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Saturday, May 1, 2010

Stock Market Investing and Trading--Two Distribution Days In One Week-- May 2, 2010

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Stock Market Investing and Trading--Two Distribution Days In One Week-- May 2, 2010


Main points:

1. If later in the future it turns out the stock market is in a correction, one should not think that the top of this bull leg was today. The top of this leg was last Friday April 23, 2010. On that day at around 3PM, in a post for members of this blog only, we wrote that our proprietary stock market timing models suggest to us that the market was in a possible top. One week later the market did closed above that level, and in fact sold off the next trading day (which was last Monday) after our post.

2. The market made two distribution days in four days, on higher volume, and higher volatility. That is not in support of a bull leg before some sort of pullback or correction. There may be some violent reactions that can happen, but the recent sellings stands out when compared to other weeks during the latest market upmove this year.

3. If one looks at the charts of the most active stocks and EFTs (see stock list below), one may notice some possible damage made to these charts. In addition the market sold off and broke the previous day's low. Those who buy Monday this week, and also on Thursday, and held their position, may now have a second thought and may become more interested to sell as they may become anxious after seeing some losses this week.

The list of the most active stocks on April 30 that traded more than 5 million shares follows. Each row contains company name, stock symbol, stock market capitalization and, trading volume.

This not financial advice, recommendation, solicitation, or any form of financial, legal or professional advice. Consult a professional.

Citigroup Inc. (C) 130.51B 716.47M
SPDR S&P 500 ETF (SPY) 102.39B 193.77M
Bank of America Corporation (BAC) 183.59B 177.30M
Financial Select Sector SPDR (ETF) (XLF) 6.55B 124.43M
Ford Motor Company (F) 46.11B 110.11M
General Electric Company (GE) 208.01B 70.07M
PowerShares QQQ Trust, Series 1 (ETF) (QQQQ) 20.31B 84.18M
Direxion Daily Finan. Bear 3X Shs(ETF) (FAZ) 1.06B 79.00M
iShares Russell 2000 Index (ETF) (IWM) 14.44B 68.87M
Synovus Financial Corp. (SNV) 1.57B 437.94M
Popular, Inc. (BPOP) 2.42B 78.70M
Intel Corporation INTC 130.05B 59.06M
iShares MSCI Emerging Markets Indx (ETF) EEM 38.43B 69.91M
E TRADE Financial Corporation ETFC 3.41B 310.93M
Goldman Sachs Group, Inc. GS 84.42B 18.46M
Microsoft Corporation MSFT 271.71B 52.67M
BP plc (ADR) BP 164.45B 85.07M
Sirius XM Radio Inc. SIRI 4.66B 43.57M
