Stock Picks - 2003

 
 

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January 2003 (0)          April 2003 (3)           July 2003 (3)                 October 2003 (4)
February 2003 (1)        May 2003 (2)            August 2003 (0)          November 2003 (2)
March 2003 (0)              June 2003 (2)            September 2003 (2)    December 2003 (1)
 



January 2003 Stock Picks
Stock Name SYM Exch. Sector Industry Date Picked Pick Price
(per share)
(None picked)            

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February 2003 Stock Picks
Stock Name SYM Exch. Sector Industry Date Picked Pick Price
(per share)
Quality Systems Inc. QSII NASD Technology Software & Programming 02/10/03 $23.33

Quality Systems, Inc. develops and markets healthcare information systems. (Ticker:QSII;  Exch: NASD; 02/10/03 Price: $23.33/shr.)

STOCK'S CORE STRENGTHS:
      Management's Effectiveness (12 Mo.) . . . Return on Equity: 15.91%
      Profitability (12 Mo.) . . . Profit Margin: 12.86%
      Stock's Growth Record (12 Mo.) . . . Revenue: 11.23%
. . . EPS:  49.12%
. . . Price:  60.37%
. . . Dividend:    ---%
      PE & EPS (12 Mo.) . . . Price/Earnings: 22.22
. . . Earnings/Share: 0.99

STOCK INFO\RESEARCH:

 STOCK'S 12-MONTH GAIN (LOSS), 02/10/03 - 02/10/04:   126.45% 

 STOCK'S 48-MONTH GAIN (LOSS), 02/10/03 - 02/10/07:  649.13% 
                                                                               ($5.19sh. - $$38.88sh.)

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March 2003 Stock Picks
Stock Name SYM Exch. Sector Industry Date Picked Pick Price
(per share)
(None picked)            

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April 2003 Stock Picks
Stock Name SYM Exch. Sector Industry Date Picked Pick Price
(per share)
John B. Sanfilippo Inc. JBSS NASD Consumer/Non-cyclical Food processing 04/01/03 $14.60
Old Dominion Freight Line, Inc. ODFL NASD Transportation Trucking 04/08/03 $32.66
Gundle/SLT Environmental GSE NYSE Basic Material Fabricated Plastic & Rubber 04/14/03 $10.53

 Gundle/SLT Environmental, Inc. manufactures, sells and installs synthetic lining products and services for environmental protection and other uses. (Ticker: GSE; Exch: NYSE; 04/14/03 Price: $10.53/shr; Business & Financial Summary from Yahoo; Expanded Business Description from Multex

STOCK'S CORE STRENGTHS

Management's Effectiveness (12 Mo.) . . . Return on Equity: 12.18%
Profitability (12 Mo.) . . . Profit Margin: 5.09%
Stock's Growth Record (12 Mo.) . . . Revenue: 53.95%
. . . EPS: 845.97%
. . . Price: 87.42%
. . . Dividend: ---%
PE & EPS (12 Mo.) . . . Price/Earnings: 7.91
. . . Earnings/Share: 1.13

STOCK INFO/RESEARCH:

 STOCK'S 12-MONTH GAIN (LOSS),  04/14/03 - 04/14/04:   74.74% 

SPECIAL NOTE: Private equity firm Code Hennessy & Simmons bought GSE and took it private in 2004.  The stock was delisted on the same year.  (Details)

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    Old Dominion Freight Line, Inc. motor carrier transporting primarily less-than-truckload (LTL) shipments of general commodities. (Ticker: ODFL; Exch: NASD; 04/08/03 Price: $32.66/shr; Business & Financial Summary from Yahoo; Expanded Business Description from Multex

STOCK'S CORE STRENGTHS

Management's Effectiveness (12 Mo.) . . . Return on Equity: 12.18%
Profitability (12 Mo.) . . . Profit Margin: 5.09%
Stock's Growth Record (12 Mo.) . . . Revenue: 53.95%
. . . EPS: 845.97%
. . . Price: 87.42%
. . . Dividend: ---%
PE & EPS (12 Mo.) . . . Price/Earnings: 7.91
. . . Earnings/Share: 1.13

STOCK INFO/RESEARCH:

 STOCK'S 12-MONTH GAIN (LOSS),  04/08/03 - 04/08/04:   59.44% 

 STOCK'S 48-MONTH GAIN (LOSS), 04/08/03 - 04/08/07: 198.55% 
                                                                               ($9.68sh. - $28.90sh.)

