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Monday, October 11, 2010

Top OTC Pink Sheets Penny Stocks to Watch

Waterlow Stock Exchange Yearbook

LTUM.OB- Lithium Corporation


MDCE.OB- Medical Care Technologies, Inc

WDRP.PK- Wanderport Corp.

AXCG.PK- Avenue Exchange Corp.

IMGG.OB-Imaging3 Inc.

WAMUQ.PK-Washington Mutual Inc.

MJNA.PK-Medical Marijuana, Inc.

HELI.OB-HELI ELECTRONICS CORP

ELCR.OB-Electric Car Company, Inc.

ADSY.OB-Ad Systems Communications, Inc.

AVTI.PK-Avitar Inc.

KATX.PK-KAT Exploration Inc.

NGBR.OB-Big Bear Mining Corp.

ESPH.OB-Ecosphere Technologies, Inc.

TAMO.OB-TAMM OIL AND GAS CORP

CRWG.OB- CrowdGather, Inc.

ZVTK.OB- Zevotek, Inc.

GERSD.OB-GreenShift Corporation

QASP.PK-Quasar Aerospace Industries, Inc.

MNDP.PK-Mundus Group, Inc.

MTLQQ.PK-Motors Liquidation Company

CCTC.PK-Clean Coal Technologies, Inc.

CBAI.OB- Cord Blood America Inc.

PWRM.OB-Power 3 Medical Products Inc.

QASP.PK-Quasar Aerospace Industries, Inc.

SNWT.OB-San West, Inc.

SGTI.OB-Shengtai Pharmaceutical Inc.

TADF.OB-Tactical Air Defense Services Inc.
China Oil Stocks & Consumption
VRML.PK-Vermillion, Inc.

YASH.OB-Yasheng Eco-Trade Corporation.

YASH.OB-Yasheng Eco-Trade Corporation.

GGWPQ-. General Growth Properties Inc.

NXTH.OB-NXT Nutritionals Holdings, Inc.

POSC.OB- Positron Corp.

IRBL.PK-InRob Tech Ltd.

OOAG.PK-OMDA OIL AND GAS

BLOKA.PK-Blockbuster Inc.

CHTL.OB-China Tel Group Inc.

VSTNQ.PK-Visteon Corp.

DGMA.PK -DEGAMA SOFTWARE SOLUTIONS

APCX.PK-AppTech Corp.

MSOA.PK-My Social Income, Inc.

NAACF.PK-National Clean Fuels Inc.

JALSY.PK-Japan Airlines.

MEXP.OB-Marine Exploration, Inc.

MMUH.PK-Mobile Media Unlimited Holdings, Inc.

NXCO.PK-Nexicon Inc

INBG.OB-International Building Technologies Group, Inc.

LBSR.OB-Liberty Star Uranium & Metals Corp.

FRGY.PK-Frontier Energy Corp

AMNG.PK-Amergence Group

ZVTK.OB-Zevotek, Inc.

BIEL.PK-BioElectronics Corporation

STHG.PK-STRATTON HOLDINGS INC

PWRM.OB-Power 3 Medical Products Inc.

QASP.PK-Quasar Aerospace Industries, Inc.

SNWT.OB-San West, Inc.

SGTI.OB-Shengtai Pharmaceutical Inc.

TADF.OB-Tactical Air Defense Services Inc.

VRML.PK-Vermillion, Inc.

EDWY.PK-eDOORWAYS Corporation

CBAI.OB-Cord Blood America Inc.

OOIL.OB-OriginOil, Inc.

CMIN.OB-Constitution Mining Corp.

FNMA.OB-Fannie Mae

FMCC.OB-Freddie Mac

STTN.OB-Smart-Tek Solutions Inc.

MTLQQ.PK-Motors Liquidation Company

GOIQ.PK-GoIP Global, Inc.

MOPN.PK-MOP Environmental Solutions, Inc.

LQMT.PK-Liquidmetal Technologies Inc.

ENTI.PK-ENCOUNTER TECHNOLOGIES

ACTC.OB- Advanced Cell Technology Inc.

