Friday, October 22, 2010

Will This Stock Tumble or Rally?

I have been following this stock for more than 2 months now. And I have invested all my saving into it while it is still trading at $5.00. I believe the technical signals do show a reversal signals.
1) The stochastic show that the blue line is crossing over to go above the red line.
2) The bolinger band show that it is at the lowest side of the band and it should move up from here.
3) The MACD histogram show that it is at the very end of the low side and reversal is inevitable.

Based on the brief and simple analysis above, I believe DryShips will only move up from here. The question is not will it move up? It should be when it will move up?

I believe the general market is still at the consolidation level before the bull will start to take over again. Therefore, I have a strong feeling DryShips will move up together with the rest of the most active stock as per below:-

Most Actives, Oct. 21:

Company / Symbol / Market Cap / Volume

Citigroup Inc (C)    118.23B    435.12M       
Bank of America Corp (BAC)    113.98B    316.41M       
SPDR S&P 500 ETF (SPY)    77.79B    220.58M       
Nokia Corporation ADR (NOK)    42.24B    90.26M       
iShares MSCI Emerging Markets Indx ETF (EEM)    41.51B    85.29M       
PowerShares QQQ Trust, Series 1 (ETF)      QQQQ    20.73B    85.27M       
Ford Motor Company      F    47.50B    85.16M        
Financial Select Sector SPDR (ETF)      XLF    5.87B    73.53M       
Intel Corporation      INTC    110.02B    67.53M       
Sirius XM Radio Inc.      SIRI    5.05B    64.81M       
iShares Russell 2000 Index (ETF)      IWM    13.89B    62.17M        
Sprint Nextel Corporation      S    14.21B    61.39M       
General Electric Company      GE    172.13B    59.03M       
eBay Inc.      EBAY    35.68B    52.81M       
Wells Fargo & Company      WFC    136.23B    52.19M       
Microsoft Corporation      MSFT    219.97B    49.90M       
Direxion Daily Finan. Bear 3X Shs(ETF)      FAZ    1.15B    47.91M       
iPath S&P 500 VIX Short-Term Futures ETN      VXX    1.95B    45.03M       
ProShares UltraShort S&P500 (ETF)      SDS    2.95B    41.01M        
United States Natural Gas Fund, LP      UNG    2.36B    39.37M       
Cisco Systems, Inc.      CSCO    129.91B    38.29M       
JPMorgan Chase & Co.      JPM    148.00B    37.93M       
Huntington Bancshares Incorporated      HBAN    4.03B    37.69M       
Comcast Corporation      CMCSA    54.74B    37.22M       
Petroleo Brasileiro SA (ADR)      PBR    140.43B    36.31M       
Pfizer Inc.      PFE    141.71B    34.66M       
Direxion Daily Finan. Bull 3X Shs(ETF)      FAS    1.82B    33.53M       
Las Vegas Sands Corp.      LVS    25.09B    33.22M       
iShares Silver Trust (ETF)      SLV    6.79B    32.80M       
MGM Resorts International.      MGM    4.85B    32.11M   
Motorola, Inc.      MOT    18.11B    31.90M       
Verizon Communications Inc.      VZ    91.93B    31.68M       
AT&T Inc.      T    167.05B    20.62M       
Cirrus Logic, Inc.      CRUS    930.13M    21.31M       
Oracle Corporation      ORCL    144.88B    30.22M       
Boston Scientific Corporation      BSX    9.64B    30.22M       
Direxion Small Cap Bear 3X Shares (ETF)      TZA    879.09M    28.55M       
Technology SPDR (ETF)      XLK    5.00B    26.65M       
Yahoo! Inc.      YHOO    21.53B    26.48M       
iShares MSCI Brazil Index (ETF)      EWZ    11.55B    25.94M       
Ambac Financial Group, Inc.      ABK    311.17M    23.65M       
NVIDIA Corporation      NVDA    6.37B    25.28M       
Taiwan Semiconductor Mfg. Co. Ltd. (ADR)      TSM    53.93B    24.87M       
Alcoa Inc.      AA    13.05B    24.84M       
Vale (ADR)      VALE    169.75B    24.77M       
QUALCOMM, Inc.      QCOM    70.60B    24.76M       
KeyCorp      KEY    7.34B    24.52M       
Seagate Technology PLC      STX    7.19B    24.09M       
iShares MSCI Japan Index (ETF)      EWJ    4.56B    24.09M       
