analysis and trading EDUCATION

Up to the stars! Some recent LONG settings:

AT&T INC analysis and forecast

This analysis looks at AT&T INC. To rate this asset, we have subjected this asses to an intensive analysis process. The result at the end classifies the asset as “buy”, “hold” or “sell”.

AT&T INC

The graph shows the monthly and weekly charts of AT&T INC stock price, a listed company on the US stockmarket and part of the Telecommunications Services sector. AT&T Inc. is a holding company that provides communications and digital entertainment services in the United States and the world. The Company operates through four segments: Business Solutions, Entertainment Group, Consumer Mobility and International. The Company offers its services and products to consumers in the United States, Mexico and Latin America and to businesses and other providers of telecommunications services worldwide. It also owns and operates three regional TV sports networks, and retains non-controlling interests in another regional sports network and a network dedicated to game-related programming, as well as Internet interactive game playing. Its services and products include wireless communications, data/broadband and Internet services, digital video services, local and long-distance telephone services, telecommunications equipment, managed networking, and wholesale services. Its subsidiaries include AT&T Mobility and SKY Brasil Servicos Ltda.
Today, the market capitalization of this company is $280.443 billon and average traded stock volume was 40.084 million in last ten days according to Tradingview.

1. Price to Volume Index:

A strong signal of our analysis is the price-to-volume index. This indicator puts the current price movements and the trading volume of the asset in relation to each other. A rising or positive value indicates a positive potential for the price development, a falling or negative value predicts a negative price development with high probability. The price-to-volume index for AT&T INC at the current level (see chart) leads to our classification as LONG.

2. Social Sentiment:

The discussions about value on social platforms such as Google, Facebook, Twitter and YouTube are a good sign of mood among investors. A sentiment arises when the mass of market participants in social media increasingly associate the asset with positive or negative expectations. In summary, we see AT&T INC based on recommendations from analysts and investor sentiment as Buy appropriately assessed.

3. Overall assessment:

In summary the above factors results a positive analysta.net forecast for the price development of AT&T INC.

The price trend for the next week is LONG and the strength seems to be STRONG. Is there currently a signal for entry? NO.

AT&T INC, Google, Facebook, Twitter and YouTube are probably trademarks of it’s specific owner.

SEAGATE TECHNOLOGY PLC analysis and forecast

This analysis looks at SEAGATE TECHNOLOGY PLC. To rate this asset, we have subjected this asses to an intensive analysis process. The result at the end classifies the asset as “buy”, “hold” or “sell”.

SEAGATE TECHNOLOGY PLC

The graph shows the monthly and weekly charts of SEAGATE TECHNOLOGY PLC stock price, a listed company on the US stockmarket and part of the Technology sector. Seagate Technology public limited company is a provider of electronic data storage technology and solutions. The Company’s principal products are hard disk drives (HDDs). In addition to HDDs, it produces a range of electronic data storage products, including solid state hybrid drives, solid state drives, peripheral component interconnect express (PCIe) cards and serial advanced technology architecture (SATA) controllers. Its storage technology portfolio also includes storage subsystems and high performance computing solutions. Its products are designed for applications in enterprise servers and storage systems, client compute applications and client non-compute applications. It designs, fabricates and assembles various components found in its disk drives, including read/write heads and recording media. Its design and manufacturing operations are based on technology platforms that are used to produce various disk drive products that serve multiple data storage applications and markets.
Today, the market capitalization of this company is $14.832 billon and average traded stock volume was 3.32 million in last ten days according to Tradingview.

1. Price to Volume Index:

A strong signal of our analysis is the price-to-volume index. This indicator puts the current price movements and the trading volume of the asset in relation to each other. A rising or positive value indicates a positive potential for the price development, a falling or negative value predicts a negative price development with high probability. The price-to-volume index for SEAGATE TECHNOLOGY PLC at the current level (see chart) leads to our classification as LONG.

2. Social Sentiment:

The discussions about value on social platforms such as Google, Facebook, Twitter and YouTube are a good sign of mood among investors. A sentiment arises when the mass of market participants in social media increasingly associate the asset with positive or negative expectations. In summary, we see SEAGATE TECHNOLOGY PLC based on recommendations from analysts and investor sentiment as Buy appropriately assessed.

3. Overall assessment:

In summary the above factors results a positive analysta.net forecast for the price development of SEAGATE TECHNOLOGY PLC.
The price trend for the next week is LONG and the strength seems to be STRONG. Is there currently a signal for entry? NO.
SEAGATE TECHNOLOGY PLC, Google, Facebook, Twitter and YouTube are probably trademarks of it’s specific owner.

CVS HEALTH CORPORATION analysis and forecast

This analysis looks at CVS HEALTH CORPORATION. To rate this asset, we have subjected this asses to an intensive analysis process. The result at the end classifies the asset as “buy”, “hold” or “sell”.

