Top Buy Stocks: AIG, BBY, CMA, FST, … (Oct 24)

NYSE: AIG (American International Group)

NYSE: AIG (American International Group) has closed at $25.14, its traded Volume was 7900.9K shares, AIG opened the Day at $23.95, it made an intraday Low of $23.87, and an intraday High of $25.24. AIG’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. This stock is NEUTRAL in short-term, and BEARISH in mid-long term. AIG has closed above the upper band by 3.2%. If price is in a uptrend band; upward trend might continue. However a short term pullback inside the band is likely. Bollinger Bands are 13.4% 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.

NYSE: BBY (Best Buy Co.)

NYSE: BBY (Best Buy Co.) has closed at $26.43, its traded Volume was 4071.3K shares, BBY opened the Day at $26.18, it made an intraday Low of $26.1, and an intraday High of $26.84. BBY’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. This stock is BULLISH in short-term, and NEUTRAL in mid-long term. BBY has closed below upper band by 16.3%. Bollinger Bands are 3.3% wider than normal. The current width does not suggest anything. BBY (Best Buy Co.) 52-week High is $44.7, 52-week Low is: $21.79, it has supports at $23.71 and $21.79, resistances at $26.84 and $31.34. Overall, this stock is rated BUY today.

BBY’s earning is $2.99 per share, Next quarter estimated EPS is $2.15, current year estimated EPS is $3.4. Its PE ratio is 9.

NYSE: CMA (Comerica Inc.)

NYSE: CMA (Comerica Inc.) has closed at $25.09, its traded Volume was 6423.5K shares, CMA opened the Day at $24.62, it made an intraday Low of $24.37, and an intraday High of $26.13. CMA’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. This stock is BULLISH in short-term, and NEUTRAL in mid-long term. CMA has closed below upper band by 38.0%. Bollinger Bands are 11.4% narrower than normal. The current width does not suggest anything. CMA (Comerica Inc.) 52-week High is $43.097, 52-week Low is: $21.48, it has supports at $23.72 and $21.47, resistances at $27.37 and $31.96. Overall, this stock is rated BUY today.

CMA’s earning is $1.94 per share, Next quarter estimated EPS is $0.5, current year estimated EPS is $2.15. Its PE ratio is 13.

NYSE: CMI (Cummins Inc.)

NYSE: CMI (Cummins Inc.) has closed at $98.82, its traded Volume was 4755.8K shares, CMI opened the Day at $96.18, it made an intraday Low of $96, and an intraday High of $99.21. CMI’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. This stock is BULLISH in short-term, and NEUTRAL in mid-long term. CMI has closed below upper band by 8.3%. Bollinger Bands are 15.3% 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 13.

NASDAQ: DNDN (Dendreon Corp.)

NASDAQ: DNDN (Dendreon Corp.) has closed at $10.7, its traded Volume was 4276.5K shares, DNDN opened the Day at $10.22, it made an intraday Low of $10.07, and an intraday High of $10.71. DNDN’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. This stock is NEUTRAL in short-term, and BEARISH in mid-long term. DNDN has closed above the upper band by 2.8%. If price is in a uptrend band; upward trend might continue. However a short term pullback inside the band is likely. Bollinger Bands are 73.8% narrower than normal. The narrow width of the bands suggests low volatility as compared to DNDN’s normal range. The bands have been in this narrow range for 42 bars. This is a sign that the market might initiate a new trend. DNDN (Dendreon Corp.) 52-week High is $43.96, 52-week Low is: $7.81, it has supports at $7.8 and $6.48, resistances at $11.59 and $13.94. Overall, this stock is rated BUY today.

DNDN’s earning is $-2.76 per share, Next quarter estimated EPS is $-0.5, current year estimated EPS is $-2.69. Its PE ratio is -4.

AMEX: EWT (MSCI Taiwan)

AMEX: EWT (MSCI Taiwan) has closed at $12.95, its traded Volume was 16696.3K shares, EWT opened the Day at $12.81, it made an intraday Low of $12.79, and an intraday High of $13.05. EWT’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. This stock is NEUTRAL in short-term, and BEARISH in mid-long term. EWT has closed below upper band by 10.3%. Bollinger Bands are 27.7% narrower than normal. The current width does not suggest anything. EWT (MSCI Taiwan) 52-week High is $16.08, 52-week Low is: $11.51, it has supports at $12.43 and $11.51, resistances at $13.93 and $16.27. Overall, this stock is rated BUY today.

EWT’s earning is $0 per share, Next quarter estimated EPS is $0, current year estimated EPS is $0. Its PE ratio is 0.

NASDAQ: FNSR (Finisar Corp.)

NASDAQ: FNSR (Finisar Corp.) has closed at $18.05, its traded Volume was 4755.7K shares, FNSR opened the Day at $17.21, it made an intraday Low of $17.16, and an intraday High of $18.45. FNSR’s close price is below its Short term MA, short term MA is below mid-term, and above long term MA. This stock is BEARISH in short-term, and NEUTRAL in mid-long term. FNSR has closed above bottom band by 41.7%. Bollinger Bands are 22.3% narrower than normal. The current width does not suggest anything. FNSR (Finisar Corp.) 52-week High is $46.09, 52-week Low is: $12.26, it has supports at $14.4 and $11.98, resistances at $19.54 and $22.73. Overall, this stock is rated STRONG BUY today.

FNSR’s earning is $0.88 per share, Next quarter estimated EPS is $0.26, current year estimated EPS is $0.99. Its PE ratio is 21.

NYSE: FST (Forest Oil Corp.)

NYSE: FST (Forest Oil Corp.) has closed at $12.03, its traded Volume was 4553.9K shares, FST opened the Day at $11.97, it made an intraday Low of $11.71, and an intraday High of $12.05. FST’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. This stock is NEUTRAL in short-term, and BEARISH in mid-long term. FST has closed below upper band by 31.0%. Bollinger Bands are 48.2% narrower than normal. The narrow width of the bands suggests low volatility as compared to FST’s normal range. The bands have been in this narrow range for 0 bars. This is a sign that the market might initiate a new trend. FST (Forest Oil Corp.) 52-week High is $40.23, 52-week Low is: $8.88, it has supports at $8.88 and $7.38, resistances at $16.66 and $21.47. Overall, this stock is rated BUY today.

