Top Buy Stocks: AIG, AMD, ATVI… (Dec 1)

NYSE: AIG (American International Group)

NYSE: AIG (American International Group) has closed at $23, its traded Volume was 6062.4K shares, AIG opened the Day at $23.15, it made an intraday Low of $22.83, and an intraday High of $23.32. 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 30.2%. Bollinger Bands are 6.5% 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 $19.18 and $15.95, resistances at $24.1 and $27.15. Overall, this stock is rated BUY today.

AIG’s earning is $4.41 per share, Next quarter estimated EPS is $0.66, current year estimated EPS is $0.86. Its PE ratio is 5.

NYSE: AMD (Advanced Micro Devices)

NYSE: AMD (Advanced Micro Devices) has closed at $5.7, its traded Volume was 10877.7K shares, AMD opened the Day at $5.61, it made an intraday Low of $5.54, and an intraday High of $5.74. AMD’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. AMD has closed below upper band by 31.4%. Bollinger Bands are 32.1% narrower than normal. The current width does not suggest anything. AMD (Advanced Micro Devices) 52-week High is $9.58, 52-week Low is: $4.31, it has supports at $5.23 and $4.3, resistances at $6.76 and $7.89. Overall, this stock is rated BUY today.

AMD’s earning is $1.41 per share, Next quarter estimated EPS is $0.11, current year estimated EPS is $0.48. Its PE ratio is 4.

NASDAQ: ATVI (Activision Blizzard Inc)

NASDAQ: ATVI (Activision Blizzard Inc) has closed at $12.41, its traded Volume was 9519.2K shares, ATVI opened the Day at $12.35, it made an intraday Low of $12.25, and an intraday High of $12.48. ATVI’s close price is above its Short term MA, short term MA is below mid-term, and above long term MA. ATVI has closed below upper band by 37.9%. Bollinger Bands are 12.7% wider than normal. The current width does not suggest anything. ATVI (Activision Blizzard Inc) 52-week High is $14.4, 52-week Low is: $10.245, it has supports at $11.25 and $9.36, resistances at $13.19 and $14.39. Overall, this stock is rated BUY today.

ATVI’s earning is $0.63 per share, Next quarter estimated EPS is $0.15, current year estimated EPS is $0.86. Its PE ratio is 20.

NYSE: AUY (Yamana Gold)

NYSE: AUY (Yamana Gold) has closed at $16.81, its traded Volume was 5107.8K shares, AUY opened the Day at $16.77, it made an intraday Low of $16.58, and an intraday High of $16.94. AUY’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. AUY has closed below upper band by 8.9%. Bollinger Bands are 2.6% wider than normal. The current width does not suggest anything. AUY (Yamana Gold) 52-week High is $17.419, 52-week Low is: $10.792, it has supports at $14.1 and $12.35, resistances at $16.94 and $19.78. Overall, this stock is rated BUY today.

AUY’s earning is $0.76 per share, Next quarter estimated EPS is $0.28, current year estimated EPS is $0.99. Its PE ratio is 22.

NYSE: BMY (Bristol-Myers Squibb Company)

NYSE: BMY (Bristol-Myers Squibb Company) has closed at $32.9, its traded Volume was 13197.6K shares, BMY opened the Day at $32.28, it made an intraday Low of $32.27, and an intraday High of $33.1. BMY’s close price is above its Short term MA, short term MA is below mid-term, and above long term MA. BMY has closed above the upper band by 3.9%. If price is in a uptrend band; upward trend might continue. However a short term pullback inside the band is likely. Bollinger Bands are 43.3% wider than normal. The large width of the bands suggest high volatility as compared to BMY’s normal range. The bands have been in this wide range for 0 bars. This is a sign that the current trend might continue. BMY (Bristol-Myers Squibb Company) 52-week High is $33.27, 52-week Low is: $24.13, it has supports at $30.85 and $29.36, resistances at $33.27 and $38.85. Overall, this stock is rated BUY today.

BMY’s earning is $1.94 per share, Next quarter estimated EPS is $0.64, current year estimated EPS is $2.3. Its PE ratio is 17.