CVS HEALTH CORPORATION

The graph shows the monthly and weekly charts of CVS HEALTH CORPORATION stock price, a listed company on the US stockmarket and part of the Healthcare sector. CVS Health Corporation, together with its subsidiaries, is an integrated pharmacy healthcare company. The Company provides pharmacy care for the senior community through Omnicare, Inc. (Omnicare) and Omnicare’s long-term care (LTC) operations, which include distribution of pharmaceuticals, related pharmacy consulting and other ancillary services to chronic care facilities and other care settings. It operates through three segments: Pharmacy Services, Retail/LTC and Corporate. The Pharmacy Services Segment provides a range of pharmacy benefit management (PBM) solutions to its clients. As of December 31, 2016, the Retail/LTC Segment included 9,709 retail locations (of which 7,980 were its stores that operated a pharmacy and 1,674 were its pharmacies located within Target Corporation (Target) stores), its online retail pharmacy Websites, CVS.com, Navarro.com and Onofre.com.br, 38 onsite pharmacy stores, its long-term care pharmacy operations and its retail healthcare clinics.
Today, the market capitalization of this company is $83.31 billon and average traded stock volume was 7.36 million in last ten days according to Tradingview.

1. Price to Volume Index:

A strong signal of our analysis is the price-to-volume index. This indicator puts the current price movements and the trading volume of the asset in relation to each other. A rising or positive value indicates a positive potential for the price development, a falling or negative value predicts a negative price development with high probability. The price-to-volume index for CVS HEALTH CORPORATION at the current level (see chart) leads to our classification as LONG.

2. Social Sentiment:

The discussions about value on social platforms such as Google, Facebook, Twitter and YouTube are a good sign of mood among investors. A sentiment arises when the mass of market participants in social media increasingly associate the asset with positive or negative expectations. In summary, we see CVS HEALTH CORPORATION based on recommendations from analysts and investor sentiment as Buy appropriately assessed.

3. Overall assessment:

In summary the above factors results a positive analysta.net forecast for the price development of CVS HEALTH CORPORATION.
The price trend for the next week is LONG and the strength seems to be STRONG. Is there currently a signal for entry? NO.
CVS HEALTH CORPORATION, Google, Facebook, Twitter and YouTube are probably trademarks of it’s specific owner.

DOLLAR TREE INC analysis and forecast

This analysis looks at DOLLAR TREE INC. To rate this asset, we have subjected this asses to an intensive analysis process. The result at the end classifies the asset as “buy”, “hold” or “sell”.

DOLLAR TREE INC

The graph shows the monthly and weekly charts of DOLLAR TREE INC stock price, a listed company on the US stockmarket and part of the Consumer Cyclicals sector. Dollar Tree, Inc. is an operator of discount variety stores. As of January 28, 2017, the Company operated 14,334 stores in 48 states and the District of Columbia, and five Canadian provinces. Its segments include Dollar Tree and Family Dollar. The Dollar Tree segment is the operator of discount variety stores offering merchandise at a fixed price. The Family Dollar segment operates a chain of general merchandise retail discount stores providing consumers with a selection of merchandise in neighborhood stores. Its stores operate under the names of Dollar Tree, Family Dollar and Dollar Tree Canada. As of January 28, 2017, the Dollar Tree segment included 6,360 stores operating under the Dollar Tree and Dollar Tree Canada brands, 11 distribution centers in the United States and two in Canada and a Store Support Center in Chesapeake, Virginia, and 11 distribution centers and a Store Support Center in Matthews, North Carolina under the Family Dollar brand.
Today, the market capitalization of this company is $26.488 billon and average traded stock volume was 2.907 million in last ten days according to Tradingview.

1. Price to Volume Index:

A strong signal of our analysis is the price-to-volume index. This indicator puts the current price movements and the trading volume of the asset in relation to each other. A rising or positive value indicates a positive potential for the price development, a falling or negative value predicts a negative price development with high probability. The price-to-volume index for DOLLAR TREE INC at the current level (see chart) leads to our classification as LONG.

2. Social Sentiment:

The discussions about value on social platforms such as Google, Facebook, Twitter and YouTube are a good sign of mood among investors. A sentiment arises when the mass of market participants in social media increasingly associate the asset with positive or negative expectations. In summary, we see DOLLAR TREE INC based on recommendations from analysts and investor sentiment as Buy appropriately assessed.

3. Overall assessment:

In summary the above factors results a positive analysta.net forecast for the price development of DOLLAR TREE INC.
The price trend for the next week is LONG and the strength seems to be STRONG. Is there currently a signal for entry? NO.
DOLLAR TREE INC, Google, Facebook, Twitter and YouTube are probably trademarks of it’s specific owner.

ACTIVISION BLIZZARD INC analysis and forecast

This analysis looks at ACTIVISION BLIZZARD INC . To rate this asset, we have subjected this asses to an intensive analysis process. The result at the end classifies the asset as “buy”, “hold” or “sell”.