FST’s earning is $1.06 per share, Next quarter estimated EPS is $0.22, current year estimated EPS is $1.04. Its PE ratio is 11.

NYSE: FTR (Frontier Communications Company)

NYSE: FTR (Frontier Communications Company) has closed at $6.02, its traded Volume was 11903.8K shares, FTR opened the Day at $6.16, it made an intraday Low of $5.99, and an intraday High of $6.2. FTR’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. This stock is NEUTRAL in short-term, and BEARISH in mid-long term. FTR has closed below upper band by 36.6%. Bollinger Bands are 48.2% narrower than normal. The narrow width of the bands suggests low volatility as compared to FTR’s normal range. The bands have been in this narrow range for 0 bars. This is a sign that the market might initiate a new trend. FTR (Frontier Communications Company) 52-week High is $9.155, 52-week Low is: $5.33, it has supports at $5.32 and $4.42, resistances at $6.58 and $7.37. Overall, this stock is rated BUY today.

FTR’s earning is $0.16 per share, Next quarter estimated EPS is $0.06, current year estimated EPS is $0.24. Its PE ratio is 38.

NYSE: GCI (Gannett Co.)

NYSE: GCI (Gannett Co.) has closed at $11.75, its traded Volume was 6273.1K shares, GCI opened the Day at $11.22, it made an intraday Low of $11.22, and an intraday High of $11.89. GCI’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. This stock is BULLISH in short-term, and NEUTRAL in mid-long term. GCI has closed above the upper band by 9.9%. If price is in a uptrend band; upward trend might continue. However a short term pullback inside the band is likely. Bollinger Bands are 13.6% narrower than normal. The current width does not suggest anything. GCI (Gannett Co.) 52-week High is $18.676, 52-week Low is: $8.28, it has supports at $9.65 and $8.27, resistances at $11.89 and $13.88. Overall, this stock is rated BUY today.

GCI’s earning is $2.12 per share, Next quarter estimated EPS is $0.39, current year estimated EPS is $2.12. Its PE ratio is 6.

NASDAQ: GILD (Gilead Sciences)

NASDAQ: GILD (Gilead Sciences) has closed at $41.99, its traded Volume was 5214.7K shares, GILD opened the Day at $41.48, it made an intraday Low of $41.4, and an intraday High of $42.06. GILD’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. This stock is BULLISH in short-term, and NEUTRAL in mid-long term. GILD has closed below upper band by 5.5%. Bollinger Bands are 3.3% wider than normal. The current width does not suggest anything. GILD (Gilead Sciences) 52-week High is $43.49, 52-week Low is: $35.28, it has supports at $38.42 and $36.18, resistances at $42.06 and $49.12. Overall, this stock is rated BUY today.

GILD’s earning is $3.33 per share, Next quarter estimated EPS is $1.07, current year estimated EPS is $3.94. Its PE ratio is 13.

NYSE: GME (Gamestop Corp.)

NYSE: GME (Gamestop Corp.) has closed at $25.58, its traded Volume was 4567.3K shares, GME opened the Day at $25.13, it made an intraday Low of $24.86, and an intraday High of $25.58. GME’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. This stock is BULLISH in short-term, and NEUTRAL in mid-long term. GME has closed below upper band by 13.6%. Bollinger Bands are 25.6% narrower than normal. The current width does not suggest anything. GME (Gamestop Corp.) 52-week High is $28.66, 52-week Low is: $18.34, it has supports at $21.28 and $18.34, resistances at $26.06 and $30.43. Overall, this stock is rated BUY today.

GME’s earning is $2.74 per share, Next quarter estimated EPS is $1.74, current year estimated EPS is $2.9. Its PE ratio is 9.

NYSE: GNW (Genworth Financial Inc)

NYSE: GNW (Genworth Financial Inc) has closed at $6.35, its traded Volume was 12123.2K shares, GNW opened the Day at $6.02, it made an intraday Low of $6.02, and an intraday High of $6.41. GNW’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. This stock is NEUTRAL in short-term, and BEARISH in mid-long term. GNW has closed above the upper band by 2.0%. If price is in a uptrend band; upward trend might continue. However a short term pullback inside the band is likely. Bollinger Bands are 24.4% narrower than normal. The current width does not suggest anything. GNW (Genworth Financial Inc) 52-week High is $14.77, 52-week Low is: $4.8, it has supports at $5.67 and $4.8, resistances at $7.09 and $8.28. Overall, this stock is rated BUY today.

GNW’s earning is $-0.19 per share, Next quarter estimated EPS is $0.23, current year estimated EPS is $0.46. Its PE ratio is -33.

NYSE: HCP (Hcp)

NYSE: HCP (Hcp) has closed at $38.38, its traded Volume was 4361.1K shares, HCP opened the Day at $37.97, it made an intraday Low of $37.9, and an intraday High of $38.48. HCP’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. This stock is BULLISH in short-term, and BULLISH in mid-long term. HCP has closed above the upper band by 1.5%. If price is in a uptrend band; upward trend might continue. However a short term pullback inside the band is likely. Bollinger Bands are 2.9% wider than normal. The current width does not suggest anything. HCP (Hcp) 52-week High is $39.686, 52-week Low is: $28.76, it has supports at $34.87 and $32.65, resistances at $38.47 and $44.93. Overall, this stock is rated BUY today.

HCP’s earning is $2.11 per share, Next quarter estimated EPS is $0.68, current year estimated EPS is $2.56. Its PE ratio is 18.

NYSE: HD (Home Depot)

NYSE: HD (Home Depot) has closed at $36.7, its traded Volume was 11163.7K shares, HD opened the Day at $37.12, it made an intraday Low of $36.56, and an intraday High of $37.35. HD’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. This stock is BULLISH in short-term, and NEUTRAL in mid-long term. HD has closed below upper band by 10.7%. Bollinger Bands are 20% wider than normal. The current width does not suggest anything. HD (Home Depot) 52-week High is $38.532, 52-week Low is: $27.925, it has supports at $32.95 and $30.24, resistances at $37.34 and $43.61. Overall, this stock is rated BUY today.

HD’s earning is $2.22 per share, Next quarter estimated EPS is $0.4, current year estimated EPS is $2.35. Its PE ratio is 17.