NYSE: BSBR (Banco Santander Brasil Sa)

NYSE: BSBR (Banco Santander Brasil Sa) has closed at $7.98, its traded Volume was 8391.4K shares, BSBR opened the Day at $7.74, it made an intraday Low of $7.74, and an intraday High of $8.05. BSBR’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. BSBR has closed below upper band by 36.6%. Bollinger Bands are 16.6% wider than normal. The current width does not suggest anything. BSBR (Banco Santander Brasil Sa) 52-week High is $13.694, 52-week Low is: $6.73, it has supports at $6.73 and $5.59, resistances at $8.49 and $9.59. Overall, this stock is rated BUY today.

BSBR’s earning is $1.16 per share, Next quarter estimated EPS is $0.22, current year estimated EPS is $0.8. Its PE ratio is 7.

NYSE: CAT (Caterpillar)

NYSE: CAT (Caterpillar) has closed at $96.82, its traded Volume was 7489.2K shares, CAT opened the Day at $97.23, it made an intraday Low of $95.76, and an intraday High of $98. CAT’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. CAT has closed below upper band by 23.3%. Bollinger Bands are 12.8% narrower than normal. The current width does not suggest anything. CAT (Caterpillar) 52-week High is $115.419, 52-week Low is: $67.168, it has supports at $79.01 and $67.16, resistances at $98.19 and $114.68. Overall, this stock is rated BUY today.

CAT’s earning is $6.54 per share, Next quarter estimated EPS is $2.14, current year estimated EPS is $6.79. Its PE ratio is 15.

NASDAQ: CMCSA (Comcast Corp.)

NASDAQ: CMCSA (Comcast Corp.) has closed at $22.57, its traded Volume was 12088.1K shares, CMCSA opened the Day at $22.68, it made an intraday Low of $22.46, and an intraday High of $22.8557. CMCSA’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. CMCSA has closed below upper band by 14.7%. Bollinger Bands are 29.8% narrower than normal. The current width does not suggest anything. CMCSA (Comcast Corp.) 52-week High is $26.888, 52-week Low is: $19.088, it has supports at $21.84 and $19.71, resistances at $25.31 and $29.56. Overall, this stock is rated BUY today.

CMCSA’s earning is $1.39 per share, Next quarter estimated EPS is $0.42, current year estimated EPS is $1.52. Its PE ratio is 16.

NASDAQ: CSCO (Cisco Systems)

NASDAQ: CSCO (Cisco Systems) has closed at $18.58, its traded Volume was 41431K shares, CSCO opened the Day at $18.69, it made an intraday Low of $18.32, and an intraday High of $18.72. CSCO’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. CSCO has closed below upper band by 38.9%. Bollinger Bands are 8.2% wider than normal. The current width does not suggest anything. CSCO (Cisco Systems) 52-week High is $22.086, 52-week Low is: $13.243, it has supports at $16.53 and $14.9, resistances at $19.19 and $22.41. Overall, this stock is rated BUY today.

CSCO’s earning is $1.16 per share, Next quarter estimated EPS is $0.45, current year estimated EPS is $1.77. Its PE ratio is 16.

NYSE: DAL (Delta Air Lines Inc.)

NYSE: DAL (Delta Air Lines Inc.) has closed at $8.52, its traded Volume was 15642.4K shares, DAL opened the Day at $8.04, it made an intraday Low of $8.03, and an intraday High of $8.62. DAL’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. DAL has closed above the upper band by 4.0%. If price is in a uptrend band; upward trend might continue. However a short term pullback inside the band is likely. Bollinger Bands are 9.6% wider than normal. The current width does not suggest anything. DAL (Delta Air Lines Inc.) 52-week High is $13.63, 52-week Low is: $6.41, it has supports at $7.52 and $6.63, resistances at $8.97 and $10.47. Overall, this stock is rated BUY today.

DAL’s earning is $0.53 per share, Next quarter estimated EPS is $-0.05, current year estimated EPS is $1.22. Its PE ratio is 16.

NYSE: DOW (DOW Chemical Company)

NYSE: DOW (DOW Chemical Company) has closed at $27.57, its traded Volume was 7478K shares, DOW opened the Day at $27.33, it made an intraday Low of $27.25, and an intraday High of $27.775. 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 26.6%. Bollinger Bands are 8.6% 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 $24.02 and $20.61, resistances at $29.55 and $34.51. Overall, this stock is rated BUY today.