	ACTIVISION BLIZZARD INC

The graph shows the monthly and weekly charts of ACTIVISION BLIZZARD INC stock price, a listed company on the US stockmarket and part of the Technology sector. Activision Blizzard, Inc. is a developer and publisher of interactive entertainment content and services. The Company develops and distributes content and services across various gaming platforms, including video game consoles, personal computers (PC) and mobile devices. Its segments include Activision Publishing, Inc. (Activision), Blizzard Entertainment, Inc. (Blizzard), King Digital Entertainment (King) and Other. Activision is a developer and publisher of interactive software products and content. Blizzard is engaged in developing and publishing of interactive software products and entertainment content, particularly in PC gaming. King is a mobile entertainment company. It is engaged in other businesses, including The Major League Gaming (MLG) business; The Activision Blizzard Studios (Studios) business, and The Activision Blizzard Distribution (Distribution) business. It also develops products spanning other genres, including action/adventure, role-playing and simulation.
Today, the market capitalization of this company is $ 42.915 billon and average traded stock volume was 8.554 million in last ten days according to Tradingview.

1. Price to Volume Index:

A strong signal of our analysis is the price-to-volume index. This indicator puts the current price movements and the trading volume of the asset in relation to each other. A rising or positive value indicates a positive potential for the price development, a falling or negative value predicts a negative price development with high probability. The price-to-volume index for ACTIVISION BLIZZARD INC at the current level (see chart) leads to our classification as LONG .

2. Social Sentiment:

The discussions about value on social platforms such as Google, Facebook, Twitter and YouTube are a good sign of mood among investors. A sentiment arises when the mass of market participants in social media increasingly associate the asset with positive or negative expectations. In summary, we see ACTIVISION BLIZZARD INC based on recommendations from analysts and investor sentiment as Buy appropriately assessed.

3. Overall assessment:

In summary the above factors results a positive analysta.net forecast for the price development of ACTIVISION BLIZZARD INC .
The price trend for the next week is LONG and the strength seems to be STRONG . Is there currently a signal for entry? NO .
ACTIVISION BLIZZARD INC , Google, Facebook, Twitter and YouTube are probably trademarks of it’s specific owner.

FANNIE MAE analysis and forecast

This analysis looks at FANNIE MAE. To rate this asset, we have subjected this asses to an intensive analysis process. The result at the end classifies the asset as “buy”, “hold” or “sell”.

FANNIE MAE

The graph shows the monthly and weekly charts of FANNIE MAE stock price, a listed company on the US stockmarket and part of the Financials sector. The Company serves as a source of liquidity for purchases of homes and financing of multifamily rental housing, as well as for refinancing existing mortgages. It operates through two segments: Single-Family and Multifamily. Its Single-Family and Multifamily segments engage in business activities that provide liquidity to the mortgage market and manage the availability and affordability of housing in the United States. The Single-Family segment operates in the secondary mortgage market relating to loans secured by properties containing four or fewer residential dwelling units. The Multifamily segment operates in the secondary mortgage market relating primarily to loans secured by properties containing five or more residential units. The Company funds its business primarily through the issuance of short-term and long-term debt securities in the domestic and international capital markets.

Today, the market capitalization of this company is $4.134 billon and average traded stock volume was 18.891 million in last ten days according to Tradingview.

1. Price to Volume Index:

A strong signal of our analysis is the price-to-volume index. This indicator puts the current price movements and the trading volume of the asset in relation to each other. A rising or positive value indicates a positive potential for the price development, a falling or negative value predicts a negative price development with high probability. The price-to-volume index for FANNIE MAE at the current level (see chart) leads to our classification as LONG.

2. Social Sentiment:

The discussions about value on social platforms such as Google, Facebook, Twitter and YouTube are a good sign of mood among investors. A sentiment arises when the mass of market participants in social media increasingly associate the asset with positive or negative expectations. In summary, we see FANNIE MAE based on recommendations from analysts and investor sentiment as Buy appropriately assessed.

3. Overall assessment:

In summary the above factors results a positive analysta.net forecast for the price development of FANNIE MAE.

The price trend for the next week is LONG and the strength seems to be STRONG. Is there currently a signal for entry? NO.

FANNIE MAE, Google, Facebook, Twitter and YouTube are probably trademarks of it’s specific owner.

PULTE GROUP INC analysis and forecast

This analysis looks at PULTE GROUP INC. To rate this asset, we have subjected this asses to an intensive analysis process. The result at the end classifies the asset as “buy”, “hold” or “sell”.

PULTE GROUP INC

The graph shows the monthly and weekly charts of PULTE GROUP INC stock price, a listed company on the US stockmarket and part of the Consumer Cyclicals sector. PulteGroup, Inc. is a homebuilder in the United States. The Company’s segments include Homebuilding and Financial Services. Its Homebuilding operations are engaged in the acquisition and development of land primarily for residential purposes within the United States and the construction of housing on such land. Its Financial Services operations consist principally of mortgage banking and title operations. The Company conducts its financial services business, through Pulte Mortgage LLC (Pulte Mortgage) and other subsidiaries. Pulte Mortgage arranges financing through the origination of mortgage loans. The Company’s subsidiaries are engaged in the homebuilding business. It offers a product line to meet the needs of homebuyers in its focused markets. Through its brands, which include Centex, Pulte Homes, Del Webb, DiVosta Homes, and John Wieland Homes and Neighborhoods, the Company offers a range of home designs, including single-family detached, townhouses, condominiums and duplexes.
Today, the market capitalization of this company is $9.666 billon and average traded stock volume was 3.13 million in last ten days according to Tradingview.