MTLQQ.PK-Motors Liquidation Company

TPHM.PK- Thomas Pharmaceuticals Ltd.

ISCO.OB- International Stem Cell Corporation

CHTL.OB- China Tel Group Inc.

BIEL.PK-BioElectronics Corporation

SPNG.PK- SpongeTech Delivery Systems, Inc.

GGWPQ.PK- General Growth Properties Inc.

RCYT.OB- Recycle-Tech Inc

CCTC- Clean Coal Technologies, Inc.

JYHW.OB- JayHawk Energy, Inc.

DNLH.PK- FINELINE HDLGS INC

CCTR.OB-China Crescent Enterprises, Inc.

WAMUQ.PK-Washington Mutual Inc.

VCTY.PK- Videolocity International Inc.

PVCT.OB- Provectus Pharmaceuticals, Inc.













EMR Emerson Electric Co. Industrial Goods 37.95B


NWSA News Corp. Services 37.85B

UNH Unitedhealth Group, Inc. Healthcare 37.65B

CL Colgate-Palmolive Co. Consumer Goods 37.06B

ERIC LM Ericsson Telephone Co. Technology 37.05B

TWX Time Warner Inc. Services 36.64B

NOK Nokia Corporation Technology 35.87B

NKE Nike Inc. Consumer Goods 35.8B

INFY Infosys Technologies Ltd. Technology 35.63B

FCX Freeport-McMoRan Copper & Gold Inc. Basic Materials 35.12B

UBS UBS AG Financial 35.11B

MET MetLife, Inc. Financial 34.72B

APA Apache Corp. Basic Materials 34.71B

DTV DIRECTV Services 34.62B

EFA iShares MSCI EAFE Index Financial 34.41B

WIT Wipro Ltd. Technology 34.12B

HON Honeywell International Inc. Industrial Goods 33.89B

BMO Bank of Montreal Financial 33.76B

PKX POSCO Basic Materials 33.73B

POT Potash Corp. of Saskatchewan, Inc. Basic Materials 33.64B

VMW VMware, Inc. Technology 33.4B

IMO Imperial Oil Ltd. Basic Materials 33.09B

MON Monsanto Co. Basic Materials 32.18B

CHU China Unicom (Hong Kong) Limited Technology 32.10B

GILD Gilead Sciences Inc. Healthcare 31.82B

SNE Sony Corporation Consumer Goods 31.81B

NSANY Nissan Motor Co., Ltd. Consumer Goods 31.62B

BK The Bank of New York Mellon Corporation Financial 31.24B

TXN Texas Instruments Inc. Technology 30.71B

TRI Thomson Reuters Corporation Services 30.69B

BLK BlackRock, Inc. Financial 30.62B

REP Repsol YPF SA Basic Materials 30.60B

RIMM Research In Motion Ltd. Technology 30.55B

BIDU Baidu, Inc. Technology 30.47B

PNC PNC Financial Services Group Inc. Financial 30.46B

DOW The Dow Chemical Company Basic Materials 30.15B

NGG National Grid plc Utilities 30B

PHG Koninklijke Philips Electronics NV Consumer Goods 29.96B

CNI Canadian National Railway Company Services 29.90B

SO Southern Company Utilities 29.80B

GG Goldcorp Inc. Basic Materials 29.61B

GLW Corning Inc. Technology 29.57B

DE Deere & Co. Industrial Goods 29.4B

CUK Carnival plc Services 29.22B

CCL Carnival Corporation Services 29.04B

LOW Lowe's Companies Inc. Services 29.02B

EBAY eBay Inc. Services 28.84B

ACN Accenture plc Services 28.63B

DVN Devon Energy Corporation Basic Materials 28.37B

NEM Newmont Mining Corp. Basic Materials 28.18B

MA Mastercard Incorporated Services 28.12B

EXC Exelon Corp. Utilities 28B

APC Anadarko Petroleum Corporation Basic Materials 27.88B

HAL Halliburton Company Basic Materials 27.85B

AIG American International Group, Inc. Financial 27.78B
Forbes Stock Market Course
VWO Vanguard Emerging Markets Stock ETF Financial 27.76B

