Monday, October 25, 2010

This Stock Will Gain at Least 200%

Hate it or love it, Dryship will hit the target of $12 a share.
1 Drillship have already secured a contract. One more to go........

By Moming Zhou

March 26 (Bloomberg) -- DryShips Inc., a Greek owner of deep-water drilling rigs and drybulk ships, is seeking an initial public offering of its rig segment as early as September, Chief Operating Officer Pankaj Khanna said.

The drilling IPO may triple DryShips’ shares to about $18 from the current price of below $6, Khanna said in an interview in New York, adding that the company has no plan to sell itself. Speculation that DryShips may be acquired by A. P. Moller-Maersk A/S sent shares up the most in almost four months on March 8.

“At this point, we are working to IPO the company and to find charterers for the drilling rigs,” said Khanna. “We have no thoughts on other strategic options.”

DryShips expects to find charterers in six months for two of the four new rigs that are scheduled to be delivered in 2011, Khanna said. The company has two existing rigs that are chartered by Petroleo Brasileiro SA and Tullow Oil Plc.

“As a minimum, to go out to do the IPO, we need to have two of the four rigs fixed,” said Khanna, who rang the opening bell at the Nasdaq exchange today to celebrate DryShips’ five- year anniversary as a public company. “And assuming everything falls into place, September is the earliest time we can have the IPO.”

The company is planning to list 20 percent of the shares of the drilling segment and hold the remaining 80 percent. The IPO is expected to add between
====== $8 and $12=======
 a share to DryShips’ current share prices, according to Khanna’s estimate.

Shares Up

DryShips, based in Athens, rose 13 cents, or 2.4 percent, to $5.80 as of 11:19 a.m. New York time in Nasdaq composite trading. Shares are little-changed this year.

The current price doesn’t reflecting the value of the drilling rigs because the company has yet to secure charters, Khanna said. Once the charters are secured, shares should rise because the rig segment will bring in earnings before interest, tax and amortization of as much as $640 million, he said.

“The risk is that we don’t have charters for the four drill ships, and we don’t have financing for two of the drill ships,” said Khanna. “That’s why we are trading around $6.”

DryShips diversified into the oil drilling business through the 2008 purchase of Ocean Rig ASA. Revenue from the two drilling rigs accounted for 40 percent of DryShips’ fourth- quarter revenue of $217.9 million.

--Editors: Charlotte Porter, Richard Stubbe

DryShips secures one-year drilling contract for newbuild semi
October 20, 2010
DryShips Inc. (the “Company” or “DryShips”), a global provider of marine transportation services for dry bulk cargoes and off-shore contract drilling oil services, announced today that its fully-owned subsidiary Ocean Rig UDW Inc has signed definitive documentation following the previously announced Letter of Award. The contracts were signed with subsidiaries of Vanco Overseas Energy Limited (“Vanco”) for projects in which Vanco is operator and LUKOIL Overseas is majority co-venturer, for a five well contract for exploration drilling offshore Ghana and Cote d’Ivoire for a period of about one year with one drillship, commencing in the second quarter of 2011. The value of the contracts is approximately $160 million. The Company has the option to use either of the OceanRig Corcovado or the OceanRig Olympia. The contract may be extended for an additional year or an additional well, prior to the completion of operations on the second well in the program.

George Economou, Chairman, President & CEO commented: “We are pleased to have concluded the contract for one of the first two drillships that will deliver from Samsung in the first quarter of 2011. The option of using the first or the second drillship allows us to service the requirements of the customer and gives us flexibility considering the other tenders we are working on. This contract opens a new relationship for OceanRig with International operators who have strong potential in the ultra deepwater space and have drilling programs well beyond this first commitment. Moreover, this contract builds on the platform we have nurtured in Ghana. Ghana is emerging as a new oil province in West Africa with potential that could match Angola in the years to come. Our highly capable and unique semi-submersible drilling rig, the Eirik Raude, has been drilling offshore Ghana on contract to Tullow Oil for almost two years now. The experience gained over this period and the economies of scale with two rigs in adjacent areas will benefit OceanRig and position us for further business in this region. We are proud to be part of the growth story of Ghana.