1. Price to Volume Index:

A strong signal of our analysis is the price-to-volume index. This indicator puts the current price movements and the trading volume of the asset in relation to each other. A rising or positive value indicates a positive potential for the price development, a falling or negative value predicts a negative price development with high probability. The price-to-volume index for PULTE GROUP INC at the current level (see chart) leads to our classification as LONG.

2. Social Sentiment:

The discussions about value on social platforms such as Google, Facebook, Twitter and YouTube are a good sign of mood among investors. A sentiment arises when the mass of market participants in social media increasingly associate the asset with positive or negative expectations. In summary, we see PULTE GROUP INC based on recommendations from analysts and investor sentiment as Buy appropriately assessed.

3. Overall assessment:

In summary the above factors results a positive analysta.net forecast for the price development of PULTE GROUP INC.
The price trend for the next week is LONG and the strength seems to be STRONG. Is there currently a signal for entry? NO.
PULTE GROUP INC, Google, Facebook, Twitter and YouTube are probably trademarks of it’s specific owner.

THE WESTERN UNION COMPANY analysis and forecast

This analysis looks at THE WESTERN UNION COMPANY. To rate this asset, we have subjected this asses to an intensive analysis process. The result at the end classifies the asset as “buy”, “hold” or “sell”.

THE WESTERN UNION COMPANY

The graph shows the monthly and weekly charts of THE WESTERN UNION COMPANY stock price, a listed company on the US stockmarket and part of the Industrials sector. The Western Union Company (Western Union) is a provider of money movement and payment services. The Company operates through two segments: Consumer-to-Consumer and Business Solutions. The Company’s Consumer-to-Consumer segment facilitates money transfers between two consumers, primarily through a network of third-party agents. The Company’s multi-currency, real-time money transfer services are viewed by the Company as one interconnected network where a money transfer can be sent from one location to another, around the world. Western Union’s Business Solutions segment facilitates payment and foreign exchange solutions, primarily cross-border, cross-currency transactions, for small and medium size enterprises and individuals. Business Solutions payment transactions are conducted through various channels, including the phone and via the Internet.
Today, the market capitalization of this company is $9.902 billon and average traded stock volume was 5.674 million in last ten days according to Tradingview.

1. Price to Volume Index:

A strong signal of our analysis is the price-to-volume index. This indicator puts the current price movements and the trading volume of the asset in relation to each other. A rising or positive value indicates a positive potential for the price development, a falling or negative value predicts a negative price development with high probability. The price-to-volume index for THE WESTERN UNION COMPANY at the current level (see chart) leads to our classification as LONG.

2. Social Sentiment:

The discussions about value on social platforms such as Google, Facebook, Twitter and YouTube are a good sign of mood among investors. A sentiment arises when the mass of market participants in social media increasingly associate the asset with positive or negative expectations. In summary, we see THE WESTERN UNION COMPANY based on recommendations from analysts and investor sentiment as Buy appropriately assessed.

3. Overall assessment:

In summary the above factors results a positive analysta.net forecast for the price development of THE WESTERN UNION COMPANY.
The price trend for the next week is LONG and the strength seems to be STRONG. Is there currently a signal for entry? NO.
THE WESTERN UNION COMPANY, Google, Facebook, Twitter and YouTube are probably trademarks of it’s specific owner.

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Down to earth! Some recent SHORT settings:

PROGRESSIVE CORP analysis and forecast

This analysis looks at PROGRESSIVE CORP. To rate this asset, we have subjected this asses to an intensive analysis process. The result at the end classifies the asset as “buy”, “hold” or “sell”.

PROGRESSIVE CORP

The graph shows the monthly and weekly charts of PROGRESSIVE CORP stock price, a listed company on the US stockmarket and part of the Financials sector. The Progressive Corporation is an insurance holding company. The Company’s insurance subsidiaries and affiliates provide personal and commercial automobile and property insurance, other specialty property-casualty insurance and related services. The Company operates through the Personal Lines, Commercial Lines and Property segments. The Company’s Personal Lines segment writes insurance for personal autos, and recreational and other vehicles. The Commercial Lines business writes primary liability, physical damage and other auto-related insurance for automobiles and trucks owned and/or operated predominately by small businesses as a part of the commercial auto market. ASI is a homeowner carrier in the United States, which specializes in personal and commercial property insurance, personal umbrella insurance, and primary and excess flood insurance. The Company’s service business includes Commercial Auto Insurance Procedures/Plans (CAIP) and Commission-based businesses.
Today, the market capitalization of this company is $42.492 billon and average traded stock volume was 3.359 million in last ten days according to Tradingview.

1. Price to Volume Index:

A strong signal of our analysis is the price-to-volume index. This indicator puts the current price movements and the trading volume of the asset in relation to each other. A rising or positive value indicates a positive potential for the price development, a falling or negative value predicts a negative price development with high probability. The price-to-volume index for PROGRESSIVE CORP at the current level (see chart) leads to our classification as SHORT.