NYSE: HIG (Hartford Financial Services Group)

NYSE: HIG (Hartford Financial Services Group) has closed at $19.19, its traded Volume was 10860K shares, HIG opened the Day at $19.25, it made an intraday Low of $19.05, and an intraday High of $19.46. HIG’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. This stock is BULLISH in short-term, and NEUTRAL in mid-long term. HIG has closed below upper band by 16.1%. Bollinger Bands are 15.1% narrower than normal. The current width does not suggest anything. HIG (Hartford Financial Services Group) 52-week High is $30.697, 52-week Low is: $14.56, it has supports at $16.89 and $14.56, resistances at $20.68 and $24.15. Overall, this stock is rated BUY today.

HIG’s earning is $3.49 per share, Next quarter estimated EPS is $0.9, current year estimated EPS is $2.33. Its PE ratio is 5.

NYSE: HS (Healthspring)

NYSE: HS (Healthspring) has closed at $53.71, its traded Volume was 26972.3K shares, HS opened the Day at $53.45, it made an intraday Low of $53.45, and an intraday High of $53.8. HS’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. This stock is BULLISH in short-term, and NEUTRAL in mid-long term. HS has closed above the upper band by 35.0%. If price is in a uptrend band; upward trend might continue. However a short term pullback inside the band is likely. Bollinger Bands are 121.4% wider than normal. The large width of the bands suggest high volatility as compared to HS’s normal range. The bands have been in this wide range for 0 bars. This is a sign that the current trend might continue. HS (Healthspring) 52-week High is $53.8, 52-week Low is: $24.34, it has supports at $40.63 and $32.5, resistances at $53.79 and $62.82. Overall, this stock is rated BUY today.

HS’s earning is $3.85 per share, Next quarter estimated EPS is $1.02, current year estimated EPS is $4.15. Its PE ratio is 14.

NASDAQ: INTC (Intel Corp.)

NASDAQ: INTC (Intel Corp.) has closed at $24.59, its traded Volume was 138277K shares, INTC opened the Day at $24.03, it made an intraday Low of $24.02, and an intraday High of $24.79. INTC’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. This stock is BULLISH in short-term, and NEUTRAL in mid-long term. INTC has closed below upper band by 8.2%. Bollinger Bands are 55.3% wider than normal. The large width of the bands suggest high volatility as compared to INTC’s normal range. The bands have been in this wide range for 6 bars. This is a sign that the current trend might continue. INTC (Intel Corp.) 52-week High is $24.79, 52-week Low is: $19.022, it has supports at $21.3 and $19.15, resistances at $24.79 and $28.95. Overall, this stock is rated BUY today.

INTC’s earning is $2.31 per share, Next quarter estimated EPS is $0.56, current year estimated EPS is $2.36. Its PE ratio is 11.

NYSE: IR (Ingersoll-Rand Plc [Ireland])

NYSE: IR (Ingersoll-Rand Plc [Ireland]) has closed at $29.5, its traded Volume was 6996.4K shares, IR opened the Day at $28.07, it made an intraday Low of $28.07, and an intraday High of $29.83. IR’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. This stock is NEUTRAL in short-term, and BEARISH in mid-long term. IR has closed below upper band by 32.7%. Bollinger Bands are 46.8% narrower than normal. The narrow width of the bands suggests low volatility as compared to IR’s normal range. The bands have been in this narrow range for 0 bars. This is a sign that the market might initiate a new trend. IR (Ingersoll-Rand Plc [Ireland]) 52-week High is $51.998, 52-week Low is: $25.86, it has supports at $25.86 and $21.51, resistances at $32.7 and $36.93. Overall, this stock is rated BUY today.

IR’s earning is $1.32 per share, Next quarter estimated EPS is $0.48, current year estimated EPS is $2.74. Its PE ratio is 22.

AMEX: IWM (Russell 2000 ETF)

AMEX: IWM (Russell 2000 ETF) has closed at $73.42, its traded Volume was 81405.8K shares, IWM opened the Day at $71.45, it made an intraday Low of $71.1604, and an intraday High of $73.58. IWM’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. This stock is BULLISH in short-term, and NEUTRAL in mid-long term. IWM has closed below upper band by 1.3%. Bollinger Bands are 0.5% narrower than normal. The current width does not suggest anything. IWM (Russell 2000 ETF) 52-week High is $86.22, 52-week Low is: $60.09, it has supports at $65.25 and $60.09, resistances at $73.6 and $85.96. Overall, this stock is rated BUY today.

IWM’s earning is $0 per share, Next quarter estimated EPS is $0, current year estimated EPS is $0. Its PE ratio is 0.

NYSE: JCI (Johnson Controls)

NYSE: JCI (Johnson Controls) has closed at $33.24, its traded Volume was 4814.2K shares, JCI opened the Day at $32.87, it made an intraday Low of $32.52, and an intraday High of $33.33. JCI’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. This stock is BULLISH in short-term, and NEUTRAL in mid-long term. JCI has closed below upper band by 14.3%. Bollinger Bands are 20.2% wider than normal. The current width does not suggest anything. JCI (Johnson Controls) 52-week High is $42.689, 52-week Low is: $24.29, it has supports at $27.74 and $24.29, resistances at $33.33 and $38.92. Overall, this stock is rated BUY today.

JCI’s earning is $2.24 per share, Next quarter estimated EPS is $0.67, current year estimated EPS is $2.42. Its PE ratio is 15.

NYSE: JCP (J.C. Penney Company Inc. Holding Company)

NYSE: JCP (J.C. Penney Company Inc. Holding Company) has closed at $34, its traded Volume was 6578.7K shares, JCP opened the Day at $33.14, it made an intraday Low of $32.93, and an intraday High of $34.5. JCP’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. This stock is BULLISH in short-term, and NEUTRAL in mid-long term. JCP has closed above the upper band by 3.1%. If price is in a uptrend band; upward trend might continue. However a short term pullback inside the band is likely. Bollinger Bands are 34.8% wider than normal. The current width does not suggest anything. JCP (J.C. Penney Company Inc. Holding Company) 52-week High is $40.471, 52-week Low is: $23.277, it has supports at $27.55 and $23.27, resistances at $34.5 and $40.29. Overall, this stock is rated BUY today.