Halliburton Company HAL 28.61B 73.58M
Sprint Nextel Corporation S 13.05B 86.93M
JPMorgan Chase & Co. JPM 174.92B 36.52M
Wells Fargo & Company WFC 172.99B 31.03M
YRC Worldwide Inc. YRCW 562.33M 76.09M
Micron Technology, Inc. MU 8.74B 23.94M
Pfizer Inc. PFE 136.03B 67.50M
Ambac Financial Group, Inc. ABK 481.59M 19.09M
Transocean LTD RIG 25.25B 37.72M
ProShares UltraShort S&P500 (ETF) SDS 2.65B 43.29M
Mariner Energy, Inc. ME 2.53B 20.18M
Dendreon Corporation DNDN 6.73B 30.77M
Exxon Mobil Corporation XOM 323.03B 28.33M
Qwest Communications International Inc. Q 9.05B 42.45M
Cisco Systems, Inc. CSCO 154.19B 41.90M
Comcast Corporation CMCSA 56.10B 40.93M
Advanced Micro Devices, Inc. AMD 6.17B 27.98M
iShares MSCI Japan Index (ETF) EWJ 5.07B 36.60M
Motorola, Inc. MOT 16.36B 36.33M
Las Vegas Sands Corp. LVS 16.42B 35.61M
United States Natural Gas Fund, LP UNG 2.81B 35.48M
MEMC Electronic Materials, Inc. WFR 2.95B 34.46M
Nokia Corporation (ADR) NOK 45.54B 34.26M
AT&T Inc. T 153.99B 33.74M
Palm, Inc. PALM 980.47M 31.71M
Eastman Kodak Company EK 1.65B 31.70M
iShares FTSE/Xinhua China 25 Index (ETF) FXI 8.86B 31.44M
Dell Inc. DELL 31.72B 30.62M
Regions Financial Corporation RF 10.53B 30.37M
MGM MIRAGE MGM 7.01B 29.79M
EMC Corporation EMC 39.08B 29.63M
Alcoa Inc. AA 13.71B 29.30M
Huntington Bancshares Incorporated HBAN 4.84B 28.59M
Direxion Daily Small Cp Bear 3X Shs(ETF) TZA 508.20M 28.37M
Cameron International Corporation CAM 9.65B 28.12M
SPDR S&P Retail (ETF) XRT 998.45M 28.02M
NVIDIA Corporation NVDA 8.94B 26.71M
Direxion Daily Finan. Bull 3X Shs(ETF) FAS 1.06B 26.10M
Applied Materials, Inc. AMAT 18.51B 25.90M
Vale (ADR) VALE 159.61B 25.75M
Oracle Corporation ORCL 129.83B 25.57M
Morgan Stanley MS 42.26B 25.20M
iShares MSCI EAFE Index Fund (ETF) EFA 34.80B 24.82M
Schlumberger Limited SLB 85.39B 24.49M
Massey Energy Company MEE 3.18B 24.40M
KeyCorp KEY 7.93B 23.07M
Energy Select Sector SPDR (ETF) XLE 6.40B 22.92M
Delta Air Lines, Inc. DAL 9.51B 22.02M
Verizon Communications Inc. VZ 81.69B 21.92M
ProShares Ultra S&P500 (ETF) SSO 1.56B 21.88M
Skyworks Solutions, Inc. SWKS 2.96B 21.68M
News Corporation NWSA 40.43B 21.45M
iShares MSCI Brazil Index (ETF) EWZ 10.89B 21.31M
Anadarko Petroleum Corporation APC 31.13B 21.08M
Corning Incorporated GLW 29.95B 20.39M
Gilead Sciences, Inc. GILD 35.82B 20.35M
iShares Dow Jones US Real Estate (ETF) IYR 2.97B 20.18M
XTO Energy Inc. XTO 27.72B 20.01M
Semiconductor HOLDRs (ETF) SMH 1.16B 19.93M
DryShips Inc. DRYS 1.62B 19.89M
Yahoo! Inc. YHOO 23.15B 19.69M
Apple Inc. AAPL 237.58B 19.37M
Xerox Corporation XRX 15.03B 18.93M
WellPoint, Inc. WLP 22.98B 18.77M
QUALCOMM, Inc. QCOM 63.45B 18.46M
Genworth Financial, Inc. GNW 8.08B 18.41M
Industrial SPDR (ETF) XLI 3.30B 18.40M
