Pages

Custom Search

Search Mad Money Fund Blog

Share Stock Picks

Tuesday, November 23, 2010

STOCKS I'M WATCHIN TODAY

Ticker Company Analyst Recommendation

Akamai Technologies Inc. (AKAM) -Akamai Technologies Inc is trading near $49 level.I will go long if stock close over $50 area. Stock has nest resistance level is $50-$52 and support level is $45-$46.




Netflix, Inc. (NFLX)-Shares of Netflix, Inc. closed over new 52 weeks high which is very bullish signal.Netflix Inc will now have resistance located at $190. Netflix can be played both long and short which is for active trader. Netflix is a short on a break down through the low of the day.Pullbacks below $160 will probably be a good buy.buy on th dips



Baidu, Inc. (BIDU)- Shares of Baidu, Inc. is rebound today with the market.Baidu Inc has resistance located between $110-$115. Baidu will now have major support around $100 which must hold. Pullbacks below $85 are a buy.Baidu will now have major support around $95-$96 which must hold going forward. I will be buyer Baidu Inc, below $85 if we ever see a major correction, WHICH WE MIGHT AFTER THE n. & s. kOREA WAR .....



Freeport-McMoRan Copper & Gold Inc. (FCX)-FCX is broke key support level $100 on Tuesday.Next support level is $92 area which is to good buying opportunity.Next resistance level $100-$105.Stock is up/down depend on copper price.I took my profit today because I think time pull back from here and looking for next opportunity TO BUY for the long term play .



Transocean Ltd. (RIG)-Stock is trading over $69 now.Stock to need hold $60 evel which is support area.Resistance level is $70.Longer term stock could see $75-$80 stock next 3-4 months stock is is so cheap,.