JCP’s earning is $1.71 per share, Next quarter estimated EPS is $1.17, current year estimated EPS is $1.38. Its PE ratio is 20.

AMEX: JNK (SPDR High Yield Bond ETF)

AMEX: JNK (SPDR High Yield Bond ETF) has closed at $39.51, its traded Volume was 12559K shares, JNK opened the Day at $38.49, it made an intraday Low of $38.37, and an intraday High of $39.59. JNK’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. This stock is NEUTRAL in short-term, and BEARISH in mid-long term. JNK has closed above the upper band by 4.3%. If price is in a uptrend band; upward trend might continue. However a short term pullback inside the band is likely. Bollinger Bands are 122.8% wider than normal. The large width of the bands suggest high volatility as compared to JNK’s normal range. The bands have been in this wide range for 16 bars. This is a sign that the current trend might continue. JNK (SPDR High Yield Bond ETF) 52-week High is $39.729, 52-week Low is: $34.09, it has supports at $36.19 and $34.09, resistances at $39.59 and $46.24. Overall, this stock is rated BUY today.

JNK’s earning is $0 per share, Next quarter estimated EPS is $0, current year estimated EPS is $0. Its PE ratio is 0.

AMEX: KBE (SPDR Kbw Bank ETF)

AMEX: KBE (SPDR Kbw Bank ETF) has closed at $19.79, its traded Volume was 4554.7K shares, KBE opened the Day at $19.43, it made an intraday Low of $19.3, and an intraday High of $19.88. KBE’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. This stock is BULLISH in short-term, and NEUTRAL in mid-long term. KBE has closed below upper band by 7.0%. Bollinger Bands are 4.8% narrower than normal. The current width does not suggest anything. KBE (SPDR Kbw Bank ETF) 52-week High is $27.487, 52-week Low is: $16.17, it has supports at $17.62 and $16.17, resistances at $19.98 and $23.33. Overall, this stock is rated BUY today.

KBE’s earning is $0 per share, Next quarter estimated EPS is $0, current year estimated EPS is $0. Its PE ratio is 0.

NYSE: KBH (Kb Home)

NYSE: KBH (Kb Home) has closed at $7.78, its traded Volume was 5228.4K shares, KBH opened the Day at $7.51, it made an intraday Low of $7.45, and an intraday High of $8. KBH’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. This stock is BULLISH in short-term, and NEUTRAL in mid-long term. KBH has closed below upper band by 0.1%. Bollinger Bands are 7.4% wider than normal. The current width does not suggest anything. KBH (Kb Home) 52-week High is $15.84, 52-week Low is: $5.02, it has supports at $6.15 and $5.01, resistances at $8 and $9.34. Overall, this stock is rated BUY today.

KBH’s earning is $-2.27 per share, Next quarter estimated EPS is $-0.25, current year estimated EPS is $-2.48. Its PE ratio is -3.

NYSE: KGC (Kinross Gold Corp.)

NYSE: KGC (Kinross Gold Corp.) has closed at $14.17, its traded Volume was 4981.4K shares, KGC opened the Day at $13.85, it made an intraday Low of $13.8, and an intraday High of $14.235. KGC’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. This stock is NEUTRAL in short-term, and BEARISH in mid-long term. KGC has closed below upper band by 40.0%. Bollinger Bands are 32.5% narrower than normal. The current width does not suggest anything. KGC (Kinross Gold Corp.) 52-week High is $19.671, 52-week Low is: $12.8, it has supports at $12.8 and $10.64, resistances at $16.12 and $18.18. Overall, this stock is rated BUY today.

KGC’s earning is $0.93 per share, Next quarter estimated EPS is $0.25, current year estimated EPS is $0.88. Its PE ratio is 15.

NYSE: KKR (Kkr)

NYSE: KKR (Kkr) has closed at $13.17, its traded Volume was 4031.1K shares, KKR opened the Day at $12.4, it made an intraday Low of $12.29, and an intraday High of $13.25. KKR’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. This stock is BULLISH in short-term, and NEUTRAL in mid-long term. KKR has closed below upper band by 4.6%. Bollinger Bands are 35.2% wider than normal. The current width does not suggest anything. KKR (Kkr) 52-week High is $18.738, 52-week Low is: $8.95, it has supports at $10.58 and $8.94, resistances at $13.25 and $15.47. Overall, this stock is rated BUY today.

KKR’s earning is $1.84 per share, Next quarter estimated EPS is $0.42, current year estimated EPS is $0.98. Its PE ratio is 7.

NYSE: LYB (Lyondellbasell Industries Nv)

NYSE: LYB (Lyondellbasell Industries Nv) has closed at $32.33, its traded Volume was 4670.7K shares, LYB opened the Day at $31.1, it made an intraday Low of $30.96, and an intraday High of $32.36. LYB’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. This stock is NEUTRAL in short-term, and BEARISH in mid-long term. LYB has closed above the upper band by 12.9%. If price is in a uptrend band; upward trend might continue. However a short term pullback inside the band is likely. Bollinger Bands are 5.5% narrower than normal. The current width does not suggest anything. LYB (Lyondellbasell Industries Nv) 52-week High is $47.73, 52-week Low is: $22.9, it has supports at $27.53 and $22.89, resistances at $35.04 and $40.92. Overall, this stock is rated BUY today.

LYB’s earning is $4.73 per share, Next quarter estimated EPS is $0, current year estimated EPS is $0. Its PE ratio is 7.

NYSE: MON (Monsanto Company)

NYSE: MON (Monsanto Company) has closed at $74.79, its traded Volume was 4489.8K shares, MON opened the Day at $74.51, it made an intraday Low of $74.27, and an intraday High of $75.34. MON’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. This stock is BULLISH in short-term, and NEUTRAL in mid-long term. MON has closed below upper band by 30.0%. Bollinger Bands are 34.1% wider than normal. The current width does not suggest anything. MON (Monsanto Company) 52-week High is $76.727, 52-week Low is: $56.619, it has supports at $64.99 and $58.6, resistances at $75.33 and $87.98. Overall, this stock is rated BUY today.

MON’s earning is $2.96 per share, Next quarter estimated EPS is $2.12, current year estimated EPS is $3.44. Its PE ratio is 25.