Vanguard Emerging Markets ETF VWO 20.68B 18.27M
Texas Instruments Incorporated TXN 31.79B 18.07M
ProShares UltraShort Financials (ETF) SKF 577.54M 18.02M
MGIC Investment Corp. MTG 1.31B 17.74M
National Bank of Greece (ADR) NBG 9.89B 17.62M
Repros Therapeutics Inc. RPRX 22.11M 17.59M
Symantec Corporation SYMC 13.52B 17.45M
Lowe's Companies, Inc. LOW 39.14B 17.27M
US Bancorp USB 51.29B 17.25M
Yamana Gold Inc. (USA) AUY 8.05B 17.19M
iPath S&P 500 VIX Short Term F VXX 1.59B 17.18M
Smith International, Inc. SII 11.86B 17.08M
Alcatel-Lucent (ADR) ALU 7.16B 17.05M
Weatherford International Ltd. WFT 13.37B 16.99M
United States Steel Corporation X 7.84B 16.47M
iShares MSCI Taiwan Index (ETF) EWT 3.53B 16.29M
Wal-Mart Stores, Inc. WMT 201.63B 16.28M
Chimera Investment Corporation CIM 2.73B 16.28M
Pacific Capital Bancorp PCBC 81.36M 16.18M
ProShares UltraShort QQQ (ETF) QID 804.51M 16.18M
The Home Depot, Inc. HD 59.66B 15.80M
Seagate Technology STX 8.97B 15.77M
The Procter & Gamble Company PG 180.55B 15.77M
Hewlett-Packard Company HPQ 121.87B 15.73M
Merck & Co., Inc. MRK 109.16B 15.72M
Fifth Third Bancorp FITB 11.85B 15.69M
UnitedHealth Group Inc. UNH 34.68B 15.55M
Taiwan Semiconductor Mfg. Co. Ltd. (ADR) TSM 54.86B 15.45M
ProShares UltraShort 20+ Year Trea (ETF) TBT 5.11B 15.44M
DR Horton, Inc. DHI 4.67B 15.43M
Power-One, Inc. PWER 694.59M 15.36M
eBay Inc. EBAY 31.04B 15.29M
Chesapeake Energy Corporation CHK 15.51B 15.20M
Marvell Technology Group Ltd. MRVL 13.22B 15.12M
ConocoPhillips COP 90.38B 14.84M
ON Semiconductor Corp. ONNN 3.40B 14.75M
Barrick Gold Corporation (USA) ABX 42.88B 14.73M
Activision Blizzard, Inc. ATVI 13.85B 14.70M
SPDR Dow Jones Industrial Average ETF DIA 8.84B 14.62M
The PMI Group, Inc. PMI 432.49M 14.59M
Fannie Mae FNM 1.36B 14.56M
AMR Corporation AMR 2.46B 14.55M
Apache Corporation APA 34.25B 14.49M
Fulton Financial Corp. FULT 1.85B 14.40M
Bristol Myers Squibb Co. BMY 43.48B 14.37M
Johnson & Johnson JNJ 177.23B 14.26M
Altria Group, Inc. MO 44.13B 14.22M
American Express Company AXP 55.25B 14.02M
Chevron Corporation CVX 163.56B 13.91M
Patterson-UTI Energy, Inc. PTEN 2.35B 13.91M
Macy's, Inc. M 9.81B 13.74M
Banco Santander (Brasil) SA(ADR) BSBR 44.19B 13.69M
DIRECTV DTV 33.10B 13.66M
ProShares UltraShort Real Estate (ETF) SRS 485.39M 13.64M
Oil Service HOLDRs (ETF) OIH 1.93B 13.64M
United States Oil Fund LP (ETF) USO 1.98B 13.45M
SPDR Gold Trust (ETF) GLD 41.89B 13.41M
McAfee, Inc. MFE 5.51B 13.21M
Southwestern Energy Company SWN 13.73B 13.21M
AK Steel Holding Corporation AKS 1.84B 13.04M
The Dow Chemical Company DOW 35.51B 12.99M
Hecla Mining Company HL 1.45B 12.81M
CVS Caremark Corporation CVS 51.26B 12.81M
Market Vectors Gold Miners ETF GDX 6.09B 12.78M