DOW’s earning is $2.44 per share, Next quarter estimated EPS is $0.7, current year estimated EPS is $2.67. Its PE ratio is 11.

NYSE: GFA (Gafisa Sa)

NYSE: GFA (Gafisa Sa) has closed at $6.31, its traded Volume was 7082.1K shares, GFA opened the Day at $6.13, it made an intraday Low of $6.13, and an intraday High of $6.39. GFA’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. GFA has closed below upper band by 43.4%. Bollinger Bands are 6.1% wider than normal. The current width does not suggest anything. GFA (Gafisa Sa) 52-week High is $14.815, 52-week Low is: $5.32, it has supports at $5.32 and $4.42, resistances at $7.03 and $8.1. Overall, this stock is rated BUY today.

GFA’s earning is $0.73 per share, Next quarter estimated EPS is $0.15, current year estimated EPS is $0.62. Its PE ratio is 9.

NYSE: GT (Goodyear Tire & Rubber Company)

NYSE: GT (Goodyear Tire & Rubber Company) has closed at $13.92, its traded Volume was 5594.3K shares, GT opened the Day at $13.91, it made an intraday Low of $13.67, and an intraday High of $14.13. GT’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. GT has closed below upper band by 21.7%. Bollinger Bands are 11.6% narrower than normal. The current width does not suggest anything. GT (Goodyear Tire & Rubber Company) 52-week High is $18.83, 52-week Low is: $8.53, it has supports at $11.17 and $8.52, resistances at $15.47 and $18.06. Overall, this stock is rated BUY today.

GT’s earning is $0.54 per share, Next quarter estimated EPS is $0.31, current year estimated EPS is $2.06. Its PE ratio is 26.

NASDAQ: HBAN (Huntington Bancshares Inc.)

NASDAQ: HBAN (Huntington Bancshares Inc.) has closed at $5.18, its traded Volume was 8378.9K shares, HBAN opened the Day at $5.22, it made an intraday Low of $5.11, and an intraday High of $5.25. HBAN’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. HBAN has closed below upper band by 32.7%. Bollinger Bands are 6.1% narrower than normal. The current width does not suggest anything. HBAN (Huntington Bancshares Inc.) 52-week High is $7.619, 52-week Low is: $4.421, it has supports at $4.92 and $4.51, resistances at $5.59 and $6.52. Overall, this stock is rated BUY today.

HBAN’s earning is $0.51 per share, Next quarter estimated EPS is $0.14, current year estimated EPS is $0.6. Its PE ratio is 10.

NYSE: HD (Home Depot)

NYSE: HD (Home Depot) has closed at $39.34, its traded Volume was 9621K shares, HD opened the Day at $38.86, it made an intraday Low of $38.79, and an intraday High of $39.565. HD’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. HD has closed below upper band by 5.2%. Bollinger Bands are 14.3% narrower than normal. The current width does not suggest anything. HD (Home Depot) 52-week High is $39.79, 52-week Low is: $27.925, it has supports at $34.37 and $31.03, resistances at $39.79 and $46.47. Overall, this stock is rated BUY today.

HD’s earning is $2.32 per share, Next quarter estimated EPS is $0.6, current year estimated EPS is $2.38. Its PE ratio is 17.

NYSE: HPQ (Hewlett-Packard Company)

NYSE: HPQ (Hewlett-Packard Company) has closed at $28.22, its traded Volume was 22163.5K shares, HPQ opened the Day at $27.44, it made an intraday Low of $27.44, and an intraday High of $28.44. 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 18.2%. Bollinger Bands are 33.9% narrower than normal. The current width does not suggest anything. HPQ (Hewlett-Packard Company) 52-week High is $48.871, 52-week Low is: $21.5, it has supports at $24.2 and $21.5, resistances at $28.59 and $33.39. Overall, this stock is rated BUY today.

HPQ’s earning is $4.26 per share, Next quarter estimated EPS is $0.95, current year estimated EPS is $4.08. Its PE ratio is 7.