JHX James Hardie Industries SE 1

MORN Morningstar Inc. 1

KNM Konami Corp. 1

NZT Telecom Corp. of New Zealand Ltd. 1

SMS Sims Metal Management Limited 1

HLF Herbalife Ltd. 1

SIX Six Flags Entertainment Corp. 1

ENL Reed Elsevier NV 1

IX ORIX Corp. 1

BID Sotheby's 1.2

GRA W.R. Grace & Co. 1.3

RYAAY Ryanair Holdings plc 1.3

SOA Solutia Inc. 1.4

HBI Hanesbrands Inc. 1.5

EMS Emergency Medical Services Corp. 1.5

GTI GrafTech International Ltd. 1.5

UGI UGI Corp. 1.5

GDI Gardner Denver Inc. 1.6

CPRT Copart, Inc. 1.6

SNA Snap-on Inc. 1.6

MDR McDermott International Inc. 1.6

CZZ Cosan Ltd. 1.6

RGNC Regency Energy Partners LP 1.6

TECH Techne Corp. 1.6

SIRO Sirona Dental Systems Inc. 1.6

INT World Fuel Services Corp. 1.6

CPX Complete Production Services, Inc. 1.6

KKR Kohlberg Kravis Roberts & Co. 1.6

ALR Alere Inc. 1.6

HTZ Hertz Global Holdings, Inc. 1.6

KMR Kinder Morgan Management LLC 1.7

HGSI Human Genome Sciences Inc. 1.7

ATML Atmel Corporation 1.7

NUAN Nuance Communications, Inc. 1.7

HNP Huaneng Power International Inc. 1.7

ALXN Alexion Pharmaceuticals, Inc. 1.7

UAL United Continental Holdings 1.7

ETE Energy Transfer Equity, L.P. 1.7

AES The AES Corporation 1.7

RPM RPM International Inc. 1.7

SLXP Salix Pharmaceuticals Ltd. 1.7

STE Steris Corp. 1.7

CPWR Compuware Corporation 1.7

BKD Brookdale Senior Living Inc. 1.7

MCRS MICROS Systems, Inc. 1.7

UTHR United Therapeutics Corp. 1.7

CMS CMS Energy Corp. 1.7

OGE OGE Energy Corp. 1.7

ACM AECOM Technology Corporation 1.7

BPOP Popular Inc. 1.7

OIS Oil States International Inc. 1.8

MD MEDNAX, Inc. 1.8

RRD R.R. Donnelley & Sons Company 1.8

WBC WABCO Holdings Inc. 1.8

RGA Reinsurance Group of America Inc. 1.8

SIG Signet Jewelers Limited 1.8

JBL Jabil Circuit Inc. 1.8

SEIC SEI Investments Co. 1.8

FWLT Foster Wheeler AG 1.8

SNPS Synopsys Inc. 1.8

BEAV BE Aerospace Inc. 1.8

LFT Longtop Financial Technologies Limited 1.8

SFSF SuccessFactors, Inc. 1.8

TGI Triumph Group, Inc. 1.8

NICE NICE Systems Ltd. 1.8

PII Polaris Industries, Inc. 1.8

TK Teekay Corporation 1.8

WRC Warnaco Group Inc. 1.8

TPX Tempur Pedic International Inc. 1.8

PKG Packaging Corp. of America 1.8

ABC AmerisourceBergen Corporation 1.8

LIFE Life Technologies Corporation 1.8

DRI Darden Restaurants, Inc. 1.8

NIHD NII Holdings Inc. 1.8

FLS Flowserve Corp. 1.8

WYN Wyndham Worldwide Corporation 1.8

AMG Affiliated Managers Group Inc. 1.8

JBHT JB Hunt Transport Services Inc. 1.8

HK Petrohawk Energy Corporation 1.8

EPB El Paso Pipeline Partners, L.P. 1.8

LINE Linn Energy, LLC 1.8

OZM Och-Ziff Capital Management Group LLC 1.9

DNDN Dendreon Corp. 1.9

WCRX Warner Chilcott plc 1.9

IPG Interpublic Group of Companies, Inc. 1.9

ROVI Rovi Corporation 1.9

BLL Ball Corporation 1.9

AME Ametek Inc. 1.9

IHS IHS Inc. 1.9

GOL GOL Linhas A 1.9

MAN Manpower Inc. 1.9

CCK Crown Holdings Inc. 1.9

KSU Kansas City Southern 1.9

ENR Energizer Holdings Inc. 1.9

ANR Alpha Natural Resources, Inc. 1.9

WLL Whiting Petroleum Corp. 1.9

DNR Denbury Resources Inc. 1.9

CBE Cooper Industries plc 1.9

NFX Newfield Exploration Co. 1.9

MAT Mattel Inc. 1.9