Adobe Systems Incorporated ADBE 17.69B 12.74M
Flagstar Bancorp, Inc. FBC 973.32M 12.58M
Noble Corporation NE 10.16B 12.54M
Health Care SPDR (ETF) XLV 2.90B 12.51M
Kraft Foods Inc. KFT 51.24B 12.49M
Cemex SAB de CV (ADR) CX 11.40B 12.48M
Aetna Inc. AET 12.74B 12.34M
Denbury Resources Inc. DNR 7.64B 12.33M
PDL BioPharma Inc. PDLI 696.50M 12.33M
Freeport-McMoRan Copper & Gold Inc. FCX 32.55B 12.27M
Marshall & Ilsley Corporation MI 4.80B 12.23M
Petroleo Brasileiro SA (ADR) PBR 186.01B 12.22M
Itau Unibanco Banco Holding SA (ADR) ITUB 97.70B 12.19M
Boston Scientific Corporation BSX 10.43B 12.10M
LSI Corporation LSI 3.95B 12.09M
Valero Energy Corporation VLO 11.75B 12.04M
American International Group, Inc. AIG 25.95B 11.91M
Interpublic Group of Companies, Inc. IPG 4.33B 11.85M
US Airways Group, Inc. LCC 1.14B 11.83M
The Western Union Company WU 12.31B 11.66M
MetLife, Inc. MET 37.48B 11.63M
Baker Hughes Incorporated BHI 15.52B 11.63M
Office Depot, Inc. ODP 1.89B 11.62M
Maxim Integrated Products Inc. MXIM 5.92B 11.54M
Newell Rubbermaid Inc. NWL 4.74B 11.51M
ProShares UltraShort Russell2000 (ETF) TWM 496.10M 11.51M
The Walt Disney Company DIS 71.45B 11.46M
Keryx Biopharmaceuticals KERX 317.85M 11.31M
Nabors Industries Ltd. NBR 6.14B 11.08M
Direxion Daily Real Estate Bear 3X (ETF) DRV 73.68M 11.07M
Materials SPDR (ETF) XLB 1.81B 10.94M
UAL Corporation UAUA 3.63B 10.89M
Expedia, Inc. EXPE 6.84B 10.84M
Consumer Discretionary SPDR (ETF) XLY 1.99B 10.76M
Abbott Laboratories ABT 79.43B 10.70M
athenahealth, Inc ATHN 987.68M 10.70M
The Kroger Co. KR 14.37B 10.65M
Tenet Healthcare Corporation THC 3.02B 10.57M
Technology SPDR (ETF) XLK 4.64B 10.55M
Vale (ADR) VALE.P 154.79B 10.52M
PulteGroup, Inc. PHM 5.00B 10.49M
Host Hotels & Resorts, Inc. HST 10.61B 10.47M
Brocade Communications Systems, Inc. BRCD 2.89B 10.46M
ENSCO PLC ESV 6.73B 10.42M
SPDR S&P Homebuilders (ETF) XHB 1.02B 10.38M
Mylan Inc. MYL 6.75B 10.35M
Research In Motion Limited (USA) RIMM 39.68B 10.34M
Broadcom Corporation BRCM 17.13B 10.33M
SanDisk Corporation SNDK 9.11B 10.31M
Sara Lee Corp. SLE 9.92B 10.28M
RAIT Financial Trust RAS 302.16M 10.26M
National-Oilwell Varco, Inc. NOV 18.45B 10.11M
Safeway Inc. SWY 9.18B 10.08M
The Charles Schwab Corporation SCHW 23.02B 10.04M
Suncor Energy Inc. (USA) SU 53.33B 10.03M
American Capital Ltd. ACAS 1.72B 10.00M
Occidental Petroleum Corporation OXY 72.01B 9.96M
The Gap Inc. GPS 16.51B 9.89M
Xilinx, Inc. XLNX 7.13B 9.88M
Coinstar, Inc. CSTR 1.38B 9.79M
RF Micro Devices, Inc. RFMD 1.51B 9.77M
Comcast Corporation CMCSK 56.54B 18.82M
Duke Energy Corporation DUK 21.66B 12.12M
US Concrete, Inc. RMIX 15.65M 15.83M
The Coca-Cola Company KO 123.92B 8.72M
CBS Corporation CBS 11.19B 7.78M