2. Social Sentiment:

The discussions about value on social platforms such as Google, Facebook, Twitter and YouTube are a good sign of mood among investors. A sentiment arises when the mass of market participants in social media increasingly associate the asset with positive or negative expectations. In summary, we see PROGRESSIVE CORP based on recommendations from analysts and investor sentiment as SELL appropriately assessed.

3. Overall assessment:

In summary the above factors results a negative analysta.net forecast for the price development of PROGRESSIVE CORP.
The price trend for the next week is SHORT and the strength seems to be STRONG. Is there currently a signal for entry? NO.
PROGRESSIVE CORP, Google, Facebook, Twitter and YouTube are probably trademarks of it’s specific owner.

ASTRAZENECA analysis and forecast

This analysis looks at ASTRAZENECA. To rate this asset, we have subjected this asses to an intensive analysis process. The result at the end classifies the asset as “buy”, “hold” or “sell”.

ASTRAZENECA

The graph shows the monthly and weekly charts of ASTRAZENECA stock price, a listed company on the US stockmarket and part of the Healthcare sector. AstraZeneca PLC (AstraZeneca) is a biopharmaceutical company. The Company focuses on discovery and development of products, which are then manufactured, marketed and sold. The Company focuses on three main therapy areas: Oncology, Cardiovascular & Metabolic Disease (CVMD) and Respiratory, while selectively pursuing therapies in Autoimmunity, Infection and Neuroscience. In CVMD, it is expanding its portfolio into the cardiovascular-renal area with late-stage assets, such as ZS-9 and roxadustat, as well as investing to explore the benefits of its SGLT2 and GLP-1 franchises in chronic kidney disease (CKD) and heart failure (HF). The Company has approximately 40 projects in Phase I, including 29 new molecular entities (NMEs), and 11 oncology combination projects. It has approximately 40 projects in Phase II, including 25 NMEs; four significant additional indications for projects that have reached phase II, and seven oncology combination projects.
Today, the market capitalization of this company is $111.063 billon and average traded stock volume was 3.511 million in last ten days according to Tradingview.

1. Price to Volume Index:

A strong signal of our analysis is the price-to-volume index. This indicator puts the current price movements and the trading volume of the asset in relation to each other. A rising or positive value indicates a positive potential for the price development, a falling or negative value predicts a negative price development with high probability. The price-to-volume index for ASTRAZENECA at the current level (see chart) leads to our classification as REVERSAL SHORT.

2. Social Sentiment:

The discussions about value on social platforms such as Google, Facebook, Twitter and YouTube are a good sign of mood among investors. A sentiment arises when the mass of market participants in social media increasingly associate the asset with positive or negative expectations. In summary, we see ASTRAZENECA based on recommendations from analysts and investor sentiment as SELL appropriately assessed.

3. Overall assessment:

In summary the above factors results a negative analysta.net forecast for the price development of ASTRAZENECA.
The price trend for the next week is SHORT and the strength seems to be STRONG. Is there currently a signal for entry? NO.
ASTRAZENECA, Google, Facebook, Twitter and YouTube are probably trademarks of it’s specific owner.

BOOZ ALLEN HAMILTON HLDG CORP analysis and forecast

This analysis looks at BOOZ ALLEN HAMILTON HLDG CORP. To rate this asset, we have subjected this asses to an intensive analysis process. The result at the end classifies the asset as “buy”, “hold” or “sell”.

BOOZ ALLEN HAMILTON HLDG CORP

The graph shows the monthly and weekly charts of BOOZ ALLEN HAMILTON HLDG CORP stock price, a listed company on the US stockmarket and part of the Technology sector. Booz Allen Hamilton Holding Corp is a holding company. It provides management and technology consulting, analytics, digital solutions, engineering, mission operations, and cyber solutions. Its consulting service offering focuses on the talent needed to solve client problems and develop mission-oriented solutions for specific domains, business strategies, human capital, and operations through new approaches. Its analytics service offering focuses on providing solutions in the areas of decision analytics, including operations research; automation, and data science, including predictive modeling and machine learning. Its digital solutions offers digital strategy and experience, software development, Cloud and data platforms. Its focused areas in engineering include assured positioning, navigation and timing (PNT); unmanned systems. Its cybersecurity solutions include automated compliance, attack surface reduction, defensive cyber operations, incident response and weapon systems security.
Today, the market capitalization of this company is $9.742 billon and average traded stock volume was 1.25 million in last ten days according to Tradingview.

1. Price to Volume Index:

A strong signal of our analysis is the price-to-volume index. This indicator puts the current price movements and the trading volume of the asset in relation to each other. A rising or positive value indicates a positive potential for the price development, a falling or negative value predicts a negative price development with high probability. The price-to-volume index for BOOZ ALLEN HAMILTON HLDG CORP at the current level (see chart) leads to our classification as REVERSAL SHORT.

2. Social Sentiment:

The discussions about value on social platforms such as Google, Facebook, Twitter and YouTube are a good sign of mood among investors. A sentiment arises when the mass of market participants in social media increasingly associate the asset with positive or negative expectations. In summary, we see BOOZ ALLEN HAMILTON HLDG CORP based on recommendations from analysts and investor sentiment as SELL appropriately assessed.