RCL Royal Caribbean Cruises Ltd. 1.9

MDRX Allscripts Healthcare Solutions, Inc. 1.9

IM Ingram Micro Inc. 1.9

AWI Armstrong World Industries, Inc. 1.9

PENN Penn National Gaming Inc. 1.9

SPN Superior Energy Services Inc. 1.9

CPA Copa Holdings SA 1.9

BIN IESI-BFC Ltd. 1.9

WMS WMS Industries Inc. 1.9

BEZ Baldor Electric Co. 1.9

TNB Thomas & Betts Corp. 1.9

COO The Cooper Companies Inc. 1.9

FTNT Fortinet Inc. 1.9

ANV Allied Nevada Gold Corp. 1.9

WCC WESCO International Inc. 1.9

LII Lennox International, Inc. 1.9

SINA Sina Corp. 1.9

MSM MSC Industrial Direct Co. Inc. 1.9

MDU MDU Resources Group Inc. 1.9

CIM Chimera Investment Corporation 1.9

PDCO Patterson Companies Inc. 1.9

STLD Steel Dynamics Inc. 1.9

MSCI MSCI Inc. 1.9

ASH Ashland Inc. 1.9

AWK American Water Works Company, Inc. 1.9

GES Guess? Inc. 1.9

UHS Universal Health Services Inc. 1.9

ACGY Acergy SA 1.9

LSTZA Liberty Starz Group 1.9

HCC HCC Insurance Holdings Inc. 1.9

ARCC Ares Capital Corporation 1.9

ADS Alliance Data Systems Corporation 1.9

RS Reliance Steel & Aluminum Co. 1.9

RAX Rackspace Hosting, Inc 1.9

OC Owens Corning 1.9

CBI Chicago Bridge & Iron Company N.V. 1.9

BEXP Brigham Exploration Co. 1.9

AGO Assured Guaranty Ltd. 1.9

ITC ITC Holdings Corp. 1.9

CYH Community Health Systems, Inc. 1.9

GME GameStop Corp. 1.9

TUP Tupperware Brands Corporation 1.9

PNRA Panera Bread Co. 2

WTR Aqua America Inc. 2

PAY VeriFone Systems, Inc 2

JAH Jarden Corp. 2

AFG American Financial Group Inc. 2

TDG TransDigm Group Incorporated 2

DV DeVry, Inc. 2

DRC Dresser-Rand Group Inc. 2

SPIL Siliconware Precision Industries Co. Ltd. 2

CHTR Charter Communications, Inc. 2

FST Forest Oil Corp. 2

HOLX Hologic Inc. 2

TKR Timken Co. 2

EFX Equifax Inc. 2

IOC InterOil Corporation 2

ONNN ON Semiconductor Corp. 2

RAH Ralcorp Holdings Inc. 2

SMG The Scotts Miracle-Gro Co. 2

FMCN Focus Media Holding Ltd. 2

PWR Quanta Services, Inc. 2

INFA Informatica Corporation 2

CLB Core Laboratories NV 2

ARW Arrow Electronics, Inc. 2

RMBS Rambus Inc. 2

EPR Entertainment Properties Trust 2

WGOV Woodward Governor Co. 2

HMA Health Management Associates Inc. 2

PDS Precision Drilling Corporation 2

JKS JinkoSolar Holding Co., Ltd. 2

BYI Bally Technologies, Inc. 2

KRO Kronos Worldwide Inc. 2

WCN Waste Connections Inc. 2

ADTN ADTRAN Inc. 2

UTIW UTi Worldwide Inc. 2

JW-A John Wiley & Sons Inc. 2

TFSL TFS Financial Corp 2

NGLS Targa Resources Partners LP 2

CVA Covanta Holding Corporation 2

GEF Greif, Inc. 2

CAE CAE Inc. 2

BIO Bio-Rad Laboratories, Inc. 2

CXW Corrections Corporation of America 2

NDSN Nordson Corporation 2

CLF Cliffs Natural Resources Inc. 2

CCH Coca-Cola Hellenic Bottling Company S.A. 2

CIT CIT Group, Inc. 2

BUCY Bucyrus International Inc. 2

QEP QEP Resources, Inc. 2

CTRP Ctrip.com International Ltd. 2

EQT EQT Corporation 2

AVGO Avago Technologies Limited 2

NBG National Bank of Greece SA 2

URBN Urban Outfitters Inc. 2

ELP Companhia Paranaense de Energia 2

DVA DaVita, Inc. 2

TDC Teradata Corporation 2

CEA China Eastern Airlines Corp. Ltd. 2

RDY Dr. Reddy's Laboratories Ltd. 2