“The fundamentals of the ultra deepwater market have strengthened substantially in the last couple of months. While this hasn’t manifested itself in the form of rising rates yet, we are experiencing a surge in activity. OceanRig is amongst the first to announce the conclusion of a contract in recent months, but we are aware of at least four additional ultra deepwater units that have been, or are close to being, contracted. Assuming this is the case the supply picture starts to look much better than what analysts were projecting just a few weeks ago. Moreover, demand is rising as we see new projects being tendered, with inquiries emerging on a weekly basis. We remain confident that the remaining three drillships will also find employment contracts in the near future.”

Source: DryShips Inc.

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Novell, Inc.      NOVL    2.13B    5.60M       
McDonald's Corporation      MCD    83.60B    5.60M       
Eastman Kodak Company      EK    1.06B    5.52M       
Kimco Realty Corporation      KIM    7.03B    5.48M       
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SPDR S&P Homebuilders (ETF)      XHB    700.00M    5.20M       
Carnival Corporation      CCL    32.93B    5.18M       
MetroPCS Communications, Inc.      PCS    3.75B    5.17M       
TerreStar Corporation      TSTR    24.13M    5.16M
Safeway Inc.      SWY    8.31B    5.14M       
Chico's FAS, Inc.      CHS    1.77B    5.14M       
Archer Daniels Midland Company      ADM    21.44B    5.13M       
Lennar Corporation      LEN    2.74B    5.13M       
MGIC Investment Corp.      MTG    1.98B    5.10M       
MBIA Inc.      MBI    2.48B    5.08M       
Urban Outfitters, Inc.      URBN    5.00B    5.07M       
Comcast Corporation      CMCSK    54.62B    5.07M       
SPDR KBW Bank (ETF)      KBE    814.32M    5.06M       
The Mosaic Company      MOS    29.40B    5.05M       
Marathon Oil Corporation      MRO    25.27B    5.04M       
Flextronics International Ltd.      FLEX    4.89B    5.03M       
National Semiconductor Corporation      NSM    3.16B    5.02M       
Occidental Petroleum Corporation      OXY    64.64B    5.01M       
Expedia, Inc.      EXPE    8.05B    5.00M       
The Boeing Company      BA    52.27B    4.98M       
Honeywell International Inc.      HON    36.87B    4.96M       
ConAgra Foods, Inc.      CAG    10.09B    4.96M       
Target Corporation      TGT    38.86B    4.95M       
ProShares Ultra Financials (ETF)      UYG    1.24B    4.94M       
Nabors Industries Ltd.      NBR    5.52B    4.90M       
Gannett Co., Inc.      GCI    2.91B    4.88M       
Prudential Financial, Inc.      PRU    24.62B    4.87M       
Citrix Systems, Inc.      CTXS    11.37B    4.86M       
American Eagle Outfitters      AEO    3.24B    4.82M       
Jabil Circuit, Inc.      JBL    3.09B    4.82M       
First Horizon National Corporation      FHN    2.31B    4.81M       
Analog Devices, Inc.      ADI    9.54B    4.80M       
Johnson Controls, Inc.      JCI    23.01B    4.79M       
National Bank of Greece (ADR)      NBG    7.13B    4.77M
American International Group, Inc.      AIG    27.73B    4.74M       
Accenture Plc      ACN    32.22B    4.71M       
General Mills, Inc.      GIS    23.88B    4.70M       
Iron Mountain Incorporated      IRM    4.56B    4.69M       
Teva Pharmaceutical Industries Ltd (ADR)      TEVA    49.03B    4.69M       
SUPERVALU INC.      SVU    2.29B    4.68M       
Linear Technology Corporation      LLTC    7.10B    4.65M       