3. Overall assessment:

In summary the above factors results a negative analysta.net forecast for the price development of BOOZ ALLEN HAMILTON HLDG CORP.
The price trend for the next week is SHORT and the strength seems to be STRONG. Is there currently a signal for entry? NO.
BOOZ ALLEN HAMILTON HLDG CORP, Google, Facebook, Twitter and YouTube are probably trademarks of it’s specific owner.

COSTCO WHOLESALE CORP analysis and forecast

This analysis looks at COSTCO WHOLESALE CORP. To rate this asset, we have subjected this asses to an intensive analysis process. The result at the end classifies the asset as “buy”, “hold” or “sell”.

COSTCO WHOLESALE CORP

The graph shows the monthly and weekly charts of COSTCO WHOLESALE CORP stock price, a listed company on the US stockmarket and part of the Consumer Cyclicals sector. Costco Wholesale Corporation is engaged in the operation of membership warehouses in the United States and Puerto Rico, Canada, the United Kingdom, Mexico, Japan, Australia, Spain, and through its subsidiaries in Taiwan and Korea. As of August 28, 2016, the Company operated 715 warehouses across the world. The Company’s average warehouse space is approximately 144,000 square feet. The Company’s warehouses on average operate on a seven-day, 70-hour week. The Company offers merchandise in various categories, which include foods (including dry foods, packaged foods and groceries); sundries (including snack foods, candy, alcoholic and nonalcoholic beverages, and cleaning supplies); hardlines (including appliances, electronics, health and beauty aids, hardware, and garden and patio); fresh foods (including meat, produce, deli and bakery); softlines (including apparel and small appliances), and other (including gas stations and pharmacy).
Today, the market capitalization of this company is $128.374 billon and average traded stock volume was 2.603 million in last ten days according to Tradingview.

1. Price to Volume Index:

A strong signal of our analysis is the price-to-volume index. This indicator puts the current price movements and the trading volume of the asset in relation to each other. A rising or positive value indicates a positive potential for the price development, a falling or negative value predicts a negative price development with high probability. The price-to-volume index for COSTCO WHOLESALE CORP at the current level (see chart) leads to our classification as REVERSAL SHORT, which means the main direction is upwards, but it just comes to a temporary reversal or correction in the opposite direction.

2. Social Sentiment:

The discussions about value on social platforms such as Google, Facebook, Twitter and YouTube are a good sign of mood among investors. A sentiment arises when the mass of market participants in social media increasingly associate the asset with positive or negative expectations. In summary, we see COSTCO WHOLESALE CORP based on recommendations from analysts and investor sentiment as SELL appropriately assessed.

3. Overall assessment:

In summary the above factors results a negative analysta.net forecast for the price development of COSTCO WHOLESALE CORP.
The price trend for the next week is SHORT and the strength seems to be WEAK. Is there currently a signal for entry? NO.
COSTCO WHOLESALE CORP, Google, Facebook, Twitter and YouTube are probably trademarks of it’s specific owner.

NOVARTIS AG analysis and forecast

This analysis looks at NOVARTIS AG. To rate this asset, we have subjected this asses to an intensive analysis process. The result at the end classifies the asset as “buy”, “hold” or “sell”.

NOVARTIS AG

The graph shows the monthly and weekly charts of NOVARTIS AG stock price, a listed company on the US stockmarket and part of the Healthcare sector. Novartis AG is a holding company, which provides healthcare solutions. The Company is engaged in the research, development, manufacturing and marketing of a range of healthcare products led by pharmaceuticals. The Company’s segments include Innovative Medicines, Sandoz, Alcon and Corporate activities. Innovative Medicines researches, develops, manufactures, distributes and sells patented prescription medicines to develop health outcomes for patients and healthcare providers. Sandoz develops, manufactures, distributes and sells prescription medicines, as well as pharmaceutical active substances that are not protected by valid and enforceable third-party patents. Alcon researches, develops, manufactures, distributes and sells eye care products. Alcon is a provider of eye care with product offerings in eye care devices and vision care. The Company’s range of products includes pharmaceuticals and oncology medicines, generic and biosimilar medicines, and eye care devices.
Today, the market capitalization of this company is $199.361 billon and average traded stock volume was 1.788 million in last ten days according to Tradingview.

1. Price to Volume Index:

A strong signal of our analysis is the price-to-volume index. This indicator puts the current price movements and the trading volume of the asset in relation to each other. A rising or positive value indicates a positive potential for the price development, a falling or negative value predicts a negative price development with high probability. The price-to-volume index for NOVARTIS AG at the current level (see chart) leads to our classification as SHORT.

2. Social Sentiment:

The discussions about value on social platforms such as Google, Facebook, Twitter and YouTube are a good sign of mood among investors. A sentiment arises when the mass of market participants in social media increasingly associate the asset with positive or negative expectations. In summary, we see NOVARTIS AG based on recommendations from analysts and investor sentiment as SELL appropriately assessed.