EMC Corporation      EMC    44.01B    23.19M       
Advanced Micro Devices, Inc.      AMD    4.65B    23.09M       
Morgan Stanley      MS    34.37B    22.71M        
The Home Depot, Inc.      HD    52.97B    22.18M       
Lowe's Companies, Inc.      LOW    30.94B    21.79M       
SPDR Gold Trust (ETF)      GLD    54.57B    21.79M       
Qwest Communications International Inc.      Q    11.18B    21.71M       
Exxon Mobil Corporation      XOM    337.89B    5.33M       
Xilinx, Inc.      XLNX    6.51B    21.15M       
Fifth Third Bancorp      FITB    10.19B    20.82M       
Xerox Corporation      XRX    15.50B    20.59M
Delta Air Lines, Inc.      DAL    10.67B    20.08M       
Chimera Investment Corporation      CIM    3.78B    20.06M       
Micron Technology, Inc.      MU    7.46B    19.99M       
iShares MSCI Taiwan Index (ETF)      EWT    3.15B    19.87M       
Hewlett-Packard Company      HPQ    96.15B    19.78M       
ProShares Ultra S&P500 (ETF)      SSO    1.91B    19.53M       
Apple Inc.      AAPL    284.31B    10.18M       
Cypress Semiconductor Corporation      CY    2.06B    18.96M       
Petroleo Brasileiro SA (ADR)      PBR.A    137.96B    18.57M       
News Corporation      NWSA    37.93B    18.50M       
King Pharmaceuticals, Inc.      KG    3.54B    18.49M       
AMR Corporation      AMR    2.41B    17.86M        
Freeport-McMoRan Copper & Gold Inc.      FCX    45.36B    17.81M       
Vanguard Emerging Markets ETF      VWO    35.95B    17.78M       
Caterpillar Inc.      CAT    49.74B    17.70M       
Generex Biotechnology Corporation      GNBT    82.64M    17.63M       
SanDisk Corporation      SNDK    8.65B    17.27M       
Industrial SPDR (ETF)      XLI    3.10B    17.23M       
Dell Inc.      DELL    28.39B    17.20M       
Marshall & Ilsley Corporation      MI    3.25B    17.19M       
US Bancorp      USB    44.78B    17.19M       
Atmel Corporation      ATML    3.66B    17.11M, Inc. (ADR)      BIDU    35.66B    17.05M       
The Walt Disney Company      DIS    66.33B    16.79M       
iShares FTSE/Xinhua China 25 Index (ETF)      FXI    8.58B    16.73M       
Janus Capital Group Inc.      JNS    1.99B    16.66M       
Netflix, Inc.      NFLX    9.04B    15.92M       
Southwest Airlines Co.      LUV    10.16B    15.83M       
ProShares UltraShort QQQ (ETF)      QID    795.99M    15.58M       
Activision Blizzard, Inc.      ATVI    13.77B    15.49M
Rare Element Resources Ltd.      REE    319.02M    15.31M       
JetBlue Airways Corporation      JBLU    1.94B    15.26M       
Fidelity National Financial, Inc.      FNF    3.01B    10.44M       
Direxion Daily Small Cp Bull 3X Shs(ETF)      TNA    435.46M    14.85M       
iShares MSCI EAFE Index Fund (ETF)      EFA    36.55B    14.84M       
Regions Financial Corporation      RF    9.14B    14.75M       
Halliburton Company      HAL    30.60B    14.62M       
SunTrust Banks, Inc.      STI    13.29B    14.58M       
Applied Materials, Inc.      AMAT    15.89B    14.49M       
SPDR S&P Retail (ETF)      XRT    601.72M    14.41M        
Medtronic, Inc.      MDT    38.31B    14.38M       
Mattel, Inc.      MAT    8.18B    14.16M       
Chesapeake Energy Corporation      CHK    14.36B    13.87M       
Market Vectors Gold Miners ETF      GDX    6.96B    13.76M       
United States Steel Corporation      X    6.06B    13.61M       
Energy Select Sector SPDR (ETF)      XLE    6.51B    13.41M       
Weatherford International Ltd.      WFT    12.75B    9.88M       
Vale (ADR)      VALE.P    163.29B    13.13M       
H&R Block, Inc.      HRB    3.28B    13.08M       
UAL Corp      UAL    4.68B    12.97M, Inc.      AMZN    74.05B    3.81M       
Gilead Sciences, Inc.      GILD    31.89B    12.59M       
American Express Company      AXP    48.45B    12.38M       
Level 3 Communications, Inc.      LVLT    1.43B    12.33M       
iShares Dow Jones US Real Estate (ETF)      IYR    3.24B    12.32M       
Saks Incorporated      SKS    1.71B    12.24M       
