Top Buy Stocks: AAPL, ABX, AXP… (Dec 21)

NASDAQ: AAPL (Apple Inc.)

NASDAQ: AAPL (Apple Inc.) has closed at $396.445, its traded Volume was 9353.8K shares, AAPL opened the Day at $396.52, it made an intraday Low of $392.01, and an intraday High of $397.3. AAPL’s close price is above its Short term MA, short term MA is below mid-term, and above long term MA. AAPL has closed below upper band by 14.4%. Bollinger Bands are 48.6% narrower than normal. The narrow width of the bands suggests low volatility as compared to AAPL’s normal range. The bands have been in this narrow range for 3 bars. This is a sign that the market might initiate a new trend. AAPL (Apple Inc.) 52-week High is $426.7, 52-week Low is: $310.5, it has supports at $387.53 and $363.32, resistances at $426.7 and $498.38. Overall, this stock is rated STRONG BUY today.

AAPL’s earning is $27.68 per share, Next quarter estimated EPS is $7.86, current year estimated EPS is $34.76. Its PE ratio is 14.

NYSE: ABX (Barrick Gold Corp.)

NYSE: ABX (Barrick Gold Corp.) has closed at $46.28, its traded Volume was 6137.4K shares, ABX opened the Day at $46.64, it made an intraday Low of $45.81, and an intraday High of $46.73. ABX’s close price is below its Short term MA, short term MA is below mid-term, and below long term MA. ABX has closed above bottom band by 34.0%. Bollinger Bands are 59.1% wider than normal. The large width of the bands suggest high volatility as compared to ABX’s normal range. The bands have been in this wide range for 4 bars. This is a sign that the current trend might continue. ABX (Barrick Gold Corp.) 52-week High is $55.778, 52-week Low is: $42.264, it has supports at $42.98 and $35.75, resistances at $49.25 and $53.13. Overall, this stock is rated STRONG BUY today.

ABX’s earning is $4.17 per share, Next quarter estimated EPS is $1.42, current year estimated EPS is $4.91. Its PE ratio is 11.

NYSE: AXP (American Express Company)

NYSE: AXP (American Express Company) has closed at $47.49, its traded Volume was 6232.7K shares, AXP opened the Day at $48.12, it made an intraday Low of $47.23, and an intraday High of $48.49. AXP’s close price is below its Short term MA, short term MA is below mid-term, and above long term MA. AXP has closed above bottom band by 42.5%. Bollinger Bands are 47.1% narrower than normal. The narrow width of the bands suggests low volatility as compared to AXP’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. AXP (American Express Company) 52-week High is $53.579, 52-week Low is: $41.129, it has supports at $44.68 and $37.17, resistances at $49.41 and $52.34. Overall, this stock is rated BUY today.

AXP’s earning is $3.99 per share, Next quarter estimated EPS is $0.97, current year estimated EPS is $4.07. Its PE ratio is 12.

NYSE: BK (Bank Of New York Mellon Corp.)

NYSE: BK (Bank Of New York Mellon Corp.) has closed at $19.55, its traded Volume was 6213.6K shares, BK opened the Day at $19.61, it made an intraday Low of $19.21, and an intraday High of $19.63. BK’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. BK has closed below upper band by 33.7%. Bollinger Bands are 50.2% narrower than normal. The narrow width of the bands suggests low volatility as compared to BK’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. BK (Bank Of New York Mellon Corp.) 52-week High is $31.901, 52-week Low is: $16.991, it has supports at $17.67 and $14.7, resistances at $20.69 and $22.56. Overall, this stock is rated BUY today.

BK’s earning is $2.16 per share, Next quarter estimated EPS is $0.54, current year estimated EPS is $2.16. Its PE ratio is 9.

NYSE: COP (Conocophillips)

NYSE: COP (Conocophillips) has closed at $70.62, its traded Volume was 6832.2K shares, COP opened the Day at $69.96, it made an intraday Low of $69.74, and an intraday High of $70.78. COP’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. COP has closed below upper band by 49.5%. Bollinger Bands are 15.1% narrower than normal. The current width does not suggest anything. COP (Conocophillips) 52-week High is $79.567, 52-week Low is: $58.075, it has supports at $69.06 and $66.08, resistances at $73.9 and $86.31. Overall, this stock is rated BUY today.