LCAPA Liberty Capital Group 2

NTES Netease.com Inc. 2

ACGL Arch Capital Group Ltd. 2

XRAY DENTSPLY International Inc. 2

FOSL Fossil, Inc. 2

SSCC Smurfit-Stone Container Corp. 2

TRW TRW Automotive Holdings Corp. 2

SLM SLM Corporation 2

ASX Advanced Semiconductor Engineering Inc. 2

VRSK Verisk Analytics, Inc. 2

IHG Intercontinental Hotels Group plc 2

CPN Calpine Corp. 2.1

SIRI SIRIUS XM Radio Inc. 2.1

WLT Walter Energy, Inc. 2.1

EMN Eastman Chemical Co. 2.1

QGEN Qiagen NV 2.1

ST Sensata Technologies Holding NV 2.1

SBAC SBA Communications Corp. 2.1

TRMB Trimble Navigation Limited 2.1

OI Owens-Illinois, Inc. 2.1

AVT Avnet Inc. 2.1

CNP CenterPoint Energy, Inc. 2.1

ROP Roper Industries Inc. 2.1

LEA Lear Corp. 2.1

TX Ternium S.A. 2.1

MYL Mylan, Inc. 2.1

HCN Health Care REIT Inc. 2.1

WPI Watson Pharmaceuticals Inc. 2.1

VRSN VeriSign Inc. 2.1

HAS Hasbro Inc. 2.1

ESV Ensco plc 2.1

SJM The J. M. Smucker Company 2.1

NYB New York Community Bancorp Inc. 2.1

DLB Dolby Laboratories Inc. 2.1

MU Micron Technology Inc. 2.1

ILMN Illumina Inc. 2.1

SIAL Sigma-Aldrich Corporation 2.1

BPO Brookfield Properties Corporation 2.1

ICE IntercontinentalExchange, Inc. 2.1

CVC Cablevision Systems Corporation 2.1

LBTYA Liberty Global Inc. 2.1

PXD Pioneer Natural Resources Co. 2.1

LINTA Liberty Media Interactive 2.1

APH Amphenol Corporation 2.1

WRI Weingarten Realty Investors 2.1

LPS Lender Processing Services, Inc. 2.1

BMRN BioMarin Pharmaceutical Inc. 2.1

HRC Hill-Rom Holdings, Inc. 2.1

EWBC East West Bancorp, Inc. 2.1

HME Home Properties Inc. 2.1

CNK Cinemark Holdings Inc. 2.1

REGN Regeneron Pharmaceuticals, Inc. 2.1

ALK Alaska Air Group, Inc. 2.1

RKT Rock-Tenn Co. 2.1

BRY Berry Petroleum Co. 2.1

WES Western Gas Partners Lp 2.1

CDE Coeur d`Alene Mines Corporation 2.1

AINV Apollo Investment Corporation 2.1

VMI Valmont Industries, Inc. 2.1

DAN Dana Holding Corporation 2.1

SXCI SXC Health Solutions, Corp. 2.1

ITRI Itron, Inc. 2.1

TIN Temple-Inland Inc. 2.1

AGP AMERIGROUP Corporation 2.1

RBC Regal Beloit Corporation 2.1

BIG Big Lots Inc. 2.1

EQIX Equinix, Inc. 2.1

NGD New Gold, Inc. 2.1

SLH Solera Holdings Inc. 2.1

PVH Phillips-Van Heusen Corp. 2.1

AVY Avery Dennison Corporation 2.1

KBR KBR, Inc. 2.1

LAZ Lazard Ltd. 2.1

NLC Nalco Holding Co. 2.1

ENDP Endo Pharmaceuticals Holdings Inc. 2.1

GPN Global Payments Inc. 2.1

VR Validus Holdings, Ltd. 2.1

LKQX LKQ Corp. 2.1

ARE Alexandria Real Estate Equities Inc. 2.1

GIL Gildan Activewear Inc. 2.1

HUB-B Hubbell Inc. 2.1

SON Sonoco Products Co. 2.1

UFS Domtar Corporation 2.1

NRGY Inergy, L.P. 2.1

PPDI Pharmaceutical Product Development Inc. 2.1

PLCM Polycom, Inc. 2.1

IEX IDEX Corporation 2.1

IT Gartner Inc. 2.2

ORI Old Republic International Corp. 2.2

SUG Southern Union Co. 2.2

MWE MarkWest Energy Partners LP 2.2

LEN Lennar Corp. 2.2

BWC The Babcock & Wilcox Company 2.2

WBMD WebMD Health Corp. 2.2

AIXG Aixtron AG 2.2

LNT Alliant Energy Corporation 2.2

DKS Dick's Sporting Goods Inc. 2.2

TW Towers Watson & Co. 2.2

PXP Plains Exploration & Production Company 2.2

IFF International Flavors & Fragrances Inc. 2.2