3. Overall assessment:

In summary the above factors results a negative analysta.net forecast for the price development of NOVARTIS AG.
The price trend for the next week is SHORT and the strength seems to be STRONG. Is there currently a signal for entry? NO.
NOVARTIS AG, Google, Facebook, Twitter and YouTube are probably trademarks of it’s specific owner.

AMGEN INC analysis and forecast

This analysis looks at AMGEN INC. To rate this asset, we have subjected this asses to an intensive analysis process. The result at the end classifies the asset as “buy”, “hold” or “sell”.

AMGEN INC

The graph shows the monthly and weekly charts of AMGEN INC stock price, a listed company on the US stockmarket and part of the Healthcare sector. Amgen Inc. is a biotechnology company. The Company discovers, develops, manufactures and delivers various human therapeutics. It operates in human therapeutics segment. Its marketed products portfolio includes Neulasta (pegfilgrastim); erythropoiesis-stimulating agents (ESAs), such as Aranesp (darbepoetin alfa) and EPOGEN (epoetin alfa); Sensipar/Mimpara (cinacalcet); XGEVA (denosumab); Prolia (denosumab); NEUPOGEN (filgrastim), and other marketed products, such as KYPROLIS (carfilzomib), Vectibix (panitumumab), Nplate (romiplostim), Repatha (evolocumab), BLINCYTO (blinatumomab), IMLYGIC (talimogene laherparepvec) and Corlanor (ivabradine). It focuses on human therapeutics for the treatment of serious illness in the areas of oncology/hematology, cardiovascular disease and neuroscience. Its product candidates in Phase III include Erenumab for episodic migraine, Aranesp for myelodysplastic syndromes, BLINCYTO for acute lymphoblastic leukemia and IMLYGIC for metastatic melanoma.
Today, the market capitalization of this company is $117.224 billon and average traded stock volume was 2.98 million in last ten days according to Tradingview.

1. Price to Volume Index:

A strong signal of our analysis is the price-to-volume index. This indicator puts the current price movements and the trading volume of the asset in relation to each other. A rising or positive value indicates a positive potential for the price development, a falling or negative value predicts a negative price development with high probability. The price-to-volume index for AMGEN INC at the current level (see chart) leads to our classification as REVERSAL SHORT, which means the main direction is upwards, but it just comes to a temporary reversal or correction in the opposite direction.

2. Social Sentiment:

The discussions about value on social platforms such as Google, Facebook, Twitter and YouTube are a good sign of mood among investors. A sentiment arises when the mass of market participants in social media increasingly associate the asset with positive or negative expectations. In summary, we see AMGEN INC based on recommendations from analysts and investor sentiment as SELL appropriately assessed.

3. Overall assessment:

In summary the above factors results a negative analysta.net forecast for the price development of AMGEN INC.
The price trend for the next week is SHORT and the strength seems to be WEAK. Is there currently a signal for entry? NO.
AMGEN INC, Google, Facebook, Twitter and YouTube are probably trademarks of it’s specific owner.

STARBUCKS CORP analysis and forecast

This analysis looks at STARBUCKS CORP. To rate this asset, we have subjected this asses to an intensive analysis process. The result at the end classifies the asset as “buy”, “hold” or “sell”.

STARBUCKS CORP

The graph shows the monthly and weekly charts of STARBUCKS CORP stock price, a listed company on the US stockmarket and part of the Consumer Cyclicals sector. Starbucks Corporation (Starbucks) is a roaster, marketer and retailer of coffee. As of October 2, 2016, the Company operated in 75 countries. The Company operates through four segments: Americas, which is inclusive of the United States, Canada, and Latin America; China/Asia Pacific (CAP); Europe, Middle East, and Africa (EMEA), and Channel Development. The Company’s Americas, CAP, and EMEA segments include both company-operated and licensed stores. Its Channel Development segment includes roasted whole bean and ground coffees, Tazo teas, Starbucks- and Tazo-branded single-serve products, a range of ready-to-drink beverages, such as Frappuccino, Starbucks Doubleshot and Starbucks Refreshers beverages and other branded products sold across the world through channels, such as grocery stores, warehouse clubs, specialty retailers, convenience stores and the United States foodservice accounts.
Today, the market capitalization of this company is $108.305 billon and average traded stock volume was 7.406 million in last ten days according to Tradingview.

1. Price to Volume Index:

A strong signal of our analysis is the price-to-volume index. This indicator puts the current price movements and the trading volume of the asset in relation to each other. A rising or positive value indicates a positive potential for the price development, a falling or negative value predicts a negative price development with high probability. The price-to-volume index for STARBUCKS CORP at the current level (see chart) leads to our classification as REVERSAL SHORT, which means the main direction is upwards, but it just comes to a temporary reversal or correction in the opposite direction.

2. Social Sentiment:

The discussions about value on social platforms such as Google, Facebook, Twitter and YouTube are a good sign of mood among investors. A sentiment arises when the mass of market participants in social media increasingly associate the asset with positive or negative expectations. In summary, we see STARBUCKS CORP based on recommendations from analysts and investor sentiment as SELL appropriately assessed.