PNC Financial Services PNC 34.75B 7.64M
Time Warner Inc. TWX 38.31B 7.86M
Ciena Corporation CIEN 1.69B 4.68M
EI du Pont de Nemours & Company DD 36.76B 12.13M
Caterpillar Inc. CAT 44.20B 7.92M
JC Penney Company, Inc. JCP 7.35B 6.15M
Southwest Airlines Co. LUV 9.99B 10.70M
Goldcorp Inc. (USA) GG 31.45B 10.62M
Rentech, Inc. RTK 249.64M 866,050.00
Blockbuster Inc. BBI 83.86M 6.16M
The Goodyear Tire & Rubber Company GT 3.47B 8.09M
Staples, Inc. SPLS 17.47B 8.46M
Brigham Exploration Company BEXP 1.94B 5.69M
Tellabs, Inc. TLAB 3.62B 11.80M
Banco Bradesco SA (ADR) BBD 62.81B 9.23M
National Semiconductor Corporation NSM 3.64B 6.16M
American Eagle Outfitters AEO 3.55B 5.17M
Hudson City Bancorp, Inc. HCBK 7.03B 5.83M
QLogic Corporation QLGC 2.46B 2.97M
Hartford Financial Services HIG 11.39B 9.59M
CONSOL Energy Inc. CNX 8.16B 10.35M
Altera Corporation ALTR 7.83B 9.63M
MBIA Inc. MBI 2.09B 13.63M
East West Bancorp, Inc. EWBC 2.20B 4.22M
Baxter International Inc. BAX 28.90B 7.90M
PepsiCo, Inc. PEP 105.18B 8.27M
Amgen, Inc. AMGN 55.36B 8.19M
JetBlue Airways Corporation JBLU 1.64B 7.99M
Hovnanian Enterprises, Inc. HOV 551.13M 7.98M
Monsanto Company MON 34.40B 7.96M
Newmont Mining Corporation NEM 27.55B 7.93M
ArcelorMittal (ADR) MT 58.62B 7.91M
Trico Marine Services Inc TRMA 64.08M 7.91M
El Paso Corporation EP 8.49B 7.91M
Continental Airlines, Inc. CAL 3.12B 7.90M
RadioShack Corporation RSH 2.70B 7.70M
Petrohawk Energy Corporation HK 6.50B 7.68M
The Bank of New York Mellon Corporation BK 37.76B 7.65M
Flextronics International Ltd. FLEX 6.29B 7.62M
JA Solar Holdings Co., Ltd. (ADR) JASO 1.03B 7.60M
Direxion Daily Small Cp Bull 3X Shs(ETF) TNA 322.49M 7.60M
Best Buy Co., Inc. BBY 19.03B 7.58M
ProShares Ultra QQQ (ETF) QLD 841.96M 7.58M
CIGNA Corporation CI 8.82B 7.56M
PPL Corporation PPL 9.36B 7.55M
Invesco Ltd. IVZ 10.07B 7.55M
Starbucks Corporation SBUX 19.31B 7.50M
Consumer Staples Select Sect. SPDR (ETF) XLP 2.43B 7.47M
Monster Worldwide, Inc. MWW 2.19B 7.45M
International Paper Company IP 11.67B 7.45M
Freddie Mac FRE 972.57M 7.44M
ING Groep NV (ADR) ING 33.99B 7.44M
Cliffs Natural Resources Inc CLF 8.47B 7.44M
Banco Santander, SA (ADR) STD 101.54B 7.40M
Constellation Energy Group, Inc. CEG 7.11B 7.38M
KLA-Tencor Corporation KLAC 5.86B 7.38M
XL Capital Ltd. XL 6.09B 7.35M
iShares Silver Trust (ETF) SLV 5.67B 7.33M
Applied Micro Circuits Corporation AMCC 740.81M 7.31M
Gold Fields Limited (ADR) GFI 9.48B 7.31M
Silver Wheaton Corp. (USA) SLW 6.69B 7.29M
ValueClick, Inc. VCLK 868.71M 7.29M
Vodafone Group Plc (ADR) VOD 116.86B 7.27M
ProLogis PLD 6.28B 7.16M
Lloyds Banking Group PLC (ADR) LYG 68.17B 7.14M
BHP Billiton Limited (ADR) BHP 202.55B 7.13M
RRI Energy, Inc. RRI 1.44B 7.10M
Plains Exploration & Production Company PXP 4.09B 7.07M