TerreStar Corporation      TSTR    31.49M    9.22M       
Marvell Technology Group Ltd.      MRVL    11.21B    11.85M       
Qiao Xing Universal Resources, Inc.      XING    171.29M    11.79M       
The Coca-Cola Company      KO    141.96B    11.53M
Research In Motion Limited (USA)      RIMM    25.75B    11.40M        
Alcatel-Lucent (ADR)      ALU    8.14B    11.37M       
JA Solar Holdings Co., Ltd. (ADR)      JASO    1.42B    11.21M       
Materials SPDR (ETF)      XLB    2.26B    11.12M       
Johnson & Johnson      JNJ    176.26B    10.98M       
Altera Corporation      ALTR    9.10B    10.95M       
The Charles Schwab Corporation      SCHW    17.76B    10.88M       
Amylin Pharmaceuticals, Inc.      AMLN    1.65B    10.88M       
DryShips Inc.      DRYS    1.24B    10.85M       
Consumer Discretionary SPDR (ETF)      XLY    1.76B    10.74M       
Texas Instruments Incorporated      TXN    33.73B    10.72M       
Popular, Inc.      BPOP    2.76B    10.69M       
Eli Lilly & Co.      LLY    40.94B    10.68M       
RF Micro Devices, Inc.      RFMD    1.73B    10.65M       
Altria Group, Inc.      MO    51.93B    5.52M       
Hecla Mining Company      HL    1.69B    10.48M       
The Bank of New York Mellon Corporation      BK    31.63B    10.48M       
Synovus Financial Corp.      SNV    1.88B    10.33M       
Schlumberger Limited.      SLB    76.74B    10.27M       
Merck & Co., Inc.      MRK    114.03B    10.21M       
Brocade Communications Systems, Inc.      BRCD    2.64B    10.03M       
Banco Bradesco SA (ADR)      BBD    76.09B    10.02M        
US Airways Group, Inc.      LCC    1.73B    9.90M       
ProShares UltraShort 20+ Year Trea (ETF)      TBT    4.76B    9.86M       
iShares MSCI Hong Kong Index Fund (ETF)      EWH    2.18B    9.82M       
BB&T Corporation      BBT    15.67B    9.78M       
Symantec Corporation      SYMC    12.28B    9.76M       
PowerShares DB US Dollar Index Bullish      UUP    894.31M    9.58M       
Wal-Mart Stores, Inc.      WMT    196.48B    9.52M       
The Gap Inc.      GPS    11.79B    9.52M   
The Procter & Gamble Company      PG    180.21B    9.49M       
Chevron Corporation      CVX    168.17B    6.75M       
Barrick Gold Corporation (USA)      ABX    44.80B    9.45M       
Kinross Gold Corporation (USA)      KGC    12.33B    9.38M       
ConocoPhillips      COP    93.32B    9.35M       
Cemex SAB de CV (ADR)      CX    8.05B    9.33M       
AK Steel Holding Corporation      AKS    1.49B    9.25M       
Yamana Gold Inc. (USA)      AUY    7.90B    9.24M        
ProShares UltraPro Short S&P 500 (ETF)      SPXU    399.08M    9.24M       
Macy's, Inc.      M    9.40B    9.20M       
Adobe Systems Incorporated      ADBE    14.09B    9.15M       
Direxion Daily Large Cp Bear 3X Shs(ETF)      BGZ    289.34M    9.14M       
The Dow Chemical Company      DOW    35.40B    9.10M       
United States Oil Fund LP (ETF)      USO    1.66B    9.10M       
SUPERVALU INC.      SVU    2.24B    9.08M       
Tesoro Corporation      TSO    1.88B    9.06M       
CBS Corporation      CBS    11.76B    9.05M       
Host Hotels & Resorts, Inc.      HST    10.69B    8.97M       
TCF Financial Corporation      TCB    1.98B    8.96M       
Petrohawk Energy Corporation      HK    5.22B    8.95M       
Semiconductor HOLDRs (ETF)      SMH    1.13B    8.87M       
Baxter International Inc.      BAX    29.84B    8.81M       
ProShares UltraShort Russell2000 (ETF)      TWM    398.04M    8.80M       
Valero Energy Corporation      VLO    10.02B    8.75M       
Banco Itau Holding Financeira SA (ADR)      ITUB    113.41B    8.71M       
Terex Corporation      TEX    2.47B    8.70M       
Newmont Mining Corporation      NEM    29.16B    8.69M       
Chico's FAS, Inc.      CHS    1.76B    8.67M       
SandRidge Energy Inc.      SD    2.22B    8.65M       
Occidental Petroleum Corporation      OXY    64.00B    8.65M   
Vodafone Group Plc (ADR)      VOD    138.64B    7.00M       