PRU Prudential Financial, Inc. Financial 27.74B

WAG Walgreen Co. Services 27.58B

FDX FedEx Corporation Services 27.45B

SPG Simon Property Group Inc. Financial 27.42B

LMT Lockheed Martin Corporation Industrial Goods 27.40B

PX Praxair Inc. Basic Materials 27.17B

SSL Sasol Ltd. Basic Materials 27.05B

BAX Baxter International Inc. Healthcare 27.04B

RTP Rio Tinto plc Basic Materials 27.03B

CM Canadian Imperial Bank of Commerce Financial 27.02B

KMB Kimberly-Clark Corporation Consumer Goods 26.98B

PC Panasonic Corporation Consumer Goods 26.87B

SCCO Southern Copper Corp. Basic Materials 26.36B

SID Companhia Siderurgica Nacional Basic Materials 26.31B

CELG Celgene Corporation Healthcare 26.23B

TI Telecom Italia SpA Technology 26.21B

EZM WisdomTree MidCap Earnings Financial 26.04B

D Dominion Resources, Inc. Utilities 25.93B

DHR Danaher Corp. Conglomerates 25.57B

MFG Mizuho Financial Group, Inc. Financial 25.48B

DELL Dell Inc. Technology 25.41B

MITSY Mitsui & Co. Ltd. Conglomerates 25.40B

EOG EOG Resources, Inc. Basic Materials 25.33B

COST Costco Wholesale Corporation Services 25.10B

ESRX Express Scripts Inc. Services 24.84B

TRP TransCanada Corp. Utilities 24.59B

HDB HDFC Bank Ltd. Financial 24.54B

MFC Manulife Financial Corporation Financial 24.49B

GD General Dynamics Corp. Industrial Goods 24.46B

MRO Marathon Oil Corporation Basic Materials 24.46B

AFL AFLAC Inc. Financial 24.23B

EPD Enterprise Products Partners LP Basic Materials 24.20B

BCE BCE, Inc. Technology 24.13B

TRV The Travelers Companies, Inc. Financial 23.78B

PUK Prudential plc Financial 23.72B

IBN ICICI Bank Ltd. Financial 23.59B

BEN Franklin Resources Inc. Financial 23.49B

DUK Duke Energy Corporation Utilities 23.14B

ITW Illinois Tool Works Inc. Industrial Goods 22.96B

SYT Syngenta AG Basic Materials 22.80B

MOS Mosaic Co. Basic Materials 22.78B

ECA EnCana Corp. Basic Materials 22.75B

VIP Vimpel-Communications Technology 22.70B

TS Tenaris SA Basic Materials 22.4B

WLP WellPoint Inc. Healthcare 22.04B

IVV iShares S&P 500 Index Financial 22B

NEE NextEra Energy, Inc. Utilities 21.98B

GIS General Mills Inc. Consumer Goods 21.94B

NMR Nomura Holdings Inc. Financial 21.86B

GGB Gerdau S.A. Basic Materials 21.68B

MBT Mobile Telesystems OJSC Technology 21.55B

NSC Norfolk Southern Corp. Services 21.35B

CHT Chunghwa Telecom Co. Ltd. Technology 21.05B

KMP Kinder Morgan Energy Partners LP Basic Materials 21.04B

ADP Automatic Data Processing, Inc. Technology 21B

CVE Cenovus Energy Inc. Basic Materials 20.99B

TCK Teck Resources Limited Basic Materials 20.82B

RCI Rogers Communications Inc. Technology 20.51B
Executive Stock Report
VIA-B Viacom, Inc. Services 20.47B