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 John B. Sanfilippo Inc. is a processor, packager, marketer and distributor of shelled and inshell nuts. (Ticker: JBSS; Exch: NASD; 04/01/03 Price: $14.60/shr.; Expanded Business Description from Multex))

STOCK'S CORE STRENGTHS

Management's Effectiveness (12 Mo.) . . . Return on Equity: 8.26%
Profitability (12 Mo.) . . . Profit Margin: 2.36%
Stock's Growth Record (12 Mo.) . . . Revenue: 2.50%
. . . EPS: 0.72%
. . . Price: 126.54%
. . . Dividend: ---%
PE & EPS (12 Mo.) . . . Price/Earnings: 9.99
. . . Earnings/Share: 0.90

STOCK INFO/RESEARCH:

 STOCK'S 12-MONTH GAIN (LOSS),  04/01/03 - 04/01/04:   148.15% 

 STOCK'S 48-MONTH GAIN (LOSS), 04/01/03 - 04/01/07: (8.70%) 
                                                                               ($14.60sh. - $13.33sh.)

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May 2003 Stock Picks
Stock Name SYM Exch. Sector Industry Date Picked Pick Price
(per share)
Centex Corp. CTX NYSE Capital Goods Construction Services 05/01/03 $64.97
Hovnanian Enterprises HOV NASD Capital Goods Construction Services 05/01/03 $39.22

  Centex Corporation is a residential construction company that operates in the following businesses: Home Building, Financial Services, Construction Products, Construction Services and Investment Real Estate. (Ticker: CTX; Exch: NYSE; 05/01/03 Price: $64.97/shr; Business & Financial Summary from Yahoo; Expanded Business Description from Multex

STOCK'S CORE STRENGTHS
Management's Effectiveness (12 Mo.) . . . Return on Equity: 20.31%
Profitability (12 Mo.) . . . Profit Margin: 5.16%
Stock's Growth Record (12 Mo.) . . . Revenue: 15.46%
. . . EPS: 31.52%
. . . Price: 37.57%
. . . Dividend: ---%
PE & EPS (12 Mo.) . . . Price/Earnings: 6.92
. . . Earnings/Share: 6.60

STOCK INFO/RESEARCH:

 STOCK'S 12-MONTH GAIN (LOSS),  05/01/03 - 05/01/04:   85.20% 

 STOCK'S 48-MONTH GAIN (LOSS), 05/01/03 - 05/01/07:   60.64% 
                                                                              ($28.71sh. - $46.12sh.)

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 Hovnanian Enterprises, Inc. constructs and markets single-family detached homes and attached condominium apartments and townhouses. (Ticker: HOV; Exch: NYSE; 05/01/03 Price: $39.22/shr; Business & Financial Summary from Yahoo; Expanded Business Description from Multex

STOCK'S CORE STRENGTHS

Management's Effectiveness (12 Mo.) . . . Return on Equity: 24.60%
Profitability (12 Mo.) . . . Profit Margin: 4.68%
Stock's Growth Record (12 Mo.) . . . Revenue: 46.45%
. . . EPS: 87.61%
. . . Price: 51.39%
. . . Dividend: ---%
PE & EPS (12 Mo.) . . . Price/Earnings: 10.15
. . . Earnings/Share: 3.35

STOCK INFO/RESEARCH:

 STOCK'S 12-MONTH GAIN (LOSS),  05/01/03 - 05/01/04:   83.43% 

 STOCK'S 48-MONTH GAIN (LOSS), 05/01/03 - 05/01/07: 21.98% 
                                                                              ($19.61sh. - $23.92sh.)