ProLogis      PLD    6.01B    8.63M       
United Technologies Corporation      UTX    69.65B    8.62M       
PepsiCo, Inc.      PEP    103.70B    8.60M       
First Niagara Financial Group Inc.      FNFG    2.53B    8.55M       
Melco Crown Entertainment Ltd      MPEL    3.12B    8.52M       
Ciena Corporation      CIEN    1.27B    8.40M       
Huntsman Corporation      HUN    3.24B    8.21M       
AirTran Holdings, Inc.      AAI    1.01B    8.17M       
Silver Wheaton Corp. (USA)      SLW    8.85B    8.13M       
Nucor Corporation      NUE    11.96B    8.08M       
Juniper Networks, Inc.      JNPR    16.51B    8.07M       
Corning Incorporated      GLW    28.94B    7.93M       
Telefonaktiebolaget LM Ericsson (ADR)      ERIC    35.25B    7.81M       
Kraft Foods Inc.      KFT    55.50B    7.68M       
Duke Energy Corporation      DUK    23.50B    7.66M       
McDonald's Corporation      MCD    83.49B    7.66M       
Banco Santander (Brasil) SA(ADR)      BSBR    54.65B    7.60M       
Carnival Corporation      CCL    32.75B    7.58M       
Comcast Corporation      CMCSK    54.71B    7.58M       
CVS Caremark Corporation      CVS    42.44B    7.57M       
BP plc (ADR)      BP    127.32B    7.53M       
Bristol Myers Squibb Co.      BMY    46.49B    7.51M       
PNC Financial Services      PNC    28.14B    7.42M       
Mylan Inc.      MYL    5.93B    7.39M       
Gerdau SA (ADR)      GGB    17.57B    7.38M       
Abbott Laboratories      ABT    81.43B    5.44M       
Kellogg Company      K    18.79B    7.31M       
Federal National Mortgage Association      FNMA    449.28M    7.31M       
E TRADE Financial Corporation      ETFC    3.12B    7.26M
Union Pacific Corporation      UNP    42.42B    7.24M       
Northgate Minerals Corporation (USA)      NXG    800.06M    7.15M       
Cree, Inc.      CREE    5.27B    7.12M       
Medco Health Solutions Inc.      MHS    21.98B    7.08M       
DIRECTV      DTV    38.23B    7.07M       
Eldorado Gold Corporation (USA)      EGO    9.03B    7.05M       
Urban Outfitters, Inc.      URBN    4.85B    7.03M       
Molycorp, Inc.      MCP    2.63B    7.01M       
SPDR Dow Jones Industrial Average ETF      DIA    8.87B    6.97M       
Staples, Inc.      SPLS    15.00B    6.97M       
DR Horton, Inc.      DHI    3.38B    6.97M       
The PMI Group, Inc.      PMI    701.05M    6.92M       
Goldcorp Inc. (USA)      GG    30.82B    6.91M       
Western Digital Corp.      WDC    7.01B    6.85M       
iShares Barclays 20+ Yr Treas.Bond (ETF)      TLT    3.19B    6.84M       
EI du Pont de Nemours & Company      DD    42.72B    6.81M       
Intersil Corporation      ISIL    1.51B    6.78M       
LDK Solar Co., Ltd.      LDK    1.44B    6.78M       
UnitedHealth Group Inc.      UNH    41.02B    6.77M       
J. Crew Group, Inc.      JCG    2.01B    6.77M       
Philip Morris International Inc.      PM    105.50B    6.76M       
MBIA Inc.      MBI    2.52B    6.70M       
Arena Pharmaceuticals, Inc.      ARNA    164.03M    6.69M       
ProShares Ultra QQQ (ETF)      QLD    823.76M    6.68M       
PulteGroup, Inc.      PHM    3.10B    6.66M       
MEMC Electronic Materials, Inc.      WFR    2.81B    6.65M       
The AES Corporation      AES    9.67B    6.65M       
Citrix Systems, Inc.      CTXS    10.92B    6.64M       
Covidien plc      COV    20.06B    6.56M       
LyondellBasell Industries NV Ordinary Shares Class A (Netherlands)      LYB    9.45B    6.52M
Skyworks Solutions, Inc.      SWKS    3.70B    6.48M       
PMC-Sierra, Inc.      PMCS    1.61B    6.48M       
Annaly Capital Management, Inc.      NLY    11.31B    1.67M       
Capital One Financial Corp.      COF    17.79B    6.46M       
Patriot Coal Corporation      PCX    1.18B    6.46M       
Peabody Energy Corporation      BTU    13.90B    6.38M       
Comerica Incorporated      CMA    6.29B    6.37M       
Interpublic Group of Companies, Inc.      IPG    5.17B    6.36M       
Williams Companies, Inc.      WMB    12.39B    6.35M       