CSX CSX Corp. Services 20.45B

MHS MedcoHealth Solutions Inc. Services 20.38B

JCI Johnson Controls Inc. Consumer Goods 20.34B

SHG Shinhan Financial Group Co. Ltd. Financial 20.13B

TWC Time Warner Cable Inc. Services 20.07B

YHOO Yahoo! Inc. Technology 19.94B

YUM Yum! Brands, Inc. Services 19.93B

AGN Allergan Inc. Healthcare 19.85B

STT State Street Corp. Financial 19.8B

ADM Archer Daniels Midland Company Consumer Goods 19.69B

COV Covidien plc Healthcare 19.19B

K Kellogg Company Consumer Goods 19.19B

LVS Las Vegas Sands Corp. Services 19.18B

ENB Enbridge Inc. Basic Materials 19.16B

HIT Hitachi Ltd. Consumer Goods 19.14B

SYK Stryker Corp. Healthcare 19.06B

QQQQ PowerShares QQQ Financial 19.03B

TYC Tyco International Ltd. Industrial Goods 19.03B

SBUX Starbucks Corp. Services 18.99B

TLK Perusahaan Perseroan (Persero) PT Telekomunikasi Indonesia Tbk. Technology 18.96B

TIP iShares Barclays TIPS Bond Financial 18.93B

AMT American Tower Corp. Technology 18.77B

TMO Thermo Fisher Scientific, Inc. Healthcare 18.74B

COF Capital One Financial Corp. Financial 18.66B

BRCM Broadcom Corp. Technology 18.5B

MOT Motorola Inc. Technology 18.54B

SCHW Charles Schwab Corp. Financial 18.41B

HES Hess Corporation Basic Materials 18.41B

SYY Sysco Corp. Services 18.36B

ACE ACE Limited Financial 18360.79

CTSH Cognizant Technology Solutions Corp. Technology 18.34B

RIG Transocean Ltd. Basic Materials 18.12B

BT BT Group plc Technology 18.11B

GENZ Genzyme Corp. Healthcare 18B

BHI Baker Hughes Incorporated Basic Materials 17.94B

TLM Talisman Energy Inc. Basic Materials 17.90B

PCG PG & E Corp. Utilities 17.87B

CME CME Group Inc. Financial 17.86B

NOC Northrop Grumman Corporation Industrial Goods 17.68B

PCP Precision Castparts Corp. Industrial Goods 17.64B

KEP Korea Electric Power Corp. Utilities 17.56B

BBT BB & T Corp. Financial 17.56B

TJX The TJX Companies, Inc. Services 17.53B

RTN Raytheon Co. Industrial Goods 17.37B

NOV National Oilwell Varco, Inc. Basic Materials 17.21B

PSA Public Storage Financial 17.18B

AEP American Electric Power Co., Inc. Utilities 17.18B

CB The Chubb Corporation Financial 17.07B

FMS Fresenius Medical Care AG & Co. KGAA Healthcare 169.02.B

PCAR PACCAR Inc. Consumer Goods 16.70B

RAI Reynolds American Inc. Consumer Goods 16.70B

KYO Kyocera Corp. Technology 16.69B

BDX Becton, Dickinson and Company Healthcare 16.68B

TII Telmex Internacional, S.A.B. de C.V. Technology 16.65B

WM Waste Management, Inc. Industrial Goods 16.54B

YZC Yanzhou Coal Mining Co. Ltd. Basic Materials 16.53B

PEG Public Service Enterprise Group Inc. Utilities 16.52B

YPF YPF S.A. Basic Materials 16.49B

APD Air Products & Chemicals Inc. Basic Materials 16.36B

MCK McKesson Corporation Services 16.29B

CMI Cummins Inc. Industrial Goods 16.12B

L Loews Corporation Financial 16.12B

ALL The Allstate Corporation Financial 15.94B