Masco Corporation      MAS    3.93B    4.63M       
Saks Incorporated      SKS    1.73B    4.61M       
CMS Energy Corporation      CMS    4.30B    4.60M       
JDS Uniphase Corporation      JDSU    2.57B    4.58M       
Patterson-UTI Energy, Inc.      PTEN    3.04B    4.57M       
Gold Fields Limited (ADR)      GFI    10.82B    4.56M       
ArcelorMittal (ADR)      MT    52.17B    4.56M       
Deere & Company      DE    32.74B    4.55M       
United Parcel Service, Inc.      UPS    69.18B    4.54M       
Viacom, Inc.      VIA.B    22.61B    4.54M       
The AES Corporation      AES    9.77B    4.54M       
Cliffs Natural Resources Inc      CLF    8.75B    4.53M       
Illinois Tool Works Inc.      ITW    23.51B    4.52M       
Akamai Technologies, Inc.      AKAM    8.65B    4.52M       
Huntsman Corporation      HUN    3.22B    4.50M       
The Allstate Corporation      ALL    17.64B    4.50M       
Anadarko Petroleum Corporation      APC    30.94B    4.50M       
Textron Inc.      TXT    5.74B    4.49M       
LyondellBasell Industries NV Ordinary Shares Class A (Netherlands)      LYB    9.45B    4.49M       
Southwestern Energy Company      SWN    11.74B    4.48M       
XL Group plc      XL    7.52B    4.48M       
Evergreen Solar, Inc.      ESLR    204.21M    4.47M       
Potash Corp./Saskatchewan (USA)      POT    42.05B    4.46M
RRI Energy, Inc.      RRI    1.24B    4.46M       
Steel Dynamics, Inc.      STLD    3.11B    4.45M       
Marriott International, Inc.      MAR    13.58B    4.40M       
Peabody Energy Corporation      BTU    13.74B    4.40M       
Baxter International Inc.      BAX    29.87B    4.40M       
Teck Resources Limited      TCK    26.11B    4.38M       
Netezza Corporation      NZ    1.69B    4.38M       
National-Oilwell Varco, Inc.      NOV    20.36B    4.38M       
Baker Hughes Incorporated      BHI    20.08B    4.34M       
Lincoln National Corporation      LNC    8.24B    4.34M       
Northgate Minerals Corporation (USA)      NXG    814.61M    4.33M       
Suntech Power Holdings Co., Ltd. (ADR)      STP    1.57B    4.32M       
iShares MSCI Australia Index Fund (ETF)      EWA    2.60B    4.31M       
CA, Inc.      CA    11.80B    4.30M       
United Technologies Corporation      UTX    69.62B    4.28M       
Skyworks Solutions, Inc.      SWKS    3.84B    4.27M       
Crocs, Inc.      CROX    1.17B    4.25M       
Yingli Green Energy Hold. Co. Ltd. (ADR)      YGE    1.73B    4.22M       
PPL Corporation      PPL    12.99B    4.22M       
Intuit Inc.      INTU    14.99B    4.21M       
Costco Wholesale Corporation      COST    27.68B    4.21M       
Invesco Ltd.      IVZ    10.52B    4.20M       
UBS AG (USA)      UBS    68.00B    4.20M       
Oil Service HOLDRs (ETF)      OIH    1.86B    4.20M       
PowerShares DB US Dollar Index Bullish      UUP    934.75M    4.18M       
Noble Corporation      NE    8.74B    4.16M       
Medco Health Solutions Inc.      MHS    22.26B    4.12M       
SLM Corporation      SLM    5.60B    4.12M       
Zions Bancorporation      ZION    3.84B    4.12M       
Nucor Corporation      NUE    11.95B    4.10M
Novartis AG (ADR)      NVS    133.07B    4.10M       
PMC-Sierra, Inc.      PMCS    1.72B    4.08M       
International Game Technology      IGT    4.41B    4.05M       
CenterPoint Energy, Inc.      CNP    6.92B    4.03M       
Companhia Siderurgica Nacional (ADR)      SID    25.64B    4.02M       
Tibco Software Inc.      TIBX    3.13B    4.02M       
McMoRan Exploration Co.      MMR    1.46B    4.02M       