PharmAthene, Inc.      PIP    127.47M    6.34M       
Danaher Corporation      DHR    28.30B    6.32M        
Novartis AG (ADR)      NVS    134.92B    6.32M       
National-Oilwell Varco, Inc.      NOV    20.09B    6.31M       
Goldman Sachs Group, Inc.      GS    82.14B    6.31M       
Consumer Staples Select Sect. SPDR (ETF)      XLP    3.10B    6.31M       
United Rentals, Inc.      URI    1.11B    6.25M       
Safeway Inc.      SWY    8.11B    6.21M       
International Business Machines Corp.      IBM    173.39B    6.21M       
Teck Resources Limited      TCK    26.17B    6.20M       
Steel Dynamics, Inc.      STLD    3.11B    6.15M       
Rite Aid Corporation      RAD    845.50M    6.15M       
United Parcel Service, Inc.      UPS    68.94B    6.14M       
SPDR KBW Bank (ETF)      KBE    812.71M    6.13M       
Textron Inc.      TXT    5.75B    6.12M       
Aeropostale, Inc.      ARO    2.32B    6.08M       
Suncor Energy Inc. (USA)      SU    51.24B    6.02M       
Pier 1 Imports, Inc.      PIR    972.82M    5.98M       
Health Care SPDR (ETF)      XLV    2.80B    5.98M       
Teradyne, Inc.      TER    2.05B    5.98M       
Broadcom Corporation      BRCM    18.51B    5.98M   
Frontier Communications Corp      FTR    8.71B    5.94M       
Hertz Global Holdings, Inc.      HTZ    4.31B    5.93M       
Honeywell International Inc.      HON    36.04B    5.91M       
Kimco Realty Corporation      KIM    7.05B    5.91M       
Eastman Kodak Company      EK    1.04B    5.91M       
Utilities SPDR (ETF)      XLU    3.95B    5.89M       
Hudson City Bancorp, Inc.      HCBK    6.06B    5.86M       
Suntech Power Holdings Co., Ltd. (ADR)      STP    1.51B    5.86M       
Office Depot, Inc.      ODP    1.28B    5.86M       
Anadarko Petroleum Corporation      APC    29.10B    5.86M       
Sunesis Pharmaceuticals, Inc.      SNSS    77.08M    5.84M       
Exelon Corporation      EXC    28.77B    5.83M       
Hartford Financial Services      HIG    10.75B    5.74M       
Invesco Ltd.      IVZ    10.50B    5.72M       
Lam Research Corporation      LRCX    5.18B    5.68M       
Children's Place Retail Stores, Inc.      PLCE    1.22B    5.68M       
UBS AG (USA)      UBS    68.64B    5.67M       
Time Warner Inc.      TWX    35.77B    5.66M       
RRI Energy, Inc.      RRI    1.29B    5.65M       
First Horizon National Corporation      FHN    2.31B    5.63M       
3M Company      MMM    64.57B    5.63M       
TriQuint Semiconductor      TQNT    1.43B    5.58M       
ProShares Ultra Financials (ETF)      UYG    1.24B    5.54M       
ProShares UltraShort Financials (ETF)      SKF    536.10M    5.53M       
Tellabs, Inc.      TLAB    2.95B    5.51M       
Kohl's Corporation      KSS    16.24B    5.50M       
MetroPCS Communications, Inc.      PCS    3.70B    5.48M       
Corinthian Colleges, Inc.      COCO    406.58M    5.47M       
iShares MSCI Malaysia Index Fund (ETF)      EWM    995.26M    5.44M       
Johnson Controls, Inc.      JCI    22.85B    5.43M
RadioShack Corporation      RSH    2.87B    5.40M       
Genworth Financial, Inc.      GNW    6.55B    5.39M       
Patterson-UTI Energy, Inc.      PTEN    3.00B    5.38M       
Southwestern Energy Company      SWN    11.88B    5.35M       
Target Corporation      TGT    39.11B    5.33M       
Transocean LTD      RIG    20.76B    5.32M        
ArcelorMittal (ADR)      MT    52.44B    5.30M       
QLogic Corporation      QLGC    1.83B    5.29M       
Masco Corporation      MAS    3.96B    5.28M       
Starbucks Corporation      SBUX    20.20B    5.28M       
Teva Pharmaceutical Industries Ltd (ADR)      TEVA    49.30B    5.27M       
Isilon Systems, Inc.      ISLN    1.88B    5.25M       
National Bank of Greece (ADR)      NBG    7.01B    5.24M       
NetApp Inc.      NTAP    18.20B    5.23M       
SPDR S&P Metals and Mining (ETF)      XME    728.71M    5.22M       
Nordstrom, Inc.      JWN    7.91B    5.22M       
Walgreen Company      WAG    33.19B    5.14M       