COP’s earning is $7.8 per share, Next quarter estimated EPS is $1.96, current year estimated EPS is $8.69. Its PE ratio is 9.

NYSE: DOW (DOW Chemical Company)

NYSE: DOW (DOW Chemical Company) has closed at $27.28, its traded Volume was 9653.9K shares, DOW opened the Day at $27.03, it made an intraday Low of $26.77, and an intraday High of $27.33. DOW’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. DOW has closed below upper band by 37.5%. Bollinger Bands are 36.7% narrower than normal. The current width does not suggest anything. DOW (DOW Chemical Company) 52-week High is $41.515, 52-week Low is: $20.61, it has supports at $26.37 and $24.42, resistances at $29.55 and $34.51. Overall, this stock is rated STRONG BUY today.

DOW’s earning is $2.44 per share, Next quarter estimated EPS is $0.7, current year estimated EPS is $2.66. Its PE ratio is 11.

NASDAQ: EBAY (Ebay Inc.)

NASDAQ: EBAY (Ebay Inc.) has closed at $30.34, its traded Volume was 8075.7K shares, EBAY opened the Day at $30.51, it made an intraday Low of $29.71, and an intraday High of $30.9. EBAY’s close price is below its Short term MA, short term MA is below mid-term, and below long term MA. EBAY has closed above bottom band by 43.4%. Bollinger Bands are 50.8% narrower than normal. The narrow width of the bands suggests low volatility as compared to EBAY’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. EBAY (Ebay Inc.) 52-week High is $35.35, 52-week Low is: $26.86, it has supports at $28.14 and $23.41, resistances at $32.02 and $34.43. Overall, this stock is rated BUY today.

EBAY’s earning is $1.37 per share, Next quarter estimated EPS is $0.54, current year estimated EPS is $2. Its PE ratio is 22.

NASDAQ: GILD (Gilead Sciences)

NASDAQ: GILD (Gilead Sciences) has closed at $38.85, its traded Volume was 5718.7K shares, GILD opened the Day at $38.09, it made an intraday Low of $38.08, and an intraday High of $38.87. GILD’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. GILD has closed below upper band by 49.8%. Bollinger Bands are 22.3% narrower than normal. The current width does not suggest anything. GILD (Gilead Sciences) 52-week High is $43.49, 52-week Low is: $34.45, it has supports at $37.7 and $34.45, resistances at $42.97 and $50.18. Overall, this stock is rated BUY today.

GILD’s earning is $3.42 per share, Next quarter estimated EPS is $1.03, current year estimated EPS is $3.93. Its PE ratio is 11.

NYSE: JPM (J P Morgan Chase & Co)

NYSE: JPM (J P Morgan Chase & Co) has closed at $32.32, its traded Volume was 30670.1K shares, JPM opened the Day at $32.04, it made an intraday Low of $31.9, and an intraday High of $32.41. JPM’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. JPM has closed below upper band by 46.3%. Bollinger Bands are 36.9% narrower than normal. The current width does not suggest anything. JPM (J P Morgan Chase & Co) 52-week High is $47.392, 52-week Low is: $27.85, it has supports at $28.28 and $23.52, resistances at $34 and $37.54. Overall, this stock is rated BUY today.

JPM’s earning is $4.69 per share, Next quarter estimated EPS is $1.15, current year estimated EPS is $4.53. Its PE ratio is 7.

NYSE: LLY (Eli Lilly And Company)

NYSE: LLY (Eli Lilly And Company) has closed at $41.57, its traded Volume was 5986.2K shares, LLY opened the Day at $41.18, it made an intraday Low of $41.1, and an intraday High of $41.57. LLY’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. LLY has closed below upper band by 11.2%. Bollinger Bands are 80.4% wider than normal. The large width of the bands suggest high volatility as compared to LLY’s normal range. The bands have been in this wide range for 10 bars. This is a sign that the current trend might continue. LLY (Eli Lilly And Company) 52-week High is $41.57, 52-week Low is: $32.147, it has supports at $37.78 and $35.45, resistances at $41.56 and $48.54. Overall, this stock is rated BUY today.

LLY’s earning is $4.18 per share, Next quarter estimated EPS is $0.84, current year estimated EPS is $4.34. Its PE ratio is 10.