Massey Energy Company      MEE    4.07B    4.00M       
Paychex, Inc.      PAYX    10.13B    3.98M       
Avon Products, Inc.      AVP    14.77B    3.97M       
State Street Corporation      STT    20.26B    3.97M       
Satyam Computer Services Limited(ADR)      SAYCY    2.39B    3.96M       
Cypress Semiconductor Corporation      CY    2.17B    3.96M       
WellPoint, Inc.      WLP    23.00B    3.92M       
TD Ameritrade Holding Corp.      AMTD    9.61B    3.91M       
Pacific Ethanol Inc      PEIX    77.10M    3.90M       
Exelon Corporation      EXC    27.76B    3.90M       
Wendy's Arby's Group Inc.      WEN    2.05B    3.89M       
Radian Group Inc.      RDN    741.89M    3.88M       
Trina Solar Limited (ADR)      TSL    3.66B    3.87M       
KLA-Tencor Corporation      KLAC    6.04B    3.86M       
PG&E Corporation      PCG    18.62B    3.86M       
Liberty Media Corp (Interactive)      LINTA    8.75B    3.85M       
Genzyme Corporation      GENZ    18.46B    3.84M       
Tesoro Corporation      TSO    1.88B    3.83M       
VMware, Inc.      VMW    31.44B    3.82M       
Red Hat, Inc.      RHT    7.75B    3.82M       
Emerson Electric Co.      EMR    41.01B    3.82M       
Aeropostale, Inc.      ARO    2.38B    3.80M       
VIVUS, Inc.      VVUS    493.48M    3.80M
Yum! Brands, Inc.      YUM    23.23B    3.82M       
FirstEnergy Corp.      FE    11.44B    3.78M       
Kohl's Corporation      KSS    16.29B    3.78M       
GameStop Corp.      GME    2.88B    3.76M       
Express Scripts, Inc.      ESRX    26.58B    3.76M       
SPDR S&P Oil & Gas Explore & Prod. (ETF)      XOP    501.62M    3.76M       
The Travelers Companies, Inc.      TRV    25.29B    3.75M       
Aetna Inc.      AET    13.02B    3.77M       
Covidien plc      COV    19.83B    3.73M       
Golden Star Resources Ltd. (USA)      GSS    1.25B    3.73M       
Amylin Pharmaceuticals, Inc.      AMLN    1.62B    3.72M       
Limited Brands, Inc.      LTD    9.38B    3.70M       
The Southern Company      SO    31.83B    3.70M       
Google Inc.      GOOG    195.22B    3.69M       
VimpelCom Ltd.      VIP    753.32M    3.69M       
Patriot Coal Corporation      PCX    1.17B    3.67M       
CB Richard Ellis Group, Inc.      CBG    6.08B    3.66M       
EnCana Corporation (USA)      ECA    20.29B    3.64M       
Cell Therapeutics, Inc.      CTIC    310.97M    3.64M       
Sunesis Pharmaceuticals, Inc.      SNSS    76.97M    3.63M       
Autodesk, Inc.      ADSK    7.92B    3.61M       
PharmAthene, Inc.      PIP    126.16M    3.61M       
Janus Capital Group Inc.      JNS    1.97B    3.60M       
The Blackstone Group LP      BX    4.93B    3.60M       
Nordstrom, Inc.      JWN    8.09B    3.60M       
First BanCorp.      FBP    90.63M    3.60M       
IAMGOLD Corporation (USA)      IAG    6.46B    3.60M       
Quantum Corporation      QTM    631.33M    3.58M       
Taseko Mines Limited (USA)      TGB    1.16B    3.56M       
CenturyLink, Inc.      CTL    12.24B    3.56M
Newell Rubbermaid Inc.      NWL    5.03B    3.56M, inc.      CRM    14.02B    3.54M       
Brigham Exploration Company      BEXP    2.44B    3.52M       
Range Resources Corp.      RRC    5.88B    3.50M       
Maxim Integrated Products Inc.      MXIM    5.78B    3.49M       
Dean Foods Company      DF    1.82B    3.49M       
The Talbots, Inc.      TLB    671.31M    3.48M       
Pride International, Inc.      PDE    5.46B    3.47M       
Solarfun Power Holdings Co., Ltd. (ADR)      SOLF    597.70M    3.47M       