3. Overall assessment:

In summary the above factors results a negative analysta.net forecast for the price development of STARBUCKS CORP.
The price trend for the next week is SHORT and the strength seems to be WEAK. Is there currently a signal for entry? NO.
STARBUCKS CORP, Google, Facebook, Twitter and YouTube are probably trademarks of it’s specific owner.

CINTAS CORP analysis and forecast

This analysis looks at CINTAS CORP. To rate this asset, we have subjected this asses to an intensive analysis process. The result at the end classifies the asset as “buy”, “hold” or “sell”.

CINTAS CORP

The graph shows the monthly and weekly charts of CINTAS CORP stock price, a listed company on the US stockmarket and part of the Industrials sector. Cintas Corporation is a provider of corporate identity uniforms through rental and sales programs, as well as a provider of related business services, including entrance mats, restroom cleaning services and supplies, carpet and tile cleaning services, first aid and safety services and fire protection products and services. Its segments include uniform rental and facility services, and first aid and safety services. Its uniform rental and facility service segment offers services, which include rental and servicing of uniforms and other garments, including flame resistant clothing, mats, mops and shop towels, and other ancillary items. Its first aid and safety service segment offers services, which include first aid and safety products and services. Rental processing plants, rental branches, first aid and safety facilities, fire protection facilities, direct sales offices, distribution centers and manufacturing facilities are all utilized by the businesses included in All Other.
Today, the market capitalization of this company is $25.282 billon and average traded stock volume was 653.23K in last ten days according to Tradingview.

1. Price to Volume Index:

A strong signal of our analysis is the price-to-volume index. This indicator puts the current price movements and the trading volume of the asset in relation to each other. A rising or positive value indicates a positive potential for the price development, a falling or negative value predicts a negative price development with high probability. The price-to-volume index for CINTAS CORP at the current level (see chart) leads to our classification as REVERSAL SHORT, which means the main direction is upwards, but it just comes to a temporary reversal or correction in the opposite direction.

2. Social Sentiment:

The discussions about value on social platforms such as Google, Facebook, Twitter and YouTube are a good sign of mood among investors. A sentiment arises when the mass of market participants in social media increasingly associate the asset with positive or negative expectations. In summary, we see CINTAS CORP based on recommendations from analysts and investor sentiment as SELL appropriately assessed.

3. Overall assessment:

In summary the above factors results a negative analysta.net forecast for the price development of CINTAS CORP.
The price trend for the next week is SHORT and the strength seems to be WEAK. Is there currently a signal for entry? NO.
CINTAS CORP, Google, Facebook, Twitter and YouTube are probably trademarks of it’s specific owner.

YUM BRANDS INC analysis and forecast

This analysis looks at YUM BRANDS INC. To rate this asset, we have subjected this asses to an intensive analysis process. The result at the end classifies the asset as “buy”, “hold” or “sell”.

YUM BRANDS INC

The graph shows the monthly and weekly charts of YUM BRANDS INC stock price, a listed company on the US stockmarket and part of the Consumer Cyclicals sector. YUM! Brands, Inc. is engaged in restaurant business. As of December 31, 2016, the Company operated or franchised over 43,500 restaurants in more than 135 countries and territories operating under the KFC, Pizza Hut or Taco Bell (collectively the Concepts) brands. The Company operates through three segments: The KFC Division, which includes the operations of the KFC concept around the world; The Pizza Hut Division, which includes the operations of the Pizza Hut concept around the world, and The Taco Bell Division, which includes the operations of the Taco Bell concept around the world. KFC restaurants across the world offer fried and non-fried chicken products, such as sandwiches, chicken strips, chicken-on-the-bone and other chicken products. Pizza Hut is a restaurant chain specialized in the sale of ready-to-eat pizza products. Taco Bell specializes in Mexican-style food products, including various types of tacos, burritos, quesadillas, salads, nachos and other related items.
Today, the market capitalization of this company is $33.885 billon and average traded stock volume was 1.691 million in last ten days according to Tradingview.

1. Price to Volume Index:

A strong signal of our analysis is the price-to-volume index. This indicator puts the current price movements and the trading volume of the asset in relation to each other. A rising or positive value indicates a positive potential for the price development, a falling or negative value predicts a negative price development with high probability. The price-to-volume index for YUM BRANDS INC at the current level (see chart) leads to our classification as REVERSAL SHORT, which means the main direction is upwards, but it just comes to a temporary reversal or correction in the opposite direction.

2. Social Sentiment:

The discussions about value on social platforms such as Google, Facebook, Twitter and YouTube are a good sign of mood among investors. A sentiment arises when the mass of market participants in social media increasingly associate the asset with positive or negative expectations. In summary, we see YUM BRANDS INC based on recommendations from analysts and investor sentiment as SELL appropriately assessed.

3. Overall assessment:

In summary the above factors results a negative analysta.net forecast for the price development of YUM BRANDS INC.
The price trend for the next week is SHORT and the strength seems to be WEAK. Is there currently a signal for entry? NO.
YUM BRANDS INC, Google, Facebook, Twitter and YouTube are probably trademarks of it’s specific owner.

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