NYSE: MGM (Mgm Resorts International)

NYSE: MGM (Mgm Resorts International) has closed at $9.47, its traded Volume was 7585.4K shares, MGM opened the Day at $9.33, it made an intraday Low of $9.23, and an intraday High of $9.54. MGM’s close price is below its Short term MA, short term MA is below mid-term, and below long term MA. MGM has closed above bottom band by 33.5%. Bollinger Bands are 36.1% narrower than normal. The current width does not suggest anything. MGM (Mgm Resorts International) 52-week High is $16.94, 52-week Low is: $7.4, it has supports at $8.94 and $7.43, resistances at $11.07 and $12.4. Overall, this stock is rated BUY today.

MGM’s earning is $5.79 per share, Next quarter estimated EPS is $-0.16, current year estimated EPS is $-0.53. Its PE ratio is 2.

NYSE: NBR (Nabors Industries)

NYSE: NBR (Nabors Industries) has closed at $17.83, its traded Volume was 5095.4K shares, NBR opened the Day at $17.74, it made an intraday Low of $17.29, and an intraday High of $17.87. NBR’s close price is above its Short term MA, short term MA is below mid-term, and above long term MA. NBR has closed below upper band by 36.0%. Bollinger Bands are 48.6% narrower than normal. The narrow width of the bands suggests low volatility as compared to NBR’s normal range. The bands have been in this narrow range for 8 bars. This is a sign that the market might initiate a new trend. NBR (Nabors Industries) 52-week High is $32.47, 52-week Low is: $11.05, it has supports at $16.58 and $13.86, resistances at $21 and $24.52. Overall, this stock is rated STRONG BUY today.

NBR’s earning is $1.38 per share, Next quarter estimated EPS is $0.53, current year estimated EPS is $1.47. Its PE ratio is 13.

NYSE: NKE (Nike)

NYSE: NKE (Nike) has closed at $96.35, its traded Volume was 6250.7K shares, NKE opened the Day at $95.83, it made an intraday Low of $94.29, and an intraday High of $97.29. NKE’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. NKE has closed below upper band by 31.0%. Bollinger Bands are 42.9% narrower than normal. The narrow width of the bands suggests low volatility as compared to NKE’s normal range. The bands have been in this narrow range for 3 bars. This is a sign that the market might initiate a new trend. NKE (Nike) 52-week High is $98.25, 52-week Low is: $68.666, it has supports at $91.69 and $87.65, resistances at $98.25 and $114.75. Overall, this stock is rated STRONG BUY today.

NKE’s earning is $4.61 per share, Next quarter estimated EPS is $1.26, current year estimated EPS is $4.99. Its PE ratio is 21.

NASDAQ: NVDA (Nvidia Corp.)

NASDAQ: NVDA (Nvidia Corp.) has closed at $13.72, its traded Volume was 13708.9K shares, NVDA opened the Day at $13.83, it made an intraday Low of $13.45, and an intraday High of $13.97. NVDA’s close price is below its Short term MA, short term MA is below mid-term, and above long term MA. NVDA has closed above bottom band by 28.4%. Bollinger Bands are 29.2% wider than normal. The current width does not suggest anything. NVDA (Nvidia Corp.) 52-week High is $26.17, 52-week Low is: $11.47, it has supports at $13.1 and $10.89, resistances at $14.91 and $16.04. Overall, this stock is rated BUY today.

NVDA’s earning is $1.04 per share, Next quarter estimated EPS is $0.23, current year estimated EPS is $1.03. Its PE ratio is 13.

NYSE: PBR (Petroleo Brasileiro S.A.- Petrobras)

NYSE: PBR (Petroleo Brasileiro S.A.- Petrobras) has closed at $25.21, its traded Volume was 11421.6K shares, PBR opened the Day at $25.05, it made an intraday Low of $24.65, and an intraday High of $25.31. PBR’s close price is below its Short term MA, short term MA is above mid-term, and below long term MA. PBR has closed above bottom band by 31.7%. Bollinger Bands are 11.8% wider than normal. The current width does not suggest anything. PBR (Petroleo Brasileiro S.A.- Petrobras) 52-week High is $42.575, 52-week Low is: $20.76, it has supports at $22.53 and $18.74, resistances at $26.27 and $28.59. Overall, this stock is rated BUY today.

PBR’s earning is $3.2 per share, Next quarter estimated EPS is $0, current year estimated EPS is $0. Its PE ratio is 8.