NASDAQ OMX Group, Inc. NDAQ 4.44B 7.06M
United Parcel Service, Inc. UPS 68.43B 7.03M
Kinross Gold Corporation (USA) KGC 13.22B 7.02M
McDonald's Corporation MCD 75.91B 6.97M
Eli Lilly & Co. LLY 40.33B 6.94M
iShares Lehman 20+ Year Treas.Bond (ETF) TLT 2.43B 6.92M
ProShares UltraPro Short S&P 500 (ETF) SPXU 219.10M 6.92M
Philip Morris International Inc. PM 91.54B 6.88M
Pactiv Corporation PTV 3.37B 6.88M
Archer Daniels Midland Company ADM 17.95B 6.92M
STEC, Inc. STEC 699.67M 6.84M
Pride International, Inc. PDE 5.33B 6.82M
Hercules Offshore, Inc. HERO 453.16M 6.80M
Lennar Corporation LEN 3.68B 6.80M
Level 3 Communications, Inc. LVLT 2.53B 6.77M
Citizens Republic Bancorp, Inc. CRBC 489.05M 6.73M
Marathon Oil Corporation MRO 22.77B 6.69M
Teva Pharmaceutical Industries Ltd (ADR) TEVA 54.23B 6.69M
Limited Brands, Inc. LTD 8.66B 6.69M
Melco Crown Entertainment Ltd MPEL 2.53B 6.68M
Direxion Daily Large Cp Bear 3X Shs(ETF) BGZ 257.24M 6.63M
Standard Pacific Corp. SPF 680.17M 6.62M
Target Corporation TGT 45.12B 6.57M
Juniper Networks, Inc. JNPR 14.87B 6.55M
Hertz Global Holdings, Inc. HTZ 5.93B 6.55M
The Southern Company SO 28.51B 6.48M
Beazer Homes USA, Inc. BZH 408.58M 6.47M
Kimco Realty Corporation KIM 6.32B 6.45M
ProShares UltraShort Dow30 (ETF) DXD 499.86M 6.44M
Patriot Coal Corporation PCX 1.79B 6.42M
SPDR S&P Oil & Gas Explore & Prod. (ETF) XOP 600.95M 6.41M
Nucor Corporation NUE 14.28B 6.38M
CEL-SCI Corporation CVM 144.88M 6.37M
McMoRan Exploration Co. MMR 1.10B 6.37M
Discover Financial Services DFS 8.41B 6.36M
Avon Products, Inc. AVP 14.04B 6.35M
Tesoro Corporation TSO 1.86B 6.34M
SAIC, Inc. SAI 6.74B 6.33M
Visa Inc. V 76.00B 6.27M
PMC-Sierra, Inc. PMCS 2.03B 6.27M
International Business Machines Corp. IBM 165.42B 6.27M
Peabody Energy Corporation BTU 12.56B 6.27M
Dynegy Inc. DYN 799.92M 6.26M
The AES Corporation AES 7.71B 6.23M
SunTrust Banks, Inc. STI 14.80B 6.21M
Sunoco, Inc. SUN 3.95B 6.18M
Atmel Corporation ATML 2.48B 6.18M
SandRidge Energy Inc. SD 1.58B 6.17M
Annaly Capital Management, Inc. NLY 9.43B 561,517.00
Eldorado Gold Corporation (USA) EGO 8.22B 6.11M
Amazon.com, Inc. AMZN 61.10B 6.11M
ATP Oil & Gas Corporation ATPG 925.71M 6.10M
SPDR KBW Regional Banking (ETF) KRE 1.07B 6.10M
ATS Medical, Inc. ATSI 311.85M 6.08M
BB&T Corporation BBT 23.00B 6.08M
State Street Corporation STT 21.81B 6.04M
Walgreen Company WAG 34.39B 6.04M
SPDR S&P Metals and Mining (ETF) XME 970.22M 6.01M
Analog Devices, Inc. ADI 8.91B 6.01M
The Allstate Corporation ALL 17.56B 5.99M
First BanCorp. FBP 196.19M 5.99M
Medco Health Solutions Inc. MHS 27.07B 5.98M
Carnival Corporation CCL 34.70B 5.97M
ReneSola Ltd. (ADR) SOL 674.10M 5.97M
Johnson Controls, Inc. JCI 22.61B 5.96M