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June 2003 Stock Picks
Stock Name SYM Exch. Sector Industry Date Picked Pick Price
(per share)
Beazer Homes BZH NYSE Capital Goods Construction Services 06/02/03 $85.18
Ryland Group RYL NYSE Capital Goods Construction Services 06/02/03 $64.51

  Beazer Homes USA, Inc.  is a U.S. homebuilder primarily for first time and move-up homebuyers. (Ticker: BZH; Exch: NYSE; 06/02/03 Price: $85.18/shr; Business & Financial Summary from Yahoo; Expanded Business Description from Multex

STOCK'S CORE STRENGTHS (ASG: 44.5)

Management's Effectiveness (12 Mo.) . . . Return on Equity: 26.19%
Profitability (12 Mo.) . . . Profit Margin: 4.64%
Stock's Growth Record (12 Mo.) . . . Revenue: 46.31%
. . . EPS: 30.09%
. . . Price: 16.73%
. . . Dividend: ---%
PE & EPS (12 Mo.) . . . Price/Earnings: 5.87
. . . Earnings/Share: 10.65

STOCK INFO/RESEARCH (MSN):

 STOCK'S 12-MONTH GAIN (LOSS),  06/02/03 - 06/02/04:   16.73% 

 STOCK'S 48-MONTH GAIN (LOSS), 06/02/03 - 06/02/07:    28.81% 
                                                                             ($26.97sh. - $34.74sh.)

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Ryland Group, Inc. is a U..S.homebuilder and mortgage-related financial services firm. (Ticker: RYL; Exch: NYSE; 06/02/03 Price: $64.51/shr; Business & Financial Summary from Yahoo; Expanded Business Description from Multex

STOCK'S CORE STRENGTHS (ASG: 45.1)

Management's Effectiveness (12 Mo.) . . . Return on Equity: 27.55%
Profitability (12 Mo.) . . . Profit Margin: 5.87%
Stock's Growth Record (12 Mo.) . . . Revenue: 4.73%
. . . EPS: 43.28%
. . . Price: 29.11%
. . . Dividend: ---%
PE & EPS (12 Mo.) . . . Price/Earnings: 6.57
. . . Earnings/Share: 5.78

STOCK INFO/RESEARCH (MSN):

 STOCK'S 12-MONTH GAIN (LOSS),  06/02/03 - 06/02/04:   22.98% 

 STOCK'S 48-MONTH GAIN (LOSS), 06/02/03 - 06/02/07:    42.13% 
                                                                             ($31.00sh. - $44.06sh.)

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July 2003 Stock Picks
Stock Name SYM Exch. Sector Industry Date Picked Pick Price
(per share)
CPI Aerostructures, Inc. CVU AMEX Capital Goods Aerospace & Defense 07/07/03 $9.05
Amer. Home Mortgage Holdings, Inc. AHMH NASD Financial Consumer Financial Srvcs. 07/01/03 $19.01
Doral Financial Corp. DRL NYSE Financial Regional Banks 07/01/03 $44.39

American Home Mortgage Holdings, Inc.  is a retail mortgage banking company. (Ticker: AHMH; Exch: NASD; 07/01/03 Price: $19.01/shr; Business & Financial Summary from Yahoo; Expanded Business Description from Multex

STOCK'S CORE STRENGTHS (ASG: 53.7)

Management's Effectiveness (12 Mo.) . . . Return on Equity: 35.00%
Profitability (12 Mo.) . . . Profit Margin: 19.29%
Stock's Growth Record (12 Mo.) . . . Revenue: 81.82%
. . . EPS: 23.87%
. . . Price: 67.02%
. . . Dividend: ---%
PE & EPS (12 Mo.) . . . Price/Earnings: 3.79
. . . Earnings/Share: 2.55

STOCK INFO/RESEARCH (MSN):

 STOCK'S 12-MONTH GAIN (LOSS),  07/01/03 - 07/01/04:   39.18% 

 STOCK'S 48-MONTH GAIN (LOSS), 07/01/03 - 07/01/07:    N.A. (DELISTED PRIOR TO 07/01/07)

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   Doral Financial Corp. is a diversified financial services company.  (Ticker: DRL; Exch: NYSE; 07/01/03 Price: $44.39/shr; Business & Financial Summary from Yahoo; Expanded Business Description from Multex

STOCK'S CORE STRENGTHS (ASG: 43.4)

Management's Effectiveness (12 Mo.) . . . Return on Equity: 29.01%
Profitability (12 Mo.) . . . Profit Margin: 61.90%
Stock's Growth Record (12 Mo.) . . . Revenue: 16.71%
. . . EPS: 50.88%
. . . Price: 114.80%
. . . Dividend: ---%
PE & EPS (12 Mo.) . . . Price/Earnings: 13.79
. . . Earnings/Share: 3.42

STOCK INFO/RESEARCH (MSN):

 STOCK'S 12-MONTH GAIN (LOSS),  07/01/03 - 07/01/04:   34.48% 

 STOCK'S 48-MONTH GAIN (LOSS), 07/01/03 - 07/01/07:    (95.73%) 
                                                                            ($552.11sh. - $23.60sh.)