Companhia Siderurgica Nacional (ADR)      SID    25.34B    5.12M       
Potash Corp./Saskatchewan (USA)      POT    42.44B    5.10M       
Gannett Co., Inc.      GCI    2.95B    5.09M       
Golden Star Resources Ltd. (USA)      GSS    1.24B    5.00M       
Massey Energy Company      MEE    4.00B    4.98M       
Lennar Corporation      LEN    2.73B    4.97M       
Quicksilver Resources Inc      KWK    2.59B    4.97M       
Electronic Arts Inc.      ERTS    5.14B    4.96M       
JC Penney Company, Inc.      JCP    7.67B    4.92M       
Flextronics International Ltd.      FLEX    4.83B    4.89M       
Wynn Resorts, Limited      WYNN    12.75B    4.88M       
Oil Service HOLDRs (ETF)      OIH    1.82B    4.87M       
Best Buy Co., Inc.      BBY    16.85B    4.85M   
Visa Inc.      V    66.53B    4.84M       
The Talbots, Inc.      TLB    668.50M    4.83M       
Banco Santander, SA (ADR)      STD    109.03B    4.81M       
MGIC Investment Corp.      MTG    1.99B    4.81M       
EnCana Corporation (USA)      ECA    20.36B    4.80M       
SPDR S&P Homebuilders (ETF)      XHB    701.79M    4.80M       
Linear Technology Corporation      LLTC    6.98B    4.79M       
Lattice Semiconductor      LSCC    521.30M    4.78M       
China Shen Zhou Mining & Resources Inc.      SHZ    111.90M    4.75M       
ICON plc (ADR)      ICLR    1.24B    4.75M       
Pride International, Inc.      PDE    5.35B    4.74M       
Range Resources Corp.      RRC    5.92B    4.74M       
MetLife, Inc.      MET    33.18B    4.73M       
International Paper Company      IP    10.28B    4.70M        
Novell, Inc.      NOVL    2.13B    4.69M       
ProShares Ultra Russell2000 (ETF)      UWM    221.92M    4.69M       
Amgen, Inc.      AMGN    55.23B    4.66M       
Monsanto Company      MON    31.29B    4.65M       
Marathon Oil Corporation      MRO    25.23B    4.63M       
Radian Group Inc.      RDN    744.38M    4.61M       
The Boeing Company      BA    52.32B    4.58M       
Marriott International, Inc.      MAR    13.20B    4.56M       
ConAgra Foods, Inc.      CAG    10.06B    4.53M       
Market Vector Russia ETF Trust      RSX    1.17B    4.52M       
Cliffs Natural Resources Inc      CLF    8.64B    4.51M       
China New Borun Corp      BORN    361.44M    4.49M       
ENSCO PLC      ESV    6.65B    4.45M       
SPDR S&P Oil & Gas Explore & Prod. (ETF)      XOP    500.25M    4.45M       
Dean Foods Company      DF    1.82B    4.45M       
BMC Software, Inc.      BMC    7.71B    4.39M
Alliance Data Systems Corporation      ADS    3.34B    4.37M        
National Semiconductor Corporation      NSM    3.07B    4.36M       
The Allstate Corporation      ALL    17.52B    4.36M       
Deere & Company      DE    32.66B    4.35M       
PPL Corporation      PPL    13.25B    4.35M       
ProShares Ultra DJ-UBS Crude Oil      UCO    306.53M    4.34M       
Cell Therapeutics, Inc.      CTIC    293.53M    4.33M       
Netezza Corporation      NZ    1.69B    4.32M       
Liberty Global Inc.      LBTYA    8.42B    4.30M       
Zions Bancorporation      ZION    3.82B    4.30M       
Unilever plc (ADR)      UL    82.61B    4.29M       
Devon Energy Corporation      DVN    28.87B    4.29M       
Akamai Technologies, Inc.      AKAM    8.46B    3.82M       
Mechel OAO (ADR)      MTL    9.62B    4.25M       
The Kroger Co.      KR    13.87B    4.24M       
Coca-Cola Enterprises Inc.      CCE    12.25B    4.22M       
Carter's, Inc.      CRI    1.51B    4.22M       
The Blackstone Group LP      BX    5.00B    4.21M       
The Dress Barn, Inc.      DBRN    1.76B    4.20M       
Gold Fields Limited (ADR)      GFI    10.69B    4.19M       
Emerson Electric Co.      EMR    41.23B    4.18M       
Jabil Circuit, Inc.      JBL    3.09B    4.14M       
Costco Wholesale Corporation      COST    27.50B    4.13M        
JDS Uniphase Corporation      JDSU    2.55B    4.12M       
Yingli Green Energy Hold. Co. Ltd. (ADR)      YGE    1.73B    4.09M       