NASDAQ: MU (Micron Technology)

NASDAQ: MU (Micron Technology) has closed at $5.66, its traded Volume was 34548.7K shares, MU opened the Day at $5.46, it made an intraday Low of $5.45, and an intraday High of $5.68. MU’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. This stock is NEUTRAL in short-term, and BEARISH in mid-long term. MU has closed below upper band by 24.2%. Bollinger Bands are 27.2% narrower than normal. The current width does not suggest anything. MU (Micron Technology) 52-week High is $11.95, 52-week Low is: $3.97, it has supports at $3.97 and $3.3, resistances at $6.1 and $7.42. Overall, this stock is rated BUY today.

MU’s earning is $0.17 per share, Next quarter estimated EPS is $0.01, current year estimated EPS is $0.18. Its PE ratio is 33.

NASDAQ: MYL (Mylan Inc.)

NASDAQ: MYL (Mylan Inc.) has closed at $18.53, its traded Volume was 8364.7K shares, MYL opened the Day at $18.06, it made an intraday Low of $17.88, and an intraday High of $18.63. MYL’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. This stock is NEUTRAL in short-term, and BEARISH in mid-long term. MYL has closed below upper band by 5.3%. Bollinger Bands are 35.4% narrower than normal. The current width does not suggest anything. MYL (Mylan Inc.) 52-week High is $25.46, 52-week Low is: $15.49, it has supports at $17.56 and $15.48, resistances at $20.95 and $24.46. Overall, this stock is rated BUY today.

MYL’s earning is $0.91 per share, Next quarter estimated EPS is $0.53, current year estimated EPS is $2. Its PE ratio is 20.

NASDAQ: NFLX (Netflix)

NASDAQ: NFLX (Netflix) has closed at $118.84, its traded Volume was 17208.5K shares, NFLX opened the Day at $119.37, it made an intraday Low of $115.1, and an intraday High of $120.28. NFLX’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. This stock is NEUTRAL in short-term, and BEARISH in mid-long term. NFLX has closed below upper band by 26.8%. Bollinger Bands are 70.6% narrower than normal. The narrow width of the bands suggests low volatility as compared to NFLX’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. NFLX (Netflix) 52-week High is $304.79, 52-week Low is: $103.13, it has supports at $103.12 and $85.79, resistances at $191.89 and $246.77. Overall, this stock is rated STRONG BUY today.

NFLX’s earning is $3.94 per share, Next quarter estimated EPS is $1.09, current year estimated EPS is $4.44. Its PE ratio is 30.

NYSE: PGR (Progressive Corp.)

NYSE: PGR (Progressive Corp.) has closed at $18.62, its traded Volume was 4410.1K shares, PGR opened the Day at $18.66, it made an intraday Low of $18.51, and an intraday High of $18.76. PGR’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. This stock is BULLISH in short-term, and NEUTRAL in mid-long term. PGR has closed below upper band by 20.2%. Bollinger Bands are 36% narrower than normal. The current width does not suggest anything. PGR (Progressive Corp.) 52-week High is $22.08, 52-week Low is: $16.88, it has supports at $17.78 and $16.87, resistances at $19.26 and $22.49. Overall, this stock is rated BUY today.

PGR’s earning is $1.78 per share, Next quarter estimated EPS is $0.42, current year estimated EPS is $1.48. Its PE ratio is 10.

NYSE: POT (Potash Corporation Of Saskatchewan Inc.)

NYSE: POT (Potash Corporation Of Saskatchewan Inc.) has closed at $50.23, its traded Volume was 8428.3K shares, POT opened the Day at $49.67, it made an intraday Low of $49.34, and an intraday High of $50.29. POT’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. This stock is NEUTRAL in short-term, and BEARISH in mid-long term. POT has closed below upper band by 22.9%. Bollinger Bands are 0.7% narrower than normal. The current width does not suggest anything. POT (Potash Corporation Of Saskatchewan Inc.) 52-week High is $63.721, 52-week Low is: $39.484, it has supports at $47.44 and $39.48, resistances at $60.33 and $70.46. Overall, this stock is rated BUY today.

POT’s earning is $2.75 per share, Next quarter estimated EPS is $1.04, current year estimated EPS is $3.74. Its PE ratio is 18.

AMEX: QLD (Ultra QQQ)

AMEX: QLD (Ultra QQQ) has closed at $90.01, its traded Volume was 4020.2K shares, QLD opened the Day at $87.1099, it made an intraday Low of $86.9096, and an intraday High of $90.52. QLD’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. This stock is BULLISH in short-term, and NEUTRAL in mid-long term. QLD has closed below upper band by 17.3%. Bollinger Bands are 23.6% wider than normal. The current width does not suggest anything. QLD (Ultra QQQ) 52-week High is $97.08, 52-week Low is: $66.37, it has supports at $75.59 and $66.37, resistances at $90.51 and $105.71. Overall, this stock is rated BUY today.

QLD’s earning is $0 per share, Next quarter estimated EPS is $0, current year estimated EPS is $0. Its PE ratio is 0.

NASDAQ: QQQ (QQQ Trust)

NASDAQ: QQQ (QQQ Trust) has closed at $58.49, its traded Volume was 61449.3K shares, QQQ opened the Day at $57.51, it made an intraday Low of $57.3105, and an intraday High of $58.65. QQQ’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. This stock is BULLISH in short-term, and NEUTRAL in mid-long term. QQQ has closed below upper band by 17.7%. Bollinger Bands are 27.7% wider than normal. The current width does not suggest anything. QQQ (QQQ Trust) 52-week High is $59.72, 52-week Low is: $49.836, it has supports at $53.24 and $49.9, resistances at $58.65 and $68.5. Overall, this stock is rated BUY today.

QQQ’s earning is $0 per share, Next quarter estimated EPS is $0, current year estimated EPS is $0. Its PE ratio is 0.

NYSE: RAD (Rite Aid Corp.)

NYSE: RAD (Rite Aid Corp.) has closed at $1.08, its traded Volume was 8156.4K shares, RAD opened the Day at $1.09, it made an intraday Low of $1.06, and an intraday High of $1.1. RAD’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. This stock is NEUTRAL in short-term, and BEARISH in mid-long term. RAD has closed below upper band by 18.4%. Bollinger Bands are 11.4% narrower than normal. The current width does not suggest anything. RAD (Rite Aid Corp.) 52-week High is $1.47, 52-week Low is: $0.85, it has supports at $0.98 and $0.85, resistances at $1.2 and $1.4. Overall, this stock is rated BUY today.