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CPI Aerostructures, Inc. produces, under contract, structural aircraft parts principally for the United States Air Force and other branches of the United States armed forces.  (Ticker: CVU; Exch: AMEX; 07/07/03 Price: $9.05/shr; Business & Financial Summary from Yahoo; Expanded Business Description from Multex

STOCK'S CORE STRENGTHS (ASG: 72.7)

Management's Effectiveness (12 Mo.) . . . Return on Equity: 263.44%
Profitability (12 Mo.) . . . Profit Margin: 30.11%
Stock's Growth Record (12 Mo.) . . . Revenue: 59.74%
. . . EPS: 52.34%
. . . Price: 121.98%
. . . Dividend: ---%
PE & EPS (12 Mo.) . . . Price/Earnings: 4.87
. . . Earnings/Share: 2.05

STOCK INFO/RESEARCH (MSN):

 STOCK'S 12-MONTH GAIN (LOSS),  07/07/03 - 07/07/04:   25.97% 

 STOCK'S 48-MONTH GAIN (LOSS), 07/07/03 - 07/07/07:    (8.51%) 
                                                                            ($9.05sh. - $8.28sh.)

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August 2003 Stock Picks
Stock Name SYM Exch. Sector Industry Date Picked Pick Price
(per share)
(None picked)            




September 2003 Stock Picks
Stock Name SYM Exch. Sector Industry Date Picked Pick Price
(per share)
Mobile Telesystems MBT NYSE Services Communication Services 09/10/03 $67.50
Vimpel-Communications VIP NYSE Services Communication Services 09/10/03 $53.00

Mobile Telesystems OJSC  is a provider of mobile cellular communications services in Russia that employs technology based on GSM. (Ticker: MBT; Exch: NYSE; 09/10/03 Price: $67.50/shr; Business & Financial Summary from Yahoo; Expanded Business Description from Multex

STOCK'S CORE STRENGTHS (ASG: 41.1)

Management's Effectiveness (12 Mo.) . . . Return on Equity: 26.49%
Profitability (12 Mo.) . . . Profit Margin: 26.02%
Stock's Growth Record (12 Mo.) . . . Revenue: 52.45%
. . . EPS: 25.00%
. . . Price: 122.43%
. . . Dividend: ---%
PE & EPS (12 Mo.) . . . Price/Earnings: 13.33
. . . Earnings/Share: 2.70

STOCK INFO/RESEARCH (MSN):

 STOCK'S 12-MONTH GAIN (LOSS),  09/10/03 - 09/10/04:   116.74% 

 STOCK'S 48-MONTH GAIN (LOSS), 09/10/03 - 09/10/07:   277.77% 
                                                                              ($16.24sh. - $61.35sh.)

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  Vimpel-Communications  is a a provider of cellular telecommunications services in Russia. (Ticker: VIP; Exch: NYSE; 09/10/03 Price: $53.00/shr; Business & Financial Summary from Yahoo; Expanded Business Description from Multex

STOCK'S CORE STRENGTHS (ASG: 42.6)

Management's Effectiveness (12 Mo.) . . . Return on Equity: 17.37%
Profitability (12 Mo.) . . . Profit Margin: 14.60%
Stock's Growth Record (12 Mo.) . . . Revenue: 81.85%
. . . EPS: 146.57%
. . . Price: 132.50%
. . . Dividend: ---%
PE & EPS (12 Mo.) . . . Price/Earnings: 17.68
. . . Earnings/Share: 1.70

STOCK INFO/RESEARCH (MSN):

 STOCK'S 12-MONTH GAIN (LOSS),  09/10/03 - 09/10/04:   96.70% 

 STOCK'S 48-MONTH GAIN (LOSS), 09/10/03 - 09/10/07:   624.05% 
                                                                              ($3.41sh. - $24.69sh.)