AMAT Applied Materials Inc. Technology 15.94B

SAN Banco Santander-Chile Financial 15.80B

AU AngloGold Ashanti Ltd. Basic Materials 15.79B

VNO Vornado Realty Trust Financial 15.60B

CRH CRH plc Industrial Goods 15.51B

ADBE Adobe Systems Inc. Technology 15.5B

BAM Brookfield Asset Management Inc. Financial 15.34B

IWM iShares Russell 2000 Index Financial 15.27B

SCO UltraShort DJ-UBS Crude Oil ProShares Financial 15.21B

SLF Sun Life Financial Inc. Financial 15.19B

NTAP NetApp, Inc. Technology 15.12B

KB KB Financial Group, Inc. Financial 15.09B

KSS Kohl's Corp. Services 15.04B

JNPR Juniper Networks, Inc. Technology 15.03B

ETR Entergy Corporation Utilities 14.9B

BBY Best Buy Co. Inc. Services 14.83B

CCE Coca-Cola Enterprises Inc. Consumer Goods 14.77B

EBR Centrais Electricas Brasileiras S.A. Utilities 14.76B

SPLS Staples, Inc. Services 14.63B

HNZ HJ Heinz Co. Consumer Goods 14.51B

CHK Chesapeake Energy Corporation Basic Materials 14.32B

KR The Kroger Co. Services 14.24B

SE Spectra Energy Corp. Basic Materials 14.23B

PCLN priceline.com Incorporated Services 14.16B

ENI Enersis S.A. Utilities 14.03B
Institutional Buyers Of Bank And Thrift Stocks - The Gold Book
WPPGY WPP Group plc Services 14.01B

ASML ASML Holding NV Technology 13.98B

BIIB Biogen Idec Inc. Healthcare 13.92B

ICI iPath Optimized Currency Carry ETN Financial 13.92B

EOC Empresa Nacional de Electricidad S.A. Utilities 13.89B

VTI Vanguard Total Stock Market ETF Financial 13.73B

TMX Telefonos de Mexico, S.A.B. de C.V. Technology 13.71B

ATVI Activision Blizzard, Inc. Technology 13.65B

S Sprint Nextel Corp. Technology 13.65B

ED Consolidated Edison Inc. Utilities 13.52B

XRX Xerox Corp. Consumer Goods 13.48B

TKC Turkcell Iletisim Hizmetleri AS Technology 13.40B

CRM Salesforce.com Technology 13.39B

VE Veolia Environnement S.A. Utilities 13.38B

AVP Avon Products Inc. Consumer Goods 13.34B

EQR Equity Residential Financial 13.31B

ETN Eaton Corporation Industrial Goods 13.27B

PGR Progressive Corp. Financial 13.22B

SHPGY Shire plc Healthcare 13.19B

BTU Peabody Energy Corp. Basic Materials 13.08B

PSO Pearson plc Services 13.07B

MMC Marsh & McLennan Companies, Inc. Financial 13.05B

ISRG Intuitive Surgical, Inc. Healthcare 13.04B

SWN Southwestern Energy Co. Basic Materials 13.01B

KOF Coca-Cola FEMSA S.A.B de C.V. Consumer Goods 12.99B

STI SunTrust Banks, Inc. Financial 12.93B

MAR Marriott International, Inc. Services 12.93B

SRE Sempra Energy Utilities 12.87B

LQD iShares iBoxx $ Invest Grade Corp Bond Financial 12.83B

PPL PPL Corporation Utilities 12.81B

TROW T. Rowe Price Group, Inc. Financial 12.79B

INTU Intuit Inc. Technology 12.76B

EL Estee Lauder Companies Inc. Consumer Goods 12.72B

TEL Tyco Electronics, Ltd. Technology 12.71B

NUE Nucor Corporation Basic Materials 12.6B
Stocks Of Food Commodities In Cold Storage & Other Warehouses
STJ St. Jude Medical Inc. Healthcare 12.59B