Hologic, Inc.      HOLX    4.19B    3.47M       
Plains Exploration & Production Company      PXP    3.78B    3.46M       
Agilent Technologies Inc.      A    12.04B    3.46M       
E TRADE Financial Corporation      ETFC    3.10B    3.44M       
iShares Gold Trust(ETF)      IAU    3.88B    3.44M       
The Goodyear Tire & Rubber Company      GT    2.85B    3.40M       
MFA Mortgage Investments      MFA    2.22B    3.38M       
SPDR S&P MidCap 400 ETF      MDY    9.48B    3.38M       
The Progressive Corporation      PGR    14.00B    3.37M       
Danaher Corporation      DHR    28.24B    3.37M       
Denbury Resources Inc.      DNR    6.82B    3.37M       
Savient Pharmaceuticals, Inc.      SVNT    1.47B    3.36M       
SYSCO Corporation      SYY    17.39B    3.35M       
GT Solar International, Inc.      SOLR    1.26B    3.35M       
Focus Media Holding Limited (ADR)      FMCN    3.46B    3.34M       
Wynn Resorts, Limited      WYNN    12.90B    3.33M       
CSX Corporation      CSX    22.89B    3.33M       
ChinaCache International Holdings Ltd.      CCIH    547.66M    3.32M       
People's United Financial, Inc.      PBCT    4.61B    3.31M       
BHP Billiton Limited (ADR)      BHP    225.11B    3.29M       
ARM Holdings plc (ADR)      ARMH    8.11B    3.30M
iShares MSCI Singapore Index Fund (ETF)      EWS    2.13B    3.30M       
Quicksilver Resources Inc      KWK    2.59B    3.29M       
NIKE, Inc.      NKE    39.15B    3.29M       
Grupo Televisa, SA (ADR)      TV    12.48B    3.29M       
ProShares UltraShort Real Estate (ETF)      SRS    318.22M    3.28M       
Hercules Offshore, Inc.      HERO    260.53M    3.28M       
Arch Coal, Inc.      ACI    4.05B    3.27M       
SPDR S&P Metals and Mining (ETF)      XME    912.15M    3.26M       
CarMax, Inc      KMX    6.64B    3.25M       
Colgate-Palmolive Company      CL    37.34B    3.23M       
Barclays PLC (ADR)      BCS    53.88B    3.22M       
ProShares Short S&P500 (ETF)      SH    2.09B    3.21M       
Comerica Incorporated      CMA    6.40B    3.20M       
Foot Locker, Inc.      FL    2.44B    3.19M       
Hess Corp.      HES    20.77B    3.18M       
Rare Element Resources Ltd.      REE    327.44M    3.17M       
Stryker Corporation      SYK    20.08B    3.16M       
TOTAL SA (ADR)      TOT    121.56B    3.16M       
3M Company      MMM    64.50B    3.15M       
TiVo Inc.      TIVO    1.21B    3.15M       
BMC Software, Inc.      BMC    7.90B    3.15M       
Cadence Design Systems, Inc.      CDNS    2.12B    3.15M       
American Capital Ltd.      ACAS    2.20B    3.24M       
McAfee, Inc.      MFE    7.19B    3.14M       
Cameron International Corporation      CAM    10.40B    3.12M       
The TJX Companies, Inc.      TJX    17.97B    3.12M       
iShares MSCI South Korea Index Fund(ETF)      EWY    3.47B    3.12M       
ProShares UltraShort Dow30 (ETF)      DXD    482.20M    3.12M       
ReneSola Ltd. (ADR)      SOL    1.03B    3.10M       
Bed Bath & Beyond Inc.      BBBY    11.41B    3.09M   
Coca-Cola Enterprises Inc.      CCE    12.38B    3.08M       
Entropic Communications, Inc.      ENTR    685.99M    3.08M       
QLogic Corporation      QLGC    1.83B    3.07M       
Riverbed Technology, Inc.      RVBD    3.93B    3.06M       
Pactiv Corporation      PTV    4.41B    3.06M       
Devon Energy Corporation      DVN    28.38B    3.06M       
Apache Corporation      APA    36.90B    3.05M       
Whole Foods Market, Inc.      WFMI    6.86B    3.03M

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