SWKS Skyworks Solutions Inc. 2.2

ANSS Ansys, Inc. 2.2

NAV Navistar International Corp. 2.2

CDNS Cadence Design Systems Inc. 2.2

TEN Tenneco Inc. 2.2

CLS Celestica Inc. 2.2

VSH Vishay Intertechnology Inc. 2.2

MFA MFA Financial, Inc. 2.2

BMR BioMed Realty Trust Inc. 2.2

CSE CapitalSource Inc. 2.2

OHI Omega Healthcare Investors Inc. 2.2

TFX Teleflex Incorporated 2.2

TC Thompson Creek Metals Company Inc. 2.2

PMTC Parametric Technology Corporation 2.2

AWH Allied World Assurance Company Holdings Ltd. 2.2

BRKR Bruker Corporation 2.2

DECK Deckers Outdoor Corp. 2.2

GPRO Gen-Probe Inc. 2.2

ATHR Atheros Communications Inc. 2.2

OCR Omnicare Inc. 2.2

JDSU JDS Uniphase Corporation 2.2

SPR Spirit AeroSystems Holdings Inc 2.2

OSK Oshkosh Corporation 2.2

VMED Virgin Media, Inc. 2.2

COL Rockwell Collins Inc. 2.2

GOLD Randgold Resources Ltd. 2.2

NE Noble Corp. 2.2

EGO Eldorado Gold Corp. 2.2

CCE Coca-Cola Enterprises Inc. 2.2

CNX CONSOL Energy Inc. 2.2

HSP Hospira Inc. 2.2

EP El Paso Corp. 2.2

AUY Yamana Gold, Inc. 2.2

OKS ONEOK Partners, L.P. 2.2

FAST Fastenal Co. 2.2

LNC Lincoln National Corp. 2.2

UPL Ultra Petroleum Corp. 2.2

TIF Tiffany & Co. 2.2

EXPE Expedia Inc. 2.2

CMG Chipotle Mexican Grill, Inc. 2.2

WAT Waters Corp. 2.2

MCHP Microchip Technology Inc. 2.2

IAG IAMGOLD Corp. 2.2

TXT Textron Inc. 2.2

MMP Magellan Midstream Partners LP 2.2

SRCL Stericycle, Inc. 2.2

WEC Wisconsin Energy Corp. 2.2

RRC Range Resources Corporation 2.2

XEC Cimarex Energy Co. 2.2

VRTX Vertex Pharmaceuticals Incorporated 2.2

DLTR Dollar Tree, Inc. 2.2

MTD Mettler-Toledo International, Inc. 2.2

ALB Albemarle Corp. 2.2

CEPH Cephalon Inc. 2.2

NWL Newell Rubbermaid Inc. 2.2

ACI Arch Coal Inc. 2.2

GIB CGI Group, Inc. 2.2

PBCT People's United Financial Inc. 2.2

BTE Baytex Energy Trust 2.2

CE Celanese Corp. 2.2

TSN Tyson Foods Inc. 2.2

HRS Harris Corp. 2.2

CFN CareFusion Corporation 2.2

SCG SCANA Corp. 2.2

ERTS Electronic Arts Inc. 2.2

HMY Harmony Gold Mining Co. Ltd. 2.3

FLEX Flextronics International Ltd. 2.3

AAP Advance Auto Parts Inc. 2.3

WHR Whirlpool Corp. 2.3

WSH Willis Group Holdings Public Limited Company 2.3

DLR Digital Realty Trust Inc. 2.3

RVBD Riverbed Technology, Inc. 2.3

PETM PetSmart, Inc. 2.3

BTM Brasil Telecom S.A. 2.3

IRM Iron Mountain Inc. 2.3

HP Helmerich & Payne Inc. 2.3

RMD ResMed Inc. 2.3

MEE Massey Energy Co. 2.3

BX The Blackstone Group 2.3

SDRL SeaDrill Limited 2.3

LZ Lubrizol Corporation 2.3

FDO Family Dollar Stores Inc. 2.3

NBR Nabors Industries Ltd. 2.3

XL XL Group plc 2.3

ALV Autoliv, Inc. 2.3

CERN Cerner Corp. 2.3

ADSK Autodesk, Inc. 2.3

HOG Harley-Davidson, Inc. 2.3

TSU TIM Participacoes S.A. 2.3

DISH Dish Network Corp. 2.3

CXO Concho Resources, Inc. 2.3

JOYG Joy Global, Inc. 2.3

VAR Varian Medical Systems Inc. 2.3

BMC BMC Software Inc. 2.3

ORLY O'Reilly Automotive Inc. 2.3

UGP Ultrapar Holdings Inc. 2.3

LH Laboratory Corp. of America Holdings 2.3

PAA Plains All American Pipeline LP 2.3

CF CF Industries Holdings, Inc. 2.3

FISV Fiserv, Inc. 2.3

ETP Energy Transfer Partners L.P. 2.3