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October 2003 Stock Picks
Stock Name SYM Exch. Sector Industry Date Picked Pick Price
(per share)
Orleans Homebuilders Inc. OHB AMEX Capital Goods Construction Services 10/06/03 $13.35
Maxcor Financial Group MAXF NASD Financial Investment Services 10/06/03 $13.60
D.R. Horton Inc. DHI NYSE Capital Goods Construction Services 10/01/03 $35.16
Standard Pacific Corp. SPF NYSE Capital Goods Construction Services 10/01/03 $39.92

Orleans Homebuilders, Inc. develops residential communities in Pennsylvania, New Jersey, North Carolina, South Carolina and Virginia. (Ticker: OHB; Exch:AMEX; 10/06/03 Price: $13.35/shr; Business & Financial Summary from Yahoo; Expanded Business Description from Multex

STOCK'S CORE STRENGTHS (ASG: 49.70)

Management's Effectiveness (12 Mo.) . . . Return on Equity: 39.86%
Profitability (12 Mo.) . . . Profit Margin: 5.68%
Stock's Growth Record (12 Mo.) . . . Revenue: 9.54%
. . . EPS: 51.15%
. . . Price: 158.93%
. . . Dividend: ---%
PE & EPS (12 Mo.) . . . Price/Earnings: 6.18
. . . Earnings/Share: 1.24
      

STOCK INFO/RESEARCH (MSN):

 STOCK'S 12-MONTH GAIN (LOSS),  10/06/03 - 10/06/04:   58.05% 

 STOCK'S 48-MONTH GAIN (LOSS), 10/06/03 - 10/06/07:   N.A. (DELISTED PRIOR TO 10/06/07)

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Maxcor Financial Group, Inc. is a financial services company who specializes in money market products, derivative products and securities products. (Ticker: MAXF; Exch: NASD; 10/06/03 Price: $13.60/shr; Business & Financial Summary from Yahoo; Expanded Business Description from Multex

STOCK'S CORE STRENGTHS (ASG: 47.87)

Management's Effectiveness (12 Mo.) . . . Return on Equity: 24.11%
Profitability (12 Mo.) . . . Profit Margin: 6.34%
Stock's Growth Record (12 Mo.) . . . Revenue: 10.16%
. . . EPS: 31.61%
. . . Price: 172.95%
. . . Dividend: ---%
PE & EPS (12 Mo.) . . . Price/Earnings: 5.79
. . . Earnings/Share: 1.06
      

STOCK INFO/RESEARCH (MSN):

 STOCK'S 12-MONTH GAIN (LOSS),  10/06/03 - 10/06/04:   (29.65%) 

 STOCK'S 48-MONTH GAIN (LOSS), 10/06/03 - 10/06/07:   N.A. (DELISTED PRIOR TO 10/06/07)

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D.R. Horton Inc.  designs, builds and sells single-family houses  in several metropolitan areas of the United States. (Ticker: DHI; Exch: NYSE; 10/01/03 Price: $35.16/shr; Business & Financial Summary from Yahoo; Expanded Business Description from Multex

STOCK'S CORE STRENGTHS (ASG: 46.7)

Management's Effectiveness (12 Mo.) . . . Return on Equity: 23.98%
Profitability (12 Mo.) . . . Profit Margin: 1.54%
Stock's Growth Record (12 Mo.) . . . Revenue: 51.25%
. . . EPS: 30.07%
. . . Price: 103.51%
. . . Dividend: ---%
PE & EPS (12 Mo.) . . . Price/Earnings: 6.66
. . . Earnings/Share: 2.85
      

STOCK INFO/RESEARCH (MSN):

 STOCK'S 12-MONTH GAIN (LOSS),  10/01/03 - 10/01/04:  42.15% 

 STOCK'S 48-MONTH GAIN (LOSS), 10/10/03 - 10/10/07:   (18.43%) 
                                                                             ($16.06sh. - $13.10sh.)

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Standard Pacific Corp. is a builder of single-family homes. with a wide range of prices and sizes for a broad range of homebuyers.  (Ticker: SPF; Exch: NYSE; 10/01/03 Price: $39.92/shr; Business & Financial Summary from Yahoo; Expanded Business Description from Multex

STOCK'S CORE STRENGTHS (ASG: 44.3)

Management's Effectiveness (12 Mo.) . . . Return on Equity: 15.51%
Profitability (12 Mo.) . . . Profit Margin: 5.97%
Stock's Growth Record (12 Mo.) . . . Revenue: 36.16%
. . . EPS: 1.27%
. . . Price: 86.78%
. . . Dividend: ---%
PE & EPS (12 Mo.) . . . Price/Earnings: 7.52
. . . Earnings/Share: 3.11
      

STOCK INFO/RESEARCH (MSN):

 STOCK'S 12-MONTH GAIN (LOSS),  10/01/03 - 10/01/04:  42.35% 

 STOCK'S 48-MONTH GAIN (LOSS), 10/10/03 - 10/10/07:   (71.60%) 
                                                                             ($19.47sh. - $5.53sh.)