NYSE: IPG (Interpublic Group Of Companies)

NYSE: IPG (Interpublic Group Of Companies) has closed at $9.52, its traded Volume was 6532.7K shares, IPG opened the Day at $9.34, it made an intraday Low of $9.27, and an intraday High of $9.63. IPG’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. IPG has closed below upper band by 21.8%. Bollinger Bands are 25.4% narrower than normal. The current width does not suggest anything. IPG (Interpublic Group Of Companies) 52-week High is $13.117, 52-week Low is: $6.73, it has supports at $8.17 and $6.73, resistances at $10.5 and $12.26. Overall, this stock is rated BUY today.

IPG’s earning is $0.86 per share, Next quarter estimated EPS is $-0.08, current year estimated EPS is $0.65. Its PE ratio is 11.

NYSE: JNPR (Juniper Networks)

NYSE: JNPR (Juniper Networks) has closed at $22.25, its traded Volume was 5287.6K shares, JNPR opened the Day at $22.57, it made an intraday Low of $22.19, and an intraday High of $23. JNPR’s close price is below its Short term MA, short term MA is above mid-term, and above long term MA. JNPR has closed above bottom band by 45.1%. Bollinger Bands are 14.2% wider than normal. The current width does not suggest anything. JNPR (Juniper Networks) 52-week High is $45.01, 52-week Low is: $16.67, it has supports at $20.08 and $16.67, resistances at $25.61 and $29.91. Overall, this stock is rated BUY today.

JNPR’s earning is $0.95 per share, Next quarter estimated EPS is $0.31, current year estimated EPS is $1.25. Its PE ratio is 23.

NYSE: JNS (Janus Capital Group Inc)

NYSE: JNS (Janus Capital Group Inc) has closed at $6.34, its traded Volume was 6433.7K shares, JNS opened the Day at $6.6, it made an intraday Low of $6.28, and an intraday High of $6.6. JNS’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. JNS has closed below upper band by 30.3%. Bollinger Bands are 49.6% narrower than normal. The narrow width of the bands suggests low volatility as compared to JNS’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. JNS (Janus Capital Group Inc) 52-week High is $14.319, 52-week Low is: $5.324, it has supports at $5.32 and $4.42, resistances at $6.6 and $7.4. Overall, this stock is rated BUY today.

JNS’s earning is $0.94 per share, Next quarter estimated EPS is $0.14, current year estimated EPS is $0.75. Its PE ratio is 7.

NYSE: KGC (Kinross Gold Corp.)

NYSE: KGC (Kinross Gold Corp.) has closed at $13.97, its traded Volume was 7224.2K shares, KGC opened the Day at $14.05, it made an intraday Low of $13.84, and an intraday High of $14.26. KGC’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. KGC has closed below upper band by 24.7%. Bollinger Bands are 1.2% narrower than normal. The current width does not suggest anything. KGC (Kinross Gold Corp.) 52-week High is $19.464, 52-week Low is: $12.08, it has supports at $12.07 and $10.04, resistances at $14.58 and $16.14. Overall, this stock is rated BUY today.

KGC’s earning is $0.57 per share, Next quarter estimated EPS is $0.31, current year estimated EPS is $0.82. Its PE ratio is 25.

NYSE: KR (Kroger Company)

NYSE: KR (Kroger Company) has closed at $23.37, its traded Volume was 9900.7K shares, KR opened the Day at $23.71, it made an intraday Low of $22.94, and an intraday High of $23.73. KR’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. KR has closed below upper band by 14.0%. Bollinger Bands are 21% wider than normal. The current width does not suggest anything. KR (Kroger Company) 52-week High is $25.599, 52-week Low is: $20.142, it has supports at $22.16 and $21.2, resistances at $23.72 and $27.7. Overall, this stock is rated BUY today.

KR’s earning is $1.92 per share, Next quarter estimated EPS is $0.48, current year estimated EPS is $1.96. Its PE ratio is 12.