NYSE: PG (Procter & Gamble Company)

NYSE: PG (Procter & Gamble Company) has closed at $66, its traded Volume was 9467.6K shares, PG opened the Day at $65.4999, it made an intraday Low of $65.4999, and an intraday High of $66. PG’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. PG has closed above the upper band by 5.6%. If price is in a uptrend band; upward trend might continue. However a short term pullback inside the band is likely. Bollinger Bands are 48.7% narrower than normal. The narrow width of the bands suggests low volatility as compared to PG’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. PG (Procter & Gamble Company) 52-week High is $66.625, 52-week Low is: $57.092, it has supports at $63.02 and $61, resistances at $66.3 and $77.43. Overall, this stock is rated BUY today.

PG’s earning is $3.94 per share, Next quarter estimated EPS is $1.07, current year estimated EPS is $4.19. Its PE ratio is 17.

NASDAQ: QCOM (Qualcomm Inc.)

NASDAQ: QCOM (Qualcomm Inc.) has closed at $53.49, its traded Volume was 9891.3K shares, QCOM opened the Day at $54.19, it made an intraday Low of $52.8, and an intraday High of $54.4005. QCOM’s close price is below its Short term MA, short term MA is below mid-term, and above long term MA. QCOM has closed above bottom band by 38.5%. Bollinger Bands are 44.4% narrower than normal. The narrow width of the bands suggests low volatility as compared to QCOM’s normal range. The bands have been in this narrow range for 8 bars. This is a sign that the market might initiate a new trend. QCOM (Qualcomm Inc.) 52-week High is $59.118, 52-week Low is: $45.594, it has supports at $49.59 and $41.25, resistances at $54.62 and $57.74. Overall, this stock is rated BUY today.

QCOM’s earning is $2.52 per share, Next quarter estimated EPS is $0.88, current year estimated EPS is $3.57. Its PE ratio is 21.

NASDAQ: RFMD (Rf Micro Devices)

NASDAQ: RFMD (Rf Micro Devices) has closed at $5.4, its traded Volume was 8008.4K shares, RFMD opened the Day at $5.33, it made an intraday Low of $5.26, and an intraday High of $5.425. RFMD’s close price is below its Short term MA, short term MA is below mid-term, and below long term MA. RFMD has closed above bottom band by 39.6%. Bollinger Bands are 29.7% wider than normal. The current width does not suggest anything. RFMD (Rf Micro Devices) 52-week High is $8.48, 52-week Low is: $4.95, it has supports at $4.96 and $4.12, resistances at $6.76 and $7.88. Overall, this stock is rated STRONG BUY today.

RFMD’s earning is $0.3 per share, Next quarter estimated EPS is $0.11, current year estimated EPS is $0.41. Its PE ratio is 18.

NYSE: T (AT&T Inc.)

NYSE: T (AT&T Inc.) has closed at $29.3, its traded Volume was 27573.3K shares, T opened the Day at $29.15, it made an intraday Low of $29.03, and an intraday High of $29.3. T’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. T has closed below upper band by 10.9%. Bollinger Bands are 59.2% narrower than normal. The narrow width of the bands suggests low volatility as compared to T’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. T (AT&T Inc.) 52-week High is $31.028, 52-week Low is: $26.053, it has supports at $28.31 and $27.4, resistances at $29.79 and $34.79. Overall, this stock is rated BUY today.

T’s earning is $1.97 per share, Next quarter estimated EPS is $0.6, current year estimated EPS is $2.26. Its PE ratio is 15.

NYSE: TSM (Taiwan Semiconductor Manufacturing)

NYSE: TSM (Taiwan Semiconductor Manufacturing) has closed at $12.71, its traded Volume was 16680.9K shares, TSM opened the Day at $12.87, it made an intraday Low of $12.52, and an intraday High of $12.95. TSM’s close price is below its Short term MA, short term MA is above mid-term, and above long term MA. TSM has closed above bottom band by 36.4%. Bollinger Bands are 10.1% narrower than normal. The current width does not suggest anything. TSM (Taiwan Semiconductor Manufacturing) 52-week High is $13.483, 52-week Low is: $10.75, it has supports at $12.29 and $11.64, resistances at $13.35 and $15.59. Overall, this stock is rated BUY today.

TSM’s earning is $0.91 per share, Next quarter estimated EPS is $0.18, current year estimated EPS is $1.71. Its PE ratio is 14.