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November 2003 Stock Picks
Stock Name SYM Exch. Sector Industry Date Picked Pick Price
(per share)
Fremont General Corp. FMT NYSE Financial Regional Banks 11/20/03 $16.21
New Century Financial Corp. NCEN NASD Financial Consumer Financial Services 11/10/03 $34.10

Fremont General Corp. is engaged in commercial and residential real estate lending nationwide. (Ticker: FMT; Exch:NYSE; 11/20/03 Price: $16.21/shr; Business & Financial Summary from Yahoo; Expanded Business Description from Multex

STOCK'S CORE STRENGTHS (ASG: 59.0)

Management's Effectiveness (12 Mo.) . . . Return on Equity: 22.59%
Profitability (12 Mo.) . . . Profit Margin: 19.16%
Stock's Growth Record (12 Mo.) . . . Revenue: 3.51%
. . . EPS: 85.19%
. . . Price: 344.08%
. . . Dividend: ---%
PE & EPS (12 Mo.) . . . Price/Earnings: 3.97
. . . Earnings/Share: 1.14
      

STOCK INFO/RESEARCH (MSN):

 STOCK'S 12-MONTH GAIN (LOSS),  11/20/03 - 11/20/04:  36.00% 

 STOCK'S 48-MONTH GAIN (LOSS), 11/20/03 - 11/20/07:   N.A. (DELISTED PRIOR TO 11/20/07)

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New Century Financial Corp. is a nationwide specialty mortgage banking company. (Ticker: NCEN; Exch:NASD; 11/10/03 Price: $34.10/shr; Business & Financial Summary from Yahoo; Expanded Business Description from Multex

  STOCK'S CORE STRENGTHS (ASG: 64.3)

Management's Effectiveness (12 Mo.) . . . Return on Equity: 53.34%
Profitability (12 Mo.) . . . Profit Margin: 29.08%
Stock's Growth Record (12 Mo.) . . . Revenue: 106.67%
. . . EPS: 203.95%
. . . Price: 168.28%
. . . Dividend: ---%
PE & EPS (12 Mo.) . . . Price/Earnings: 3.26
. . . Earnings/Share: 5.75
      

STOCK INFO/RESEARCH (MSN):

 STOCK'S 12-MONTH GAIN (LOSS),  11/10/03 - 11/10/04:  84.40% 

 STOCK'S 48-MONTH GAIN (LOSS), 11/10/03 - 11/10/07:   N.A. (DELISTED PRIOR TO 11/10/07)

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December 2003 Stock Picks
Stock Name SYM Exch. Sector Industry Date Picked Pick Price
(per share)
Coventry Health Care Inc. CVH NYSE Healthcare Healthcare facility 12/10/03 $59.71

    Coventry Health Care, Inc. is a managed healthcare company. (Ticker: CVH; Exch:NYSE; 12/10/03 Price: $59.71/shr; Business & Financial Summary from Yahoo; Expanded Business Description from Multex

STOCK'S CORE STRENGTHS (ASG: 41.50)

Management's Effectiveness (12 Mo.) . . . Return on Equity: 20.45%
Profitability (12 Mo.) . . . Profit Margin:  3.72%
Stock's Growth Record (12 Mo.) . . . Revenue:  13.65%
. . . EPS:  93.09%
. . . Price: 116.63%
. . . Dividend: ---%
PE & EPS (12 Mo.) . . . Price/Earnings: 15.58
. . . Earnings/Share:   2.05
      

STOCK INFO/RESEARCH (MSN):

 STOCK'S 12-MONTH GAIN (LOSS),  12/10/03 - 12/10/04:  27.00% 

 STOCK'S 48-MONTH GAIN (LOSS), 12/10/03 - 12/10/07:   93.44% 
                                                                              ($26.54sh. - $59.34sh.)

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  Last modified: 10/12/14