UST ProShares Ultra 7-10 Year Treasury Financial 12.54B

PGN Progress Energy Inc. Utilities 12.49B

NJ Nidec Corp. Industrial Goods 12.48B

BX The Blackstone Group Financial 12.48B

AET Aetna Inc. Healthcare 12.41B

TU TELUS Corporation Technology 12.40B

AGG iShares Barclays Aggregate Bond Financial 12.31B

CPB Campbell Soup Co. Consumer Goods 12.2B

WFT Weatherford International Ltd. Basic Materials 12.27B

RSG Republic Services, Inc. Industrial Goods 12.16B

NBL Noble Energy, Inc. Basic Materials 12.16B

WMB Williams Companies, Inc. Basic Materials 12.1B

FBR Fibria Celulose SA Consumer Goods 12.1B

LUX Luxottica Group SpA Services 12.1B

IR Ingersoll-Rand Plc Industrial Goods 12.09B

GPS Gap Inc. Services 12.07B

COH Coach Inc. Consumer Goods 11.97B

BXP Boston Properties Inc. Financial 11.96B

CAH Cardinal Health, Inc. Services 11.95B

AA Alcoa, Inc. Basic Materials 11.90B

NTRS Northern Trust Corporation Financial 11.85B

BRFS BRF - Brasil Foods S.A. Consumer Goods 11.73B

OMC Omnicom Group Inc. Services 11.72B

WPZ Williams Partners L.P. Basic Materials 11.63B

ACH Aluminum Corporation Of China Limited Basic Materials 11.58B

CCI Crown Castle International Corp. Technology 11.57B

WYNN Wynn Resorts Ltd. Services 11.56B

LO Lorillard, Inc. Consumer Goods 11.54B

LPL LG Display Co., Ltd. Technology 11.54B

PPG PPG Industries Inc. Conglomerates 11.52B

ECL Ecolab Inc. Consumer Goods 11.51B

CPL CPFL Energia S.A. Utilities 11.51B

FE FirstEnergy Corp. Utilities 11.42B

EMT EGS DJ Emerging Mkts Met & Mining Titans Financial 11.34B

CHRW CH Robinson Worldwide Inc. Services 11.24B

CIB Bancolombia S.A. Financial 11.15B

BCH Banco de Chile Financial 11.14B

FSLR First Solar, Inc. Technology 11.11B

KGC Kinross Gold Corporation Basic Materials 11.10B

EIX Edison International Utilities 11.06B

HCP HCP, Inc. Financial 11.04B

TV Grupo Televisa SA Services 11.03B

NXY Nexen, Inc. Common Stock Basic Materials 11.03B

AMP Ameriprise Financial Inc. Financial 11.02B

IWF iShares Russell 1000 Growth Index Financial 11.01B

TSP Telecomunicacoes de Sao Paulo S.A. - TELESP Technology 10.99B

CTL CenturyLink, Inc. Technology 10.91B

WU Western Union Co. Services 10.91B

MUR Murphy Oil Corporation Basic Materials 10.88B

DISCA Discovery Communications, Inc. Services 10.8B

SKM SK Telecom Co. Ltd. Technology 10.85B

ZMH Zimmer Holdings, Inc. Healthcare 10.84B

KUB Kubota Corporation Industrial Goods 10.84B

CTXS Citrix Systems, Inc. Technology 10.83B

SII Smith International Inc. Basic Materials 10.83B

MJN Mead Johnson Nutrition Company Consumer Goods 10.82B

NLY Annaly Capital Management, Inc. Financial 10.81B

AEG AEGON NV Financial 10.72B

EWZ iShares MSCI Brazil Index Financial 10.71B

SQM Chemical & Mining Co. of Chile Inc. Basic Materials 10.66B

SNDK SanDisk Corp. Technology 10.66B

RUK Reed Elsevier plc Services 10.63B

CBS CBS Corporation Services 10.58B

FIS Fidelity National Information Services, Inc. Services 10.57B

AGU Agrium Inc. Basic Materials 10.54B

PH Parker Hannifin Corporation Industrial Goods 10.51B

HSY Hershey Co. Consumer Goods 10.51B

MTB M&T Bank Corp. Financial 10.47B

CCJ Cameco Corp. Basic Materials 10.45B

AON Aon Corporation Financial 10.42B

A Agilent Technologies Inc. Technology 10.37B

FITB Fifth Third Bancorp Financial 10.36B

MICC Millicom International Cellular SA Technology 10.36B

CIG Companhia Energetica de Minas Gerais Utilities 10.35B

BBBY Bed Bath & Beyond, Inc. Services 10.35B

IP International Paper Co. Consumer Goods 10.35B

VLO Valero Energy Corp. Basic Materials 10.32B

SYMC Symantec Corporation Technology 10.29B

CA CA Technologies Technology 10.24B

XEL Xcel Energy Inc. Utilities 10.23B

CP Canadian Pacific Railway Limited Services 10.23B

PHI Philippine Long Distance Telephone Co. Technology 10.22B

HIG Hartford Financial Services Group Inc. Financial 10.15B

DG Dollar General Corp. Services 10.11B

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