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Mid Cap Report- Best And Worst
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Article By:
E.B. Capital Markets
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Wednesday, April 9, 2014 11:21 AM EDT
The average mid cap score is 53.83, below the four week moving average score of 57. The average mid cap is trading -14.64% below its 52 week high, 1.54% above its 200 dma, has 6.2 days to cover held short, and is expected to grow earnings by 19% next year.
In this article: BRC, CMP, FTR, HSC, ITT, LPX, NFX, ODP, PNY, R, TCO, THC, NUVA, QCOR, ARLP, CRZO, ROVI, SIVBQ, GOGO
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Most Bullish And Bearish Stocks On Twitter
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Article By:
Blair Jensen
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Wednesday, April 9, 2014 9:11 AM EDT
Below are charts with the the most bullish and bearish stocks on Twitter for the week and month ended 4/8/14.
In this article: ACI, AEO, AMD, ANR, APC, BBY, BKS, C, CAB, GS, HLF, HPQ, JCPNQ, MON, MTG, NKE, OXY, PBR, TSN, UBS, V, VALE, WLT, LNG, GCOM, APOL, BRCM, CMCSA, GTAT, INTC, MU, MYGN, MYL, NVDA, SIRI, YHOO, ZNGA, KNDI, XLE, XLF
Great Rotation? ETFs Encounter A Different Kind Of Shift In 2014
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Article By:
Gary Gordon
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Wednesday, April 9, 2014 4:43 AM EDT
Whatever happened to the “Great Rotation?” You remember the predictive theory that ultra-low yields would encourage investors to rotate out of bonds and into stocks.
In this article: EDV, PNQI, PSCH, VTWG, SOCL, BBH, CQQQ, DBA, EPI, EWZ, GCC, GDX, GLD, IWO, PGJ, VPU, XLU, XLY, XRT, ZROZ
Daily Market Commentary: Buyers Return At Support
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Article By:
Declan Fallon
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Tuesday, April 8, 2014 10:20 PM EDT
The S&P played to form on Tuesday with buyers coming in at converged support and 50-day MA. There was even a morning sell off and recovery for those nimble enough to take advantage. The intraday picture is nicely set up for an upside breakout.
In this article: SPX
Large Cap Best And Worst Report
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Article By:
E.B. Capital Markets
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Tuesday, April 8, 2014 12:30 PM EDT
The average large cap score is 56.92 this week, below the four week moving average score of 60.90. The average large cap is trading -11.22% below its 52 week high, 2.49% above its 200 dma, has 3.93 days to cover short, and is expected to grow earnings by 14.06% next year.
In this article: APH, AVB, CCJ, CVS, EIX, EQT, ESS, EW, JNJ, MAT, MBT, NMR, PPL, RAD, RAX, STZ, TDG, TSM, XEL, BBBY, ISRG
Weekly ADR Report
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Article By:
E.B. Capital Markets
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Tuesday, April 8, 2014 5:55 AM EDT
The average ADR score is 42.48, below the four week moving average score of 45.91. The average ADR is trading -17.68% below its 52 week high, 1.13% above its 200 dma, has 3.65 days to cover held short, and is expected to grow EPS by 25% next year.
Dogs Of The Dow: Mangy Curs Or An Investor's Best Friends?
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Article By:
Annalisa Christina Kraft
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Monday, April 7, 2014 12:15 PM EDT
The "Dogs of the Dow" theory involves buying equal amounts of the 10 Dow stocks that had the highest dividend-to-price ratio during the previous full year. It has become a popular investing strategy thanks to its simplicity.
Sector Detector: Rankings Take A Bearish Turn As The Flight To Safety Solidifies
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Article By:
Sabrient Systems
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Monday, April 7, 2014 7:52 AM EDT
The technical picture and our fundamentals-based sector rankings have both taken a bearish turn, so we might see more weakness ahead
In this article: AGN, HP, WDC, JAZZ, PSCU, NFLX, SNDK, TSLA, IDU, IXJ, IYC, IYE, IYF, IYH, IYJ, IYK, IYM, IYW, IYZ, PSI, SPY, TAN, PSX, VIX
Weekly Investment Report
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Article By:
E.B. Capital Markets
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Monday, April 7, 2014 6:38 AM EDT
Last week we saw sector bunching around the average universe score, which is typical at inflection points. Scores have rolled to reflect the shift to Q2 seasonality, so watch sector and industry ranks closely over the coming weeks.
In this article: AAN, APH, CLB, CSX, EIX, ESS, EXAM, GB, GD, JNJ, MOV, NEU, NJR, PNR, AMEN, GMCR (NOW PRIVATE), IPAR, LPNT, POOL, SWHC, SPX
Sector Returns Q1 2014: Utilities And Health Care Led The Way
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Article By:
Robert A. Weigand
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Sunday, April 6, 2014 6:18 PM EDT
One of my favorite ways to gauge market sentiment is to study which sectors led the way over the past quarter (I use the returns to the SPDR sector ETFs — data obtained from S&P’s Capital IQ). For the all-important first quarter of the year, comparing sector returns can also signal what type of a year it will be for stocks.
The True Contrarian Play: Isn't What You'd Think It Is
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Article By:
Dr. Paul Price
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Sunday, April 6, 2014 11:47 AM EDT
Expecting a major market sell-off might not be a good assumption.
Read on to see why that's true.
Momos Mauled: Nasdaq Crashes Most Since 2011, Stocks Tumble From Record High
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Article By:
Tyler Durden
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Friday, April 4, 2014 7:17 PM EDT
The jobs number expectation had been falling for a few days into the print this morning and it was not a good report - it missed low expectations and it seems the market is realizing that the Fed will not rescue it any time soon. GDP expectations are also tumbling and thus hope-driven hyper-growth stocks have been monkey-hammered. This is the worst swing for the Nasdaq since Dec 2011 (with Russell, Dow, and Nasdaq -1% YTD.
Sector Rankings For ETFs & Mutual Funds
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Article By:
David Trainer
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Friday, April 4, 2014 6:40 PM EDT
For the second quarter of 2014, only three sectors manage to even earn a Neutral rating. My sector ratings are based on the aggregation of my fund ratings for every ETF and mutual fund in each sector.
Small Cap Report
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Article By:
E.B. Capital Markets
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Thursday, April 3, 2014 3:20 PM EDT
For this report, utilities are the top scoring small cap sector and the best small cap industry is trucking.
In this article: BLT, CDE, EPL, EXAM, FSS, FVE, GB, MED, MOV, MTOR, NLS, NWY, ODP, ORB, PMC, STRI, TG, TWI, CAW, NNVC, ALIM, ALVR, AMRI, ANEN, ARTC, ATEC, AVNW, BSTC, CSII, DEST, DRRX, ECOL, MPWR, PENX, PGNX, REDF, SIGM, SIMO, SPNC, VASC, AMSG, CMTL, CVCO, DIOD, DMND, GTIV, HWAY, IPAR, MSFT, MTEX, PDLI, SAIA, SNHY, STFC, SWHC, WMGI, CYTR, MACK
Large Cap Best And Worst Report
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Article By:
E.B. Capital Markets
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Wednesday, April 2, 2014 4:38 AM EDT
The average large cap score is 61.28, below the four week moving average of 64.18. The average large cap is trading -9.6% below its 52 week high, 4.52% above its 200 dma, has 3.94 days to cover held short, and is expected to generate EPS growth of 14% next year.
In this article: AMX, APH, AXP, C, CLB, CSX, CVD, EIX, ESS, EW, GGB, JNJ, KGC, MAT, NMR, RAX, TDG, WEC, BBBY, MCHP, QGEN, ZTS