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NYSE: LCC (US Airways Group Inc. New) has closed at $4.94, its traded Volume was 11516.8K shares, LCC opened the Day at $4.89, it made an intraday Low of $4.82, and an intraday High of $5.25. LCC’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. LCC has closed below upper band by 18.5%. Bollinger Bands are 15.3% narrower than normal. The current width does not suggest anything. LCC (US Airways Group Inc. New) 52-week High is $11.56, 52-week Low is: $3.96, it has supports at $3.96 and $3.29, resistances at $5.57 and $6.57. Overall, this stock is rated BUY today.

LCC’s earning is $0.5 per share, Next quarter estimated EPS is $-0.43, current year estimated EPS is $0.24. Its PE ratio is 10.

NYSE: LLY (Eli Lilly And Company)

NYSE: LLY (Eli Lilly And Company) has closed at $37.64, its traded Volume was 6241.7K shares, LLY opened the Day at $37.71, it made an intraday Low of $37.56, and an intraday High of $37.92. LLY’s close price is above its Short term MA, short term MA is below mid-term, and above long term MA. LLY has closed below upper band by 23.6%. Bollinger Bands are 21.9% wider than normal. The current width does not suggest anything. LLY (Eli Lilly And Company) 52-week High is $38.708, 52-week Low is: $32.036, it has supports at $36.48 and $35.22, resistances at $38.53 and $45. 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 9.

NASDAQ: MPEL (Melco Crown Entertainment Limited)

NASDAQ: MPEL (Melco Crown Entertainment Limited) has closed at $9.93, its traded Volume was 7803.8K shares, MPEL opened the Day at $10, it made an intraday Low of $9.715, and an intraday High of $10.32. MPEL’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. MPEL has closed below upper band by 19.3%. Bollinger Bands are 36% narrower than normal. The current width does not suggest anything. MPEL (Melco Crown Entertainment Limited) 52-week High is $16.15, 52-week Low is: $5.55, it has supports at $9.08 and $7.05, resistances at $12.39 and $14.47. Overall, this stock is rated BUY today.

MPEL’s earning is $0.38 per share, Next quarter estimated EPS is $0.14, current year estimated EPS is $0.47. Its PE ratio is 26.

NYSE: NLY (Annaly Capital Management Inc)

NYSE: NLY (Annaly Capital Management Inc) has closed at $16.16, its traded Volume was 10877.8K shares, NLY opened the Day at $16.01, it made an intraday Low of $15.95, and an intraday High of $16.19. NLY’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. NLY has closed below upper band by 41.5%. Bollinger Bands are 37.3% narrower than normal. The current width does not suggest anything. NLY (Annaly Capital Management Inc) 52-week High is $17.938, 52-week Low is: $13.564, it has supports at $15.64 and $14.64, resistances at $17.27 and $20.17. Overall, this stock is rated BUY today.

NLY’s earning is $1.36 per share, Next quarter estimated EPS is $0.56, current year estimated EPS is $2.38. Its PE ratio is 12.

NYSE: NOK (Nokia Corp.)

NYSE: NOK (Nokia Corp.) has closed at $5.67, its traded Volume was 24182.3K shares, NOK opened the Day at $5.8, it made an intraday Low of $5.57, and an intraday High of $5.82. NOK’s close price is below its Short term MA, short term MA is below mid-term, and above long term MA. NOK has closed above bottom band by 30.7%. Bollinger Bands are 55.5% wider than normal. The large width of the bands suggest high volatility as compared to NOK’s normal range. The bands have been in this wide range for 4 bars. This is a sign that the current trend might continue. NOK (Nokia Corp.) 52-week High is $11.059, 52-week Low is: $4.82, it has supports at $5.09 and $4.23, resistances at $6.5 and $7.38. Overall, this stock is rated BUY today.

NOK’s earning is $0.24 per share, Next quarter estimated EPS is $0.03, current year estimated EPS is $0.36. Its PE ratio is 24.

NASDAQ: NWSA (News Corp.)

NASDAQ: NWSA (News Corp.) has closed at $17.56, its traded Volume was 16024.6K shares, NWSA opened the Day at $17.52, it made an intraday Low of $17.33, and an intraday High of $17.69. NWSA’s close price is above its Short term MA, short term MA is below mid-term, and above long term MA. NWSA has closed below upper band by 8.2%. Bollinger Bands are 16.7% narrower than normal. The current width does not suggest anything. NWSA (News Corp.) 52-week High is $18.35, 52-week Low is: $13.38, it has supports at $15.96 and $14.72, resistances at $17.97 and $20.98. Overall, this stock is rated BUY today.