RAD’s earning is $-0.51 per share, Next quarter estimated EPS is $-0.12, current year estimated EPS is $-0.43. Its PE ratio is -2.

AMEX: RSX (Tr Russia ETF)

AMEX: RSX (Tr Russia ETF) has closed at $30.34, its traded Volume was 4154.9K shares, RSX opened the Day at $29.47, it made an intraday Low of $29.42, and an intraday High of $30.48. RSX’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. This stock is NEUTRAL in short-term, and BEARISH in mid-long term. RSX has closed below upper band by 3.1%. Bollinger Bands are 20.7% wider than normal. The current width does not suggest anything. RSX (Tr Russia ETF) 52-week High is $43.16, 52-week Low is: $23.23, it has supports at $27.25 and $23.22, resistances at $33.79 and $39.46. Overall, this stock is rated BUY today.

RSX’s earning is $0 per share, Next quarter estimated EPS is $0, current year estimated EPS is $0. Its PE ratio is 0.

NASDAQ: SBUX (Starbucks Corp.)

NASDAQ: SBUX (Starbucks Corp.) has closed at $42.54, its traded Volume was 6105.1K shares, SBUX opened the Day at $42.22, it made an intraday Low of $42.04, and an intraday High of $42.98. SBUX’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. This stock is BULLISH in short-term, and BULLISH in mid-long term. SBUX has closed below upper band by 20.9%. Bollinger Bands are 37% wider than normal. The current width does not suggest anything. SBUX (Starbucks Corp.) 52-week High is $42.98, 52-week Low is: $27.603, it has supports at $37.5 and $34.13, resistances at $42.97 and $50.18. Overall, this stock is rated BUY today.

SBUX’s earning is $1.52 per share, Next quarter estimated EPS is $0.51, current year estimated EPS is $1.52. Its PE ratio is 28.

NYSE: SE (Spectra Energy Corp)

NYSE: SE (Spectra Energy Corp) has closed at $28.55, its traded Volume was 4175.3K shares, SE opened the Day at $28.25, it made an intraday Low of $28.12, and an intraday High of $28.58. SE’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. This stock is BULLISH in short-term, and NEUTRAL in mid-long term. SE has closed below upper band by 6.5%. Bollinger Bands are 110.1% wider than normal. The large width of the bands suggest high volatility as compared to SE’s normal range. The bands have been in this wide range for 5 bars. This is a sign that the current trend might continue. SE (Spectra Energy Corp) 52-week High is $28.67, 52-week Low is: $22.556, it has supports at $25.23 and $23.17, resistances at $28.57 and $33.36. Overall, this stock is rated BUY today.

SE’s earning is $1.78 per share, Next quarter estimated EPS is $0.46, current year estimated EPS is $1.81. Its PE ratio is 16.

NASDAQ: SNDK (Sandisk Corp.)

NASDAQ: SNDK (Sandisk Corp.) has closed at $50.94, its traded Volume was 9773.8K shares, SNDK opened the Day at $49.62, it made an intraday Low of $49.5926, and an intraday High of $51.03. SNDK’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. This stock is BULLISH in short-term, and BULLISH in mid-long term. SNDK has closed above the upper band by 5.3%. If price is in a uptrend band; upward trend might continue. However a short term pullback inside the band is likely. Bollinger Bands are 44.3% wider than normal. The large width of the bands suggest high volatility as compared to SNDK’s normal range. The bands have been in this wide range for 1 bars. This is a sign that the current trend might continue. 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 10.

NASDAQ: SPLS (Staples)

NASDAQ: SPLS (Staples) has closed at $15.09, its traded Volume was 8706.9K shares, SPLS opened the Day at $14.9, it made an intraday Low of $14.85, and an intraday High of $15.3. SPLS’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. This stock is BULLISH in short-term, and NEUTRAL in mid-long term. SPLS has closed below upper band by 17.3%. Bollinger Bands are 15.2% narrower than normal. The current width does not suggest anything. SPLS (Staples) 52-week High is $23.309, 52-week Low is: $11.854, it has supports at $13.51 and $12.38, resistances at $15.36 and $17.94. Overall, this stock is rated BUY today.

SPLS’s earning is $1.3 per share, Next quarter estimated EPS is $0.43, current year estimated EPS is $1.4. Its PE ratio is 12.

NYSE: STD (Banco Santander S.A.)

NYSE: STD (Banco Santander S.A.) has closed at $8.48, its traded Volume was 5930.8K shares, STD opened the Day at $8.32, it made an intraday Low of $8.32, and an intraday High of $8.52. STD’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. This stock is BULLISH in short-term, and NEUTRAL in mid-long term. STD has closed below upper band by 25.0%. Bollinger Bands are 60.5% narrower than normal. The narrow width of the bands suggests low volatility as compared to STD’s normal range. The bands have been in this narrow range for 0 bars. This is a sign that the market might initiate a new trend. STD (Banco Santander S.A.) 52-week High is $12.02, 52-week Low is: $7.007, it has supports at $7.91 and $7, resistances at $9.39 and $10.96. Overall, this stock is rated BUY today.

STD’s earning is $1.11 per share, Next quarter estimated EPS is $0, current year estimated EPS is $1. Its PE ratio is 8.

NYSE: STP (Suntech Power Holdings Co.)

NYSE: STP (Suntech Power Holdings Co.) has closed at $2.43, its traded Volume was 6820.8K shares, STP opened the Day at $2.12, it made an intraday Low of $2.12, and an intraday High of $2.47. STP’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. This stock is NEUTRAL in short-term, and BEARISH in mid-long term. STP has closed below upper band by 28.8%. Bollinger Bands are 58.3% narrower than normal. The narrow width of the bands suggests low volatility as compared to STP’s normal range. The bands have been in this narrow range for 5 bars. This is a sign that the market might initiate a new trend. STP (Suntech Power Holdings Co.) 52-week High is $10.83, 52-week Low is: $1.7, it has supports at $1.7 and $1.41, resistances at $4.79 and $6.71. Overall, this stock is rated STRONG BUY today.