St. Jude Medical, Inc.      STJ    12.74B    4.09M       
Trina Solar Limited (ADR)      TSL    3.64B    4.08M        
Noble Corporation      NE    8.81B    4.08M       
Baker Hughes Incorporated      BHI    19.44B    4.08M       
Weyerhaeuser Company      WY    8.38B    4.08M   
ProShares UltraShort Real Estate (ETF)      SRS    318.06M    4.07M       
iShares MSCI Australia Index Fund (ETF)      EWA    2.58B    4.07M       
Yum! Brands, Inc.      YUM    22.87B    4.07M       
Unum Group      UNM    7.34B    4.06M       
The Gymboree Corporation      GYMB    1.77B    4.05M       
Thermo Fisher Scientific Inc.      TMO    20.24B    4.02M       
Ingersoll-Rand PLC      IR    12.58B    4.01M       
CMS Energy Corporation      CMS    4.27B    4.01M       
General Mills, Inc.      GIS    23.77B    3.99M       
Fortress Investment Group LLC      FIG    2.08B    3.99M       
Berkshire Hathaway Inc.      BRK.B    205.49B    3.99M       
XL Group plc      XL    7.39B    3.99M       
Fibria Celulose SA (ADR)      FBR    12.20B    3.98M       
Cameron International Corporation      CAM    10.28B    3.97M       
Quantum Corporation      QTM    633.51M    3.96M       
American Capital Ltd.      ACAS    2.22B    3.95M       
Direxion Daily Emr Mkts Bull 3x Shs(ETF)      EDC    334.94M    3.95M       
Illinois Tool Works Inc.      ITW    23.69B    3.95M       
Marsh & McLennan Companies, Inc.      MMC    13.64B    3.93M       
American Eagle Outfitters      AEO    3.24B    3.93M       
Autodesk, Inc.      ADSK    7.78B    3.92M       
El Paso Corporation      EP    9.29B    3.92M       
Lockheed Martin Corporation      LMT    25.69B    3.91M       
FLIR Systems, Inc.      FLIR    4.28B    3.90M       
Northern Trust Corporation      NTRS    11.48B    3.89M       
Analog Devices, Inc.      ADI    9.36B    3.89M       
Foot Locker, Inc.      FL    2.44B    3.85M       
Avon Products, Inc.      AVP    14.52B    3.84M       
AVANIR Pharmaceuticals      AVNR    272.51M    3.84M       
The Travelers Companies, Inc.      TRV    25.84B    3.83M
Nabors Industries Ltd.      NBR    5.39B    3.83M       
Tenet Healthcare Corporation      THC    2.09B    3.82M       
Monster Worldwide, Inc.      MWW    1.81B    3.80M       
Expedia, Inc.      EXPE    7.93B    3.80M       
Express Scripts, Inc.      ESRX    26.18B    3.79M       
ReneSola Ltd. (ADR)      SOL    1.04B    3.79M       
SYSCO Corporation      SYY    17.27B    3.78M       
Diamond Offshore Drilling, Inc.      DO    9.54B    3.77M       
Talisman Energy Inc. (USA)      TLM    18.30B    3.77M       
America Movil SAB de CV (ADR)      AMX    92.32B    3.76M       
iShares MSCI South Korea Index Fund(ETF)      EWY    3.42B    3.76M       
The Southern Company      SO    31.67B    3.74M       
MannKind Corporation      MNKD    825.53M    3.73M       
EXACT Sciences Corporation      EXAS    300.88M    3.73M       
RR Donnelley & Sons Company      RRD    3.80B    3.69M       
The Goodyear Tire & Rubber Company      GT    2.84B    3.69M       
Tyson Foods, Inc.      TSN    5.90B    3.69M       
CA, Inc.      CA    11.23B    3.69M       
ON Semiconductor Corp.      ONNN    3.04B    3.65M       
Gentex Corporation      GNTX    2.93B    3.64M       
Stryker Corporation      SYK    20.37B    3.59M       
AmerisourceBergen Corp.      ABC    9.02B    3.58M       
AU Optronics Corp. (ADR)      AUO    8.48B    3.58M       
China GengSheng Minerals, Inc.      CHGS    53.69M    3.55M       
iShares MSCI Singapore Index Fund (ETF)      EWS    2.12B    3.54M       
Abercrombie & Fitch Co.      ANF    3.72B    3.54M       
Alexion Pharmaceuticals, Inc.      ALXN    6.17B    3.53M       
Del Monte Foods Company      DLM    2.79B    3.53M       
SPDR S&P MidCap 400 ETF      MDY    9.42B    3.51M       
Public Service Enterprise Group Inc.      PEG    17.10B    3.51M
CB Richard Ellis Group, Inc.      CBG    5.97B    3.49M       
Denbury Resources Inc.      DNR    6.82B    3.49M       