NWSA’s earning is $1.02 per share, Next quarter estimated EPS is $0.33, current year estimated EPS is $1.38. Its PE ratio is 17.

NYSE: OXY (Occidental Petroleum Corp.)

NYSE: OXY (Occidental Petroleum Corp.) has closed at $96.83, its traded Volume was 5178.3K shares, OXY opened the Day at $98.21, it made an intraday Low of $96.34, and an intraday High of $99.2. OXY’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. OXY has closed below upper band by 35.8%. Bollinger Bands are 3.4% wider than normal. The current width does not suggest anything. OXY (Occidental Petroleum Corp.) 52-week High is $116.698, 52-week Low is: $66.36, it has supports at $79.84 and $66.36, resistances at $101.65 and $118.72. Overall, this stock is rated BUY today.

OXY’s earning is $7.8 per share, Next quarter estimated EPS is $1.96, current year estimated EPS is $8.15. Its PE ratio is 12.

NYSE: PM (Philip Morris International Inc)

NYSE: PM (Philip Morris International Inc) has closed at $75.69, its traded Volume was 5911.4K shares, PM opened the Day at $76.22, it made an intraday Low of $75.58, and an intraday High of $77. PM’s close price is above its Short term MA, short term MA is above mid-term, and above long term MA. PM has closed below upper band by 1.3%. Bollinger Bands are 5.3% wider than normal. The current width does not suggest anything. PM (Philip Morris International Inc) 52-week High is $77, 52-week Low is: $54.12, it has supports at $66.77 and $60.45, resistances at $77 and $89.93. Overall, this stock is rated BUY today.

PM’s earning is $4.71 per share, Next quarter estimated EPS is $1.17, current year estimated EPS is $4.87. Its PE ratio is 16.

NASDAQ: RFMD (Rf Micro Devices)

NASDAQ: RFMD (Rf Micro Devices) has closed at $6.18, its traded Volume was 6373.8K shares, RFMD opened the Day at $6.19, it made an intraday Low of $6.03, and an intraday High of $6.36. 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 40.7%. Bollinger Bands are 54.8% wider than normal. The large width of the bands suggest high volatility as compared to RFMD’s normal range. The bands have been in this wide range for 4 bars. This is a sign that the current trend might continue. RFMD (Rf Micro Devices) 52-week High is $8.48, 52-week Low is: $4.95, it has supports at $5.4 and $4.49, resistances at $6.93 and $7.88. Overall, this stock is rated 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 21.

NYSE: SLB (Schlumberger N.V.)

NYSE: SLB (Schlumberger N.V.) has closed at $74.87, its traded Volume was 7540.6K shares, SLB opened the Day at $75.16, it made an intraday Low of $74.25, and an intraday High of $76.05. SLB’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. SLB has closed below upper band by 29.3%. Bollinger Bands are 0.7% wider than normal. The current width does not suggest anything. SLB (Schlumberger N.V.) 52-week High is $95.217, 52-week Low is: $54.79, it has supports at $63.33 and $54.79, resistances at $77.15 and $90.11. Overall, this stock is rated BUY today.

SLB’s earning is $3.38 per share, Next quarter estimated EPS is $1.09, current year estimated EPS is $3.67. Its PE ratio is 22.

NASDAQ: TEVA (Teva Pharmaceutical Industries Limited)

NASDAQ: TEVA (Teva Pharmaceutical Industries Limited) has closed at $39.74, its traded Volume was 7330.8K shares, TEVA opened the Day at $40.22, it made an intraday Low of $39.62, and an intraday High of $40.95. 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 38.2%. Bollinger Bands are 13.4% narrower than normal. The current width does not suggest anything. TEVA (Teva Pharmaceutical Industries Limited) 52-week High is $55.965, 52-week Low is: $34.811, it has supports at $37.69 and $34.81, resistances at $42.35 and $49.46. Overall, this stock is rated BUY today.