CAG ConAgra Foods, Inc. 2.3

JWN Nordstrom Inc. 2.3

VFC V.F. Corporation 2.3

CLR Continental Resources Inc. 2.3

HNT Health Net Inc. 2.3

SLGN Silgan Holdings Inc. 2.3

RES RPC Inc. 2.3

WTM White Mountains Insurance Group, Ltd. 2.3

AMR AMR Corporation 2.3

KMT Kennametal Inc. 2.3

LECO Lincoln Electric Holdings Inc. 2.3

FNFG First Niagara Financial Group Inc. 2.3

TECD Tech Data Corp. 2.3

CLC CLARCOR Inc. 2.3

RGC Regal Entertainment Group 2.3

ESLT Elbit Systems Ltd. 2.3

THC Tenet Healthcare Corp. 2.3

ARUN Aruba Networks, Inc. 2.3

NNN National Retail Properties, Inc. 2.3

OAS Oasis Petroleum Inc. 2.3

FRO Frontline Ltd. 2.3

CCU Compania Cervecerias Unidas S.A. 2.3

OII Oceaneering International, Inc. 2.3

COG Cabot Oil & Gas Corporation 2.3

RJF Raymond James Financial Inc. 2.3

ESS Essex Property Trust Inc. 2.3

CIE Cobalt International Energy, Inc. 2.3

SVM Silvercorp Metals Inc. 2.3

AXS Axis Capital Holdings Ltd. 2.3

NDAQ Nasdaq OMX Group Inc. 2.3

MWV MeadWestvaco Corporation 2.3

RYN Rayonier Inc. 2.3

ANF Abercrombie & Fitch Co. 2.3

TAM TAM S.A. 2.3

PAAS Pan American Silver Corp. 2.3

GMCR Green Mountain Coffee Roasters Inc. 2.3

RHI Robert Half International Inc. 2.3

PGH Pengrowth Energy Trust 2.3

BMS Bemis Company, Inc. 2.3

GNTX Gentex Corp. 2.3

FL Foot Locker, Inc. 2.3

CVD Covance Inc. 2.3

TSCO Tractor Supply Company 2.3

LEG Leggett & Platt, Incorporated 2.3

DRQ Dril-Quip, Inc. 2.3

GCI Gannett Co., Inc. 2.4

DPL DPL Inc. 2.4

MR Mindray Medical International Limited 2.4

TSLA Tesla Motors, Inc. 2.4

AGL AGL Resources Inc. 2.4

SFD Smithfield Foods Inc. 2.4

VAL The Valspar Corporation 2.4

NVE NV Energy, Inc. 2.4

RDC Rowan Companies Inc. 2.4

HRB H&R Block, Inc. 2.4

DCI Donaldson Company, Inc. 2.4

PCS MetroPCS Communications, Inc. 2.4

FLIR FLIR Systems, Inc. 2.4

AGCO AGCO Corporation 2.4

ATLS Atlas Energy, Inc. 2.4

CVH Coventry Health Care Inc. 2.4

GDOT Green Dot Corporation 2.4

AYI Acuity Brands, Inc. 2.4

ALTE Alterra Capital Holdings Limited 2.4

ACC American Campus Communities Inc. 2.4

BOH Bank of Hawaii Corporation 2.4

CHS Chico's FAS Inc. 2.4

RFMD RF Micro Devices Inc. 2.4

SBH Sally Beauty Holdings Inc. 2.4

ATK Alliant Techsystems Inc. 2.4

ARO Aeropostale, Inc. 2.4

FLO Flowers Foods, Inc. 2.4

TDW Tidewater Inc. 2.4

TEX Terex Corp. 2.4

PKI PerkinElmer Inc. 2.4

BRCD Brocade Communications Systems, Inc. 2.4

MWW Monster Worldwide, Inc. 2.4

CY Cypress Semiconductor Corporation 2.4

GWW W.W. Grainger, Inc. 2.4

TAP Molson Coors Brewing Company 2.4

HUM Humana Inc. 2.4

SNDK SanDisk Corp. 2.4

FFIV F5 Networks, Inc. 2.4

ZMH Zimmer Holdings, Inc. 2.4

RHT Red Hat, Inc. 2.4

FIS Fidelity National Information Services, Inc. 2.4

ITT ITT Corporation 2.4

DPS Dr Pepper Snapple Group, Inc. 2.4

PLD ProLogis 2.4

MXIM Maxim Integrated Products Inc. 2.4

UNM Unum Group 2.4

BWA BorgWarner Inc. 2.4

HANS Hansen Natural Corporation 2.4

FRT Federal Realty Investment Trust 2.4

TMK Torchmark Corp. 2.4

IGT International Game Technology 2.4

NRG NRG Energy, Inc. 2.4

CHD Church & Dwight Co. Inc. 2.4

PDE Pride International Inc. 2.4

MKC McCormick & Co. Inc. 2.4