STP’s earning is $0.89 per share, Next quarter estimated EPS is $-0.16, current year estimated EPS is $-0.31. Its PE ratio is 3.

NASDAQ: TEVA (Teva Pharmaceutical Industries Limited)

NASDAQ: TEVA (Teva Pharmaceutical Industries Limited) has closed at $39.53, its traded Volume was 4553.8K shares, TEVA opened the Day at $38.77, it made an intraday Low of $38.39, and an intraday High of $39.63. TEVA’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. This stock is BULLISH in short-term, and NEUTRAL in mid-long term. TEVA has closed below upper band by 23.1%. Bollinger Bands are 9.9% 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 11.

NYSE: TGT (Target Corp.)

NYSE: TGT (Target Corp.) has closed at $54.72, its traded Volume was 4376.6K shares, TGT opened the Day at $54.41, it made an intraday Low of $54.41, and an intraday High of $55.175. TGT’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. This stock is BULLISH in short-term, and BULLISH in mid-long term. TGT has closed below upper band by 14.1%. Bollinger Bands are 24.7% wider than normal. The current width does not suggest anything. TGT (Target Corp.) 52-week High is $60.017, 52-week Low is: $44.997, it has supports at $50.44 and $47.52, resistances at $55.17 and $64.43. Overall, this stock is rated BUY today.

TGT’s earning is $4.21 per share, Next quarter estimated EPS is $1.48, current year estimated EPS is $4.23. Its PE ratio is 13.

NYSE: TRV (The Travelers Companies Inc)

NYSE: TRV (The Travelers Companies Inc) has closed at $57.62, its traded Volume was 4644.9K shares, TRV opened the Day at $57.16, it made an intraday Low of $57.01, and an intraday High of $58. TRV’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. This stock is BULLISH in short-term, and NEUTRAL in mid-long term. TRV has closed above the upper band by 2.3%. If price is in a uptrend band; upward trend might continue. However a short term pullback inside the band is likely. Bollinger Bands are 134.5% 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 3 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 $12.48, its traded Volume was 7181.3K shares, TSM opened the Day at $12.16, it made an intraday Low of $12.16, and an intraday High of $12.49. TSM’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. This stock is BULLISH in short-term, and NEUTRAL in mid-long term. TSM has closed above the upper band by 2.8%. If price is in a uptrend band; upward trend might continue. However a short term pullback inside the band is likely. Bollinger Bands are 28.8% narrower than normal. The current width does not suggest anything. TSM (Taiwan Semiconductor Manufacturing) 52-week High is $13.483, 52-week Low is: $10.268, 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: TXN (Texas Instruments Inc.)

NYSE: TXN (Texas Instruments Inc.) has closed at $31.69, its traded Volume was 15753.1K shares, TXN opened the Day at $30.63, it made an intraday Low of $30.63, and an intraday High of $31.71. TXN’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. This stock is BULLISH in short-term, and NEUTRAL in mid-long term. TXN has closed below upper band by 7.7%. Bollinger Bands are 25% wider than normal. The current width does not suggest anything. TXN (Texas Instruments Inc.) 52-week High is $36.419, 52-week Low is: $24.34, it has supports at $27.15 and $24.34, resistances at $31.7 and $37.02. Overall, this stock is rated BUY today.

TXN’s earning is $2.6 per share, Next quarter estimated EPS is $0.54, current year estimated EPS is $2.24. Its PE ratio is 12.

NYSE: USB (U.S. Bancorp)

NYSE: USB (U.S. Bancorp) has closed at $25.57, its traded Volume was 14530.8K shares, USB opened the Day at $25.49, it made an intraday Low of $25.32, and an intraday High of $25.8099. USB’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. This stock is BULLISH in short-term, and NEUTRAL in mid-long term. USB has closed below upper band by 3.7%. Bollinger Bands are 8.6% narrower than normal. The current width does not suggest anything. USB (U.S. Bancorp) 52-week High is $28.506, 52-week Low is: $19.997, it has supports at $22.2 and $19.99, resistances at $25.8 and $30.13. Overall, this stock is rated BUY today.

USB’s earning is $2.06 per share, Next quarter estimated EPS is $0.61, current year estimated EPS is $2.36. Its PE ratio is 12.

NASDAQ: VOD (Vodafone Group Plc)

NASDAQ: VOD (Vodafone Group Plc) has closed at $28.21, its traded Volume was 6244.6K shares, VOD opened the Day at $27.89, it made an intraday Low of $27.85, and an intraday High of $28.23. VOD’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. This stock is BULLISH in short-term, and NEUTRAL in mid-long term. VOD has closed below upper band by 7.2%. Bollinger Bands are 18.2% wider than normal. The current width does not suggest anything. VOD (Vodafone Group Plc) 52-week High is $28.75, 52-week Low is: $23.968, it has supports at $25.79 and $24.3, resistances at $28.22 and $32.96. Overall, this stock is rated BUY today.

VOD’s earning is $2.39 per share, Next quarter estimated EPS is $0, current year estimated EPS is $2.64. Its PE ratio is 12.

NYSE: WEN (The Wendy’s Company)

NYSE: WEN (The Wendy’s Company) has closed at $4.75, its traded Volume was 5327.4K shares, WEN opened the Day at $4.64, it made an intraday Low of $4.56, and an intraday High of $4.76. WEN’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. This stock is NEUTRAL in short-term, and BEARISH in mid-long term. WEN has closed below upper band by 23.3%. Bollinger Bands are 40.8% narrower than normal. The narrow width of the bands suggests low volatility as compared to WEN’s normal range. The bands have been in this narrow range for 0 bars. This is a sign that the market might initiate a new trend. WEN (The Wendy’s Company) 52-week High is $5.6, 52-week Low is: $4.29, it has supports at $4.61 and $4.28, resistances at $5.17 and $6.03. Overall, this stock is rated BUY today.

WEN’s earning is $0 per share, Next quarter estimated EPS is $0.04, current year estimated EPS is $0.15. Its PE ratio is 0.