TEVA’s earning is $3.36 per share, Next quarter estimated EPS is $1.44, current year estimated EPS is $4.95. Its PE ratio is 12.

NYSE: TXN (Texas Instruments Inc.)

NYSE: TXN (Texas Instruments Inc.) has closed at $30.21, its traded Volume was 10578.8K shares, TXN opened the Day at $29.89, it made an intraday Low of $29.88, and an intraday High of $30.39. TXN’s close price is above its Short term MA, short term MA is below mid-term, and above long term MA. TXN has closed below upper band by 42.4%. Bollinger Bands are 32.8% wider than normal. The current width does not suggest anything. TXN (Texas Instruments Inc.) 52-week High is $36.218, 52-week Low is: $24.203, it has supports at $28.1 and $25.64, resistances at $32.09 and $37.48. Overall, this stock is rated BUY today.

TXN’s earning is $2.4 per share, Next quarter estimated EPS is $0.48, current year estimated EPS is $2.19. Its PE ratio is 13.

NYSE: UAL (United Continental Holdings)

NYSE: UAL (United Continental Holdings) has closed at $19.12, its traded Volume was 12322.6K shares, UAL opened the Day at $18.05, it made an intraday Low of $17.9, and an intraday High of $19.7. UAL’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. UAL has closed above the upper band by 1.2%. If price is in a uptrend band; upward trend might continue. However a short term pullback inside the band is likely. Bollinger Bands are 7% wider than normal. The current width does not suggest anything. UAL (United Continental Holdings) 52-week High is $27.72, 52-week Low is: $15.51, it has supports at $17.94 and $15.51, resistances at $21.88 and $25.55. Overall, this stock is rated BUY today.

UAL’s earning is $1.74 per share, Next quarter estimated EPS is $0, current year estimated EPS is $3.71. Its PE ratio is 11.

NYSE: WU (Western Union Company)

NYSE: WU (Western Union Company) has closed at $17.43, its traded Volume was 6691.1K shares, WU opened the Day at $17.21, it made an intraday Low of $17.15, and an intraday High of $17.49. WU’s close price is above its Short term MA, short term MA is below mid-term, and below long term MA. WU has closed below upper band by 7.8%. Bollinger Bands are 12.2% narrower than normal. The current width does not suggest anything. WU (Western Union Company) 52-week High is $21.798, 52-week Low is: $14.55, it has supports at $15.92 and $14.55, resistances at $18.15 and $21.19. Overall, this stock is rated BUY today.

WU’s earning is $1.49 per share, Next quarter estimated EPS is $0.39, current year estimated EPS is $1.57. Its PE ratio is 12.

NYSE: XOM (Exxon Mobil Corp.)

NYSE: XOM (Exxon Mobil Corp.) has closed at $79.79, its traded Volume was 17004.8K shares, XOM opened the Day at $80.2, it made an intraday Low of $79.37, and an intraday High of $80.35. 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 below upper band by 21.5%. Bollinger Bands are 1.9% narrower than normal. The current width does not suggest anything. XOM (Exxon Mobil Corp.) 52-week High is $86.639, 52-week Low is: $66.197, it has supports at $72.94 and $67.52, resistances at $81.71 and $95.43. Overall, this stock is rated BUY today.

XOM’s earning is $8.28 per share, Next quarter estimated EPS is $2.08, current year estimated EPS is $8.52. Its PE ratio is 10.

NYSE: XRX (Xerox Corp.)

NYSE: XRX (Xerox Corp.) has closed at $8.19, its traded Volume was 9968.3K shares, XRX opened the Day at $8.11, it made an intraday Low of $7.99, and an intraday High of $8.23. XRX’s close price is above its Short term MA, short term MA is above mid-term, and below long term MA. XRX has closed below upper band by 20.9%. Bollinger Bands are 26.3% narrower than normal. The current width does not suggest anything. XRX (Xerox Corp.) 52-week High is $11.867, 52-week Low is: $6.55, it has supports at $7.34 and $6.55, resistances at $8.64 and $10.09. Overall, this stock is rated BUY today.

XRX’s earning is $0.74 per share, Next quarter estimated EPS is $0.25, current year estimated EPS is $1.08. Its PE ratio is 11.

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