Pharmaceutical Industries Limited) 52-week High is $56.259, 52-week Low is: $35, it has supports at $37.65 and $35, resistances at $41.95 and $48.99. Overall, this stock is rated BUY today.

TEVA’s earning is $3.5 per share, Next quarter estimated EPS is $1.65, current year estimated EPS is $5.04. Its PE ratio is 12.

NYSE: TRV (The Travelers Companies Inc)

NYSE: TRV (The Travelers Companies Inc) has closed at $57.5, its traded Volume was 4729K shares, TRV opened the Day at $57.27, it made an intraday Low of $56.68, and an intraday High of $57.7. TRV’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. TRV has closed below upper band by 11.3%. Bollinger Bands are 142.7% wider than normal. The large width of the bands suggest high volatility as compared to TRV’s normal range. The bands have been in this wide range for 5 bars. This is a sign that the current trend might continue. TRV (The Travelers Companies Inc) 52-week High is $63.199, 52-week Low is: $45.97, it has supports at $50.56 and $45.97, resistances at $58 and $67.74. Overall, this stock is rated BUY today.

TRV’s earning is $5.29 per share, Next quarter estimated EPS is $1.57, current year estimated EPS is $3.42. Its PE ratio is 11.

NYSE: TSM (Taiwan Semiconductor Manufacturing)

NYSE: TSM (Taiwan Semiconductor Manufacturing) has closed at $12.25, its traded Volume was 16953.1K shares, TSM opened the Day at $12.33, it made an intraday Low of $12.12, and an intraday High of $12.43. TSM’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. TSM has closed below upper band by 29.6%. Bollinger Bands are 35.1% narrower than normal. The current width does not suggest anything. TSM (Taiwan Semiconductor Manufacturing) 52-week High is $13.483, 52-week Low is: $10.272, it has supports at $11.42 and $10.75, resistances at $12.51 and $14.61. Overall, this stock is rated BUY today.

TSM’s earning is $1.02 per share, Next quarter estimated EPS is $0.17, current year estimated EPS is $0.86. Its PE ratio is 12.

NYSE: UBS (UBS Ag)

NYSE: UBS (UBS Ag) has closed at $12.66, its traded Volume was 7962.9K shares, UBS opened the Day at $12.81, it made an intraday Low of $12.32, and an intraday High of $12.84. UBS’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. UBS has closed below upper band by 16.2%. Bollinger Bands are 39.5% narrower than normal. The current width does not suggest anything. UBS (UBS Ag) 52-week High is $20.08, 52-week Low is: $10.41, it has supports at $12.11 and $10.4, resistances at $14.9 and $17.4. Overall, this stock is rated BUY today.

UBS’s earning is $1.78 per share, Next quarter estimated EPS is $-0.48, current year estimated EPS is $0.99. Its PE ratio is 7.

NYSE: UNH (Unitedhealth Group Inc.)

NYSE: UNH (Unitedhealth Group Inc.) has closed at $48.76, its traded Volume was 10387.5K shares, UNH opened the Day at $49.43, it made an intraday Low of $48.13, and an intraday High of $49.48. UNH’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. UNH has closed below upper band by 12.2%. Bollinger Bands are 11.7% narrower than normal. The current width does not suggest anything. UNH (Unitedhealth Group Inc.) 52-week High is $53.317, 52-week Low is: $34.055, it has supports at $45.1 and $41.31, resistances at $51.24 and $59.84. Overall, this stock is rated BUY today.

UNH’s earning is $4.51 per share, Next quarter estimated EPS is $1.2, current year estimated EPS is $4.47. Its PE ratio is 11.

NYSE: WM (Waste Management)

NYSE: WM (Waste Management) has closed at $34.68, its traded Volume was 5349.8K shares, WM opened the Day at $34.33, it made an intraday Low of $34.022, and an intraday High of $34.83. WM’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. WM has closed above the upper band by 5.2%. If price is in a uptrend band; upward trend might continue. However a short term pullback inside the band is likely. Bollinger Bands are 38.5% narrower than normal. The current width does not suggest anything. WM (Waste Management) 52-week High is $38.938, 52-week Low is: $27.467, it has supports at $31.08 and $28.77, resistances at $34.83 and $40.68. Overall, this stock is rated BUY today.

WM’s earning is $1.99 per share, Next quarter estimated EPS is $0.64, current year estimated EPS is $2.14. Its PE ratio is 17.

NYSE: WMT (Wal-Mart Stores)

NYSE: WMT (Wal-Mart Stores) has closed at $57.37, its traded Volume was 12724.6K shares, WMT opened the Day at $57.14, it made an intraday Low of $56.6, and an intraday High of $57.44. WMT’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. WMT has closed below upper band by 12.4%. Bollinger Bands are 43.4% wider than normal. The large width of the bands suggest high volatility as compared to WMT’s normal range. The bands have been in this wide range for 12 bars. This is a sign that the current trend might continue. WMT (Wal-Mart Stores) 52-week High is $57.44, 52-week Low is: $48.31, it has supports at $52.79 and $49.93, resistances at $57.43 and $67.07. Overall, this stock is rated BUY today.

WMT’s earning is $4.7 per share, Next quarter estimated EPS is $1.45, current year estimated EPS is $4.49. Its PE ratio is 12.

NYSE: WYN (Wyndham Worldwide Corp)

NYSE: WYN (Wyndham Worldwide Corp) has closed at $32.78, its traded Volume was 5178.3K shares, WYN opened the Day at $32.08, it made an intraday Low of $31.82, and an intraday High of $33.26. WYN’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. WYN has closed below upper band by 0.5%. Bollinger Bands are 24.1% narrower than normal. The current width does not suggest anything. WYN (Wyndham Worldwide Corp) 52-week High is $35.803, 52-week Low is: $24.623, it has supports at $28.88 and $26.18, resistances at $33.25 and $38.83. Overall, this stock is rated BUY today.

WYN’s earning is $2.35 per share, Next quarter estimated EPS is $0.44, current year estimated EPS is $2.4. Its PE ratio is 14.

NYSE: XCO (Exco Resources Nl)

NYSE: XCO (Exco Resources Nl) has closed at $12.99, its traded Volume was 9604.3K shares, XCO opened the Day at $11.72, it made an intraday Low of $11.71, and an intraday High of $13.28. XCO’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. XCO has closed above the upper band by 7.6%. If price is in a uptrend band; upward trend might continue. However a short term pullback inside the band is likely. Bollinger Bands are 11.1% wider than normal. The current width does not suggest anything. XCO (Exco Resources Nl) 52-week High is $20.929, 52-week Low is: $9.33, it has supports at $11.32 and $9.32, resistances at $14.58 and $17.02. Overall, this stock is rated BUY today.

XCO’s earning is $0.45 per share, Next quarter estimated EPS is $0.23, current year estimated EPS is $0.72. Its PE ratio is 29.

NASDAQ: XLNX (Xilinx)

NASDAQ: XLNX (Xilinx) has closed at $31.82, its traded Volume was 5353.7K shares, XLNX opened the Day at $31.73, it made an intraday Low of $31.33, and an intraday High of $32.23. XLNX’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. XLNX has closed below upper band by 4.9%. Bollinger Bands are 2.5% narrower than normal. The current width does not suggest anything. XLNX (Xilinx) 52-week High is $37.128, 52-week Low is: $25.224, it has supports at $28.7 and $26.54, resistances at $32.22 and $37.63. Overall, this stock is rated BUY today.

XLNX’s earning is $2.37 per share, Next quarter estimated EPS is $0.43, current year estimated EPS is $1.89. Its PE ratio is 13.

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