NYSE: WFR (Memc Electronic Materials)

NYSE: WFR (Memc Electronic Materials) has closed at $6.25, its traded Volume was 4723.8K shares, WFR opened the Day at $5.84, it made an intraday Low of $5.83, and an intraday High of $6.255. WFR’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. This stock is NEUTRAL in short-term, and BEARISH in mid-long term. WFR has closed below upper band by 4.9%. Bollinger Bands are 41% narrower than normal. The narrow width of the bands suggests low volatility as compared to WFR’s normal range. The bands have been in this narrow range for 0 bars. This is a sign that the market might initiate a new trend. WFR (Memc Electronic Materials) 52-week High is $15.04, 52-week Low is: $4.58, it has supports at $5.59 and $4.57, resistances at $7.26 and $8.47. Overall, this stock is rated BUY today.

WFR’s earning is $0.31 per share, Next quarter estimated EPS is $0.32, current year estimated EPS is $0.84. Its PE ratio is 20.

NYSE: WU (Western Union Company)

NYSE: WU (Western Union Company) has closed at $17.58, its traded Volume was 5235.1K shares, WU opened the Day at $17.23, it made an intraday Low of $17.14, and an intraday High of $17.6. WU’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. This stock is BULLISH in short-term, and NEUTRAL in mid-long term. WU has closed below upper band by 5.6%. Bollinger Bands are 48.2% wider than normal. The large width of the bands suggest high volatility as compared to WU’s normal range. The bands have been in this wide range for 4 bars. This is a sign that the current trend might continue. WU (Western Union Company) 52-week High is $21.798, 52-week Low is: $14.55, it has supports at $15.71 and $14.55, resistances at $17.6 and $20.55. Overall, this stock is rated BUY today.

WU’s earning is $1.47 per share, Next quarter estimated EPS is $0.41, current year estimated EPS is $1.56. Its PE ratio is 12.

AMEX: XHB (SPDR Homebuilders ETF)

AMEX: XHB (SPDR Homebuilders ETF) has closed at $16.49, its traded Volume was 13845.9K shares, XHB opened the Day at $16.06, it made an intraday Low of $15.94, and an intraday High of $16.64. XHB’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. This stock is BULLISH in short-term, and NEUTRAL in mid-long term. XHB has closed above the upper band by 1.4%. If price is in a uptrend band; upward trend might continue. However a short term pullback inside the band is likely. Bollinger Bands are 51.7% wider than normal. The large width of the bands suggest high volatility as compared to XHB’s normal range. The bands have been in this wide range for 3 bars. This is a sign that the current trend might continue. XHB (SPDR Homebuilders ETF) 52-week High is $19.119, 52-week Low is: $12.21, it has supports at $13.89 and $12.21, resistances at $16.63 and $19.42. Overall, this stock is rated BUY today.

XHB’s earning is $0 per share, Next quarter estimated EPS is $0, current year estimated EPS is $0. Its PE ratio is 0.

AMEX: XLF (SPDR Fund – Financial)

AMEX: XLF (SPDR Fund – Financial) has closed at $13.42, its traded Volume was 101646K shares, XLF opened the Day at $13.17, it made an intraday Low of $13.15, and an intraday High of $13.45. XLF’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. This stock is BULLISH in short-term, and NEUTRAL in mid-long term. XLF has closed above the upper band by 1.5%. If price is in a uptrend band; upward trend might continue. However a short term pullback inside the band is likely. Bollinger Bands are 12.8% wider than normal. The current width does not suggest anything. XLF (SPDR Fund – Financial) 52-week High is $17.03, 52-week Low is: $10.95, it has supports at $11.89 and $10.94, resistances at $13.44 and $15.69. Overall, this stock is rated BUY today.

XLF’s earning is $0 per share, Next quarter estimated EPS is $0, current year estimated EPS is $0. Its PE ratio is 0.

AMEX: XLI (SPDR Fund – Industrial)

AMEX: XLI (SPDR Fund – Industrial) has closed at $33.28, its traded Volume was 20781.2K shares, XLI opened the Day at $32.9, it made an intraday Low of $32.8, and an intraday High of $33.395. XLI’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. This stock is BULLISH in short-term, and NEUTRAL in mid-long term. XLI has closed below upper band by 6.4%. Bollinger Bands are 10% wider than normal. The current width does not suggest anything. XLI (SPDR Fund – Industrial) 52-week High is $38.788, 52-week Low is: $27.67, it has supports at $29.85 and $27.67, resistances at $33.39 and $38.99. Overall, this stock is rated BUY today.

XLI’s earning is $0 per share, Next quarter estimated EPS is $0, current year estimated EPS is $0. Its PE ratio is 0.

AMEX: XLY (SPDR Fund – Consumer Discretionary)

AMEX: XLY (SPDR Fund – Consumer Discretionary) has closed at $39.9, its traded Volume was 13107.5K shares, XLY opened the Day at $39.55, it made an intraday Low of $39.37, and an intraday High of $40.04. XLY’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. This stock is BULLISH in short-term, and NEUTRAL in mid-long term. XLY has closed below upper band by 8.1%. Bollinger Bands are 32.5% wider than normal. The current width does not suggest anything. XLY (SPDR Fund – Consumer Discretionary) 52-week High is $41.639, 52-week Low is: $33.07, it has supports at $35.72 and $33.06, resistances at $40.04 and $46.76. Overall, this stock is rated BUY today.

XLY’s earning is $0 per share, Next quarter estimated EPS is $0, current year estimated EPS is $0. Its PE ratio is 0.

NASDAQ: YHOO (Yahoo! Inc.)

NASDAQ: YHOO (Yahoo! Inc.) has closed at $16.71, its traded Volume was 29863.9K shares, YHOO opened the Day at $16.57, it made an intraday Low of $16.31, and an intraday High of $16.75. YHOO’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. This stock is BULLISH in short-term, and BULLISH in mid-long term. YHOO has closed below upper band by 0.4%. Bollinger Bands are 18% narrower than normal. The current width does not suggest anything. YHOO (Yahoo! Inc.) 52-week High is $18.84, 52-week Low is: $11.09, it has supports at $14.1 and $12.44, resistances at $16.79 and $19.61. Overall, this stock is rated BUY today.

YHOO’s earning is $0.82 per share, Next quarter estimated EPS is $0.2, current year estimated EPS is $0.8. Its PE ratio is 20.


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