Alkermes, Inc.      ALKS    1.06B    3.47M       
Harley-Davidson, Inc.      HOG    7.38B    3.47M       
Lincoln National Corporation      LNC    8.28B    3.47M       
American International Group, Inc.      AIG    27.54B    3.45M       
Apollo Group, Inc.      APOL    5.35B    3.44M       
Republic Services, Inc.      RSG    11.80B    3.43M       
Omnicom Group Inc.      OMC    12.97B    3.43M       
Quest Diagnostics Incorporated      DGX    8.47B    3.42M       
MFA Mortgage Investments      MFA    2.22B    2.07M       
Paychex, Inc.      PAYX    10.10B    3.38M       
CNO Financial Group, Inc.      CNO    1.39B    3.36M       
Arch Coal, Inc.      ACI    4.11B    3.36M       
Prudential Financial, Inc.      PRU    25.38B    3.36M       
Stanley Black & Decker, Inc.      SWK    9.96B    3.34M       
VimpelCom Ltd.      VIP    750.24M    3.33M       
Citizens Republic Bancorp, Inc.      CRBC    341.49M    3.32M       
RAIT Financial Trust      RAS    209.99M    3.31M       
ProShares UltraShort Dow30 (ETF)      DXD    480.72M    3.30M       
Taseko Mines Limited (USA)      TGB    1.19B    3.29M       
General Growth Properties, Inc      GGP    5.37B    3.29M       
KLA-Tencor Corporation      KLAC    6.03B    3.29M       
Dominion Resources, Inc.      D    26.36B    3.27M       
Discover Financial Services      DFS    9.56B    3.27M       
CSX Corporation      CSX    22.67B    3.27M       
Direxion Daily Energy Bull 3X Shs(ETF)      ERX    217.46M    3.26M       
VMware, Inc.      VMW    31.24B    3.26M       
Unilever NV (ADR)      UN    84.21B    3.26M        
Raytheon Company      RTN    17.89B    3.25M
GameStop Corp.      GME    2.86B    3.25M       
Laboratory Corp. of America Holdings      LH    8.03B    3.24M       
KKR & Co. LP      KKR    2.42B    3.24M       
iShares Gold Trust(ETF)      IAU    3.87B    3.24M       
AFLAC Incorporated      AFL    26.01B    3.22M       
Green Mountain Coffee Roasters Inc.      GMCR    4.10B    3.22M       
Rowan Companies, Inc.      RDC    3.69B    3.22M       
Tyco International Ltd.      TYC    19.13B    3.21M       
8x8, Inc.      EGHT    168.43M    1.22M       
State Street Corporation      STT    20.18B    3.19M       
CenterPoint Energy, Inc.      CNP    6.91B    3.19M       
Goodrich Corporation      GR    9.94B    3.19M       
Federal Home Loan Mortgage Corp      FMCC    272.32M    3.18M       
BHP Billiton Limited (ADR)      BHP    224.83B    3.18M       
Check Point Software Technologies Ltd.      CHKP    8.43B    3.15M       
Direxion Daily Large Cp Bull 3X Shs(ETF)      BGU    212.03M    3.15M       
LSI Corporation      LSI    2.95B    3.15M       
Principal Financial Group, Inc.      PFG    8.68B    3.14M       
Forest Laboratories, Inc.      FRX    9.53B    3.14M       
Coach, Inc.      COH    13.21B    3.14M        
American Electric Power Company, Inc.      AEP    17.69B    3.14M       
Precision Castparts Corp.      PCP    19.25B    3.12M       
FirstEnergy Corp.      FE    11.99B    3.12M       
Denison Mines Corp.      DNN    710.02M    3.11M       
ASML Holding NV (ADR)      ASML    13.85B    3.10M       
IAMGOLD Corporation (USA)      IAG    6.33B    3.10M       
SatCon Technology Corporation      SATC    296.26M    3.09M       
American Axle & Manufact. Holdings, Inc.      AXL    659.04M    3.08M        
Zagg Inc      ZAGG    185.76M    3.08M       
The New York Times Company      NYT    1.12B    3.08M
CONSOL Energy Inc.      CNX    8.74B    3.07M       
Cognizant Technology Solutions Corp.      CTSH    20.18B    3.07M       
Tibco Software Inc.      TIBX    3.00B    3.05M       
Evergreen Solar, Inc.      ESLR    212.41M    3.04M       
Agilent Technologies Inc.      A    12.04B    3.04M       
The Western Union Company      WU    11.86B    3.03M       
Wabash National Corporation      WNC    545.09M    3.02M       
Sara Lee Corp.      SLE    9.29B    3.02M

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