NYSE: UNH (Unitedhealth Group Inc.)

NYSE: UNH (Unitedhealth Group Inc.) has closed at $49.99, its traded Volume was 6686.9K shares, UNH opened the Day at $49.84, it made an intraday Low of $49.55, and an intraday High of $50. UNH’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. UNH has closed above the upper band by 1.7%. If price is in a uptrend band; upward trend might continue. However a short term pullback inside the band is likely. Bollinger Bands are 59.2% narrower than normal. The narrow width of the bands suggests low volatility as compared to UNH’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. UNH (Unitedhealth Group Inc.) 52-week High is $53.134, 52-week Low is: $34.924, it has supports at $45.49 and $42.71, resistances at $50 and $58.39. 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 $4.57. Its PE ratio is 11.

NYSE: USB (U.S. Bancorp)

NYSE: USB (U.S. Bancorp) has closed at $26.81, its traded Volume was 12947.2K shares, USB opened the Day at $26.53, it made an intraday Low of $26.08, and an intraday High of $26.87. USB’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. USB has closed above the upper band by 7.0%. If price is in a uptrend band; upward trend might continue. However a short term pullback inside the band is likely. Bollinger Bands are 55.5% narrower than normal. The narrow width of the bands suggests low volatility as compared to USB’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. USB (U.S. Bancorp) 52-week High is $28.506, 52-week Low is: $19.997, it has supports at $24.81 and $23.54, resistances at $26.87 and $31.38. Overall, this stock is rated BUY today.

USB’s earning is $2.26 per share, Next quarter estimated EPS is $0.62, current year estimated EPS is $2.39. Its PE ratio is 12.

NASDAQ: VOD (Vodafone Group Plc)

NASDAQ: VOD (Vodafone Group Plc) has closed at $27.26, its traded Volume was 7429.9K shares, VOD opened the Day at $27.26, it made an intraday Low of $27.1, and an intraday High of $27.36. VOD’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. VOD has closed below upper band by 35.8%. Bollinger Bands are 69.8% narrower than normal. The narrow width of the bands suggests low volatility as compared to VOD’s normal range. The bands have been in this narrow range for 3 bars. This is a sign that the market might initiate a new trend. VOD (Vodafone Group Plc) 52-week High is $28.132, 52-week Low is: $23.361, it has supports at $26.57 and $25.62, resistances at $28.13 and $32.85. Overall, this stock is rated BUY today.

VOD’s earning is $2.12 per share, Next quarter estimated EPS is $0, current year estimated EPS is $2.68. Its PE ratio is 13.

NYSE: WFC (Wells Fargo & Company)

NYSE: WFC (Wells Fargo & Company) has closed at $26.89, its traded Volume was 28536.1K shares, WFC opened the Day at $26.56, it made an intraday Low of $26.21, and an intraday High of $26.89. WFC’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. WFC has closed below upper band by 18.5%. Bollinger Bands are 41.9% narrower than normal. The narrow width of the bands suggests low volatility as compared to WFC’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. WFC (Wells Fargo & Company) 52-week High is $33.798, 52-week Low is: $22.471, it has supports at $24.79 and $23.19, resistances at $27.4 and $32. Overall, this stock is rated BUY today.

WFC’s earning is $2.7 per share, Next quarter estimated EPS is $0.73, current year estimated EPS is $2.82. Its PE ratio is 10.

NYSE: XOM (Exxon Mobil Corp.)

NYSE: XOM (Exxon Mobil Corp.) has closed at $83.12, its traded Volume was 19149.2K shares, XOM opened the Day at $82.02, it made an intraday Low of $82, and an intraday High of $83.34. XOM’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. XOM has closed above the upper band by 16.3%. If price is in a uptrend band; upward trend might continue. However a short term pullback inside the band is likely. Bollinger Bands are 51.1% narrower than normal. The narrow width of the bands suggests low volatility as compared to XOM’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. XOM (Exxon Mobil Corp.) 52-week High is $86.639, 52-week Low is: $66.197, it has supports at $77.5 and $73.9, resistances at $83.33 and $97.32. Overall, this stock is rated BUY today.

XOM’s earning is $8.28 per share, Next quarter estimated EPS is $2.04, current year estimated EPS is $8.56. Its PE ratio is 10.

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