Akamai Technologies, Inc. AKAM 6.68B 5.95M
CenturyTel, Inc. CTL 10.22B 5.95M
iShares Russell 2000 Growth Index (ETF) IWO 3.56B 5.93M
POZEN Inc. POZN 323.71M 5.93M
Teradyne, Inc. TER 2.17B 5.91M
American Axle & Manufact. Holdings, Inc. AXL 770.06M 5.87M
OfficeMax Incorporated OMX 1.61B 5.86M
American Electric Power Company, Inc. AEP 16.41B 5.85M
Cell Therapeutics, Inc. CTIC 380.45M 5.84M
Medtronic, Inc. MDT 48.13B 5.84M
JDS Uniphase Corporation JDSU 2.85B 5.83M
New Dragon Asia Corp. NWD 11.28M 5.82M
Williams Companies, Inc. WMB 13.78B 5.79M
SYSCO Corporation SYY 18.69B 5.75M
Potash Corp./Saskatchewan (USA) POT 32.72B 5.70M
NetLogic Microsystems, Inc. NETL 1.79B 5.64M
ConAgra Foods, Inc. CAG 10.90B 5.63M
The Boeing Company BA 54.98B 5.60M
MFA Mortgage Investments MFA 2.00B 5.60M
Direxion Daily Large Cp Bull 3X Shs(ETF) BGU 202.52M 5.58M
iShares MSCI Hong Kong Index Fund (ETF) EWH 1.79B 5.57M
Capital One Financial Corp. COF 19.62B 5.55M
Petroleo Brasileiro SA (ADR) PBR.A 187.78B 5.54M
Nuance Communications Inc. NUAN 5.19B 5.53M
Rowan Companies, Inc. RDC 3.39B 5.49M
Human Genome Sciences HGSI 5.14B 5.47M
Honeywell International Inc. HON 36.37B 5.47M
Gannett Co., Inc. GCI 4.05B 5.45M
VIVUS, Inc. VVUS 822.73M 5.42M
Manitowoc Company, Inc. MTW 1.84B 5.39M
Eurobancshares Inc. EUBK 8.77M 5.39M
NCR Corporation NCR 2.10B 5.37M
Exelon Corporation EXC 28.79B 5.34M
iShares MSCI Australia Index Fund (ETF) EWA 2.46B 5.31M
AEterna Zentaris Inc. (USA) AEZS 89.04M 5.30M
FirstEnergy Corp. FE 11.54B 5.28M
MetroPCS Communications, Inc. PCS 2.69B 5.28M
Fiserv, Inc. FISV 7.79B 5.27M
iStar Financial Inc. SFI 632.05M 5.27M
3M Company MMM 63.23B 5.26M
Moody's Corporation MCO 5.86B 5.26M
Gerdau SA (ADR) GGB 23.29B 5.25M
Viacom, Inc. VIA.B 21.46B 5.24M
The South Financial Group TSFG 166.03M 5.21M
Frontier Oil Corporation FTO 1.60B 5.18M
Evergreen Solar, Inc. ESLR 232.82M 5.17M
Republic Services, Inc. RSG 11.84B 5.16M
America Movil SAB de CV (ADR) AMX 83.10B 5.16M
Eurobancshares Inc. EUBK 8.77M 5.39M
Tyco International Ltd. TYC 18.43B 5.13M
Conexant Systems, Inc. CNXT 241.99M 5.11M
Marriott International, Inc. MAR 13.28B 5.09M
IAMGOLD Corporation (USA) IAG 6.63B 5.08M
Coca-Cola Enterprises Inc. CCE 13.69B 5.08M
Saks Incorporated SKS 1.57B 5.17M
People's United Financial, Inc. PBCT 5.77B 5.08M
EXCO Resources, Inc. XCO 3.93B 5.08M
United Technologies Corporation UTX 69.93B 5.07M
Forest Laboratories, Inc. FRX 8.24B 5.07M
Developers Diversified Realty Corp. DDR 3.08B 5.06M
XOMA Limited XOMA 172.70M 5.07M
CA, Inc. CA 11.86B 5.03M
Cardinal Health, Inc. CAH 12.54B 5.02M
Devon Energy Corporation DVN 30.08B 5.01M
Liberty Media Corp (Interactive) LINTA 9.17B 5.00M


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