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
Baidu.com, 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
Amazon.com, 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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