MAC Macerich Co. 2.4

PLL Pall Corp. 2.4

DOX Amdocs Ltd. 2.4

HSIC Henry Schein Inc. 2.4

NFG National Fuel Gas Co. 2.5

ERJ EMBRAER - Empresa Brasileira de Aeron 2.5

NU Northeast Utilities 2.5

APOL Apollo Group Inc. 2.5

CBG CB Richard Ellis Group, Inc. 2.5

SAI SAIC, Inc. 2.5

FMC FMC Corp. 2.5

CCO Clear Channel Outdoor Holdings Inc. 2.5

AWC Alumina Ltd. 2.5

JEC Jacobs Engineering Group Inc. 2.5

ATI Allegheny Technologies Inc. 2.5

THI Tim Hortons Inc. 2.5

X United States Steel Corp. 2.5

STX Seagate Technology PLC 2.5

WIN Windstream Corporation 2.5

CREE Cree Inc. 2.5

WDC Western Digital Corp. 2.5

GPC Genuine Parts Company 2.5

NYX NYSE Euronext, Inc. 2.5

H Hyatt Hotels Corporation 2.5

KMX CarMax Inc. 2.5

DEG Delhaize Group 2.5

NVDA NVIDIA Corporation 2.5

BCR CR Bard Inc. 2.5

FTI FMC Technologies, Inc. 2.5

ISRG Intuitive Surgical, Inc. 2.5

FRX Forest Laboratories Inc. 2.5

WY Weyerhaeuser Co. 2.5

DWA DreamWorks Animation SKG Inc. 2.5

IACI IAC/InterActiveCorp. 2.5

HPT Hospitality Properties Trust 2.5

CLI Mack-Cali Realty Corp. 2.5

OTEX Open Text Corp. 2.5

FCE-A Forest City Enterprises Inc. 2.5

KEX Kirby Corporation 2.5

BJ BJ's Wholesale Club Inc. 2.5

GT Goodyear Tire & Rubber Co. 2.5

LNCR Lincare Holdings Inc. 2.5

DEI Douglas Emmett Inc 2.5

THG The Hanover Insurance Group Inc. 2.5

DDS Dillard's Inc. 2.5

MBI MBIA Inc. 2.5

FHN First Horizon National Corp. 2.5

JCG J. Crew Group, Inc. 2.5

NCR NCR Corp. 2.5

FIG Fortress Investment Group LLC 2.5

GHL Greenhill & Co., Inc. 2.5

WAB Westinghouse Air Brake Technologies Corporation 2.5

MHK Mohawk Industries Inc. 2.5

CTCM CTC Media, Inc 2.5

DLM Del Monte Foods Co. 2.5

NVR NVR Inc. 2.5

CPT Camden Property Trust 2.5

LSI LSI Corporation 2.5

STZ Constellation Brands Inc. 2.5

WRB W.R. Berkley Corporation 2.5

HBAN Huntington Bancshares Inc. 2.5

SPW SPX Corporation 2.5

DDR Developers Diversified Realty Corp. 2.5

TIE Titanium Metals Corporation 2.5

RNR RenaissanceRe Holdings Ltd. 2.5

URS URS Corporation 2.5

DHI DR Horton Inc. 2.5

CPO Corn Products International Inc. 2.5

STR Questar Corporation 2.5

PTEN Patterson-UTI Energy Inc. 2.5

ATR AptarGroup, Inc. 2.5

WR Westar Energy, Inc. 2.6

HAR Harman International Industries Inc. 2.6

TOL Toll Brothers Inc. 2.6

KCI Kinetic Concepts Inc. 2.6



For the latest updates on the stock market, visit,

http://www.madmoneyfund.blogspot.com/
 
HAUP 2.93 33.18% 3924519 Top Gainers


APRI 3.35 24.07% 7614304 Top Gainers

REGN 29.53 19.70% 5255714 Top Gainers

AFFY 6.64 18.57% 2643524 Top Gainers

GMCR 35.78 18.24% 19018514 Top Gainers

MGIC 5.93 17.89% 2024687 Top Gainers

MNTX 3.60 16.13% 156421 New High

MGIC 5.93 17.89% 2024687 New High

ALRN 1.85 10.12% 20139 New High

FTK 3.69 12.84% 3212140 New High

BSQR 6.04 6.15% 312172 Overbought

HBE 8.40 -0.47% 28059 Overbought

USB 24.65 -0.40% 9819607 Unusual Volume

PKN 20.26 -0.73% 354518 Unusual Volume

NOVL 5.96 6.62% 182194720 Unusual Volume

MTEX 1.77 2.91% 2343339 Unusual Volume

CIEN 15.32 4.72% 6075391 Upgrades

AUTC 24.90 0.00% 236742 Earnings Before

CYAN 3.66 8.28% 103507 Insider Buying

No comments: