x bagger 3d di ricerca

osinod

Banned
si fara' qui un paniere di titoli papabili per un x bagger di rialzo

come criteri si usera' un mix di at ,business attractivity,a buon mercato sulla cassa
 
ecco un primo screen fatto su' base di at sono 56 titoli :



ABCW
ADLR
AKRX
ALY
APPY
BTFG
BXG
CASM
CLFC
CLRO
CRBC
CRDC
DARA
DIET
DNE
DRRX
EEGC
EMKR
FCF
FMAR
FPP
FRE
FXEN
GBNK
HEPH
HKN
HOKU
HRSH
HTX
HW
IMMR
LNG
MBWM
MWA
OMNI
OTIX
OVLY
PCE
PLLL
PTEC
QRCP
RAME
RAMS
RBPAA
RPI
SAY
SNV
SQNM
SUPR
TIV
UBFO
ULU
VITRY
WCBO
WRES
[FONT=&quot]WTBA[/FONT]
 
appy ha in calndario da parte della fda importanti trial :
 

Allegati

  • trial.png
    trial.png
    76,3 KB · Visite: 282
wtba

Market Cap (intraday)[SIZE=-1]5 [/SIZE]104.44M


Enterprise Value (27-Mar-10)[SIZE=-1]3[/SIZE]:164.68MTrailing P/E (ttm, intraday):N/AForward P/E (fye 31-Dec-11) [SIZE=-1]1[/SIZE]:13.42PEG Ratio (5 yr expected):N/APrice/Sales (ttm):4.25Price/Book (mrq):0.81Enterprise Value/Revenue (ttm)[SIZE=-1]3[/SIZE]:6.46Enterprise Value/EBITDA (ttm)[SIZE=-1]3[/SIZE]:N/AFINANCIAL HIGHLIGHTS Fiscal YearFiscal Year Ends:31-DecMost Recent Quarter (mrq):31-Dec-09 Profitability Profit Margin (ttm):-57.33%Operating Margin (ttm):15.28% Management EffectivenessReturn on Assets (ttm):-0.32%Return on Equity (ttm):-3.57% Income StatementRevenue (ttm):25.50MRevenue Per Share (ttm):1.465Qtrly Revenue Growth (yoy):32.20%Gross Profit (ttm):67.46MEBITDA (ttm):N/ANet Income Avl to Common (ttm):-7.33MDiluted EPS (ttm):-0.97Qtrly Earnings Growth (yoy):33.60% Balance SheetTotal Cash (mrq):128.96MTotal Cash Per Share (mrq):7.41Total Debt (mrq):188.51MTotal Debt/Equity (mrq):N/ACurrent Ratio (mrq):N/ABook Value Per Share (mrq):7.695 Cash Flow StatementOperating Cash Flow (ttm):17.64MLevered Free Cash Flow (ttm):N/A
 
crbc

Market Cap (intraday)5:410.17MEnterprise Value (27-Mar-10)3:1.87BTrailing P/E (ttm, intraday):N/AForward P/E (fye 31-Dec-11) 1:N/APEG Ratio (5 yr expected):N/APrice/Sales (ttm):4.98Price/Book (mrq):0.35Enterprise Value/Revenue (ttm)3:25.00Enterprise Value/EBITDA (ttm)3:N/AFINANCIAL HIGHLIGHTS Fiscal YearFiscal Year Ends:31-DecMost Recent Quarter (mrq):31-Dec-09 Profitability Profit Margin (ttm): N/A Operating Margin (ttm):-303.49% Management EffectivenessReturn on Assets (ttm):-4.11%Return on Equity (ttm):-35.07% Income StatementRevenue (ttm):74.76MRevenue Per Share (ttm):0.386Qtrly Revenue Growth (yoy): N/A Gross Profit (ttm):N/AEBITDA (ttm):N/ANet Income Avl to Common (ttm):-533.99MDiluted EPS (ttm):-2.76Qtrly Earnings Growth (yoy): N/A Balance SheetTotal Cash (mrq):134.84MTotal Cash Per Share (mrq):0.342Total Debt (mrq):1.59BTotal Debt/Equity (mrq):N/ACurrent Ratio (mrq):N/ABook Value Per Share (mrq):2.689 Cash Flow StatementOperating Cash Flow (ttm):116.00MLevered Free Cash Flow (ttm):N/A
 
dei 56 titoli solo queti scambiano + di 300 k :


ALY
CRBC
DARA
EEGC
EMKR
FRE
HW
MWA
SAY
SNV
SQNM
ULU
[FONT=&quot]WRES[/FONT]
 
aly


Market Cap (intraday)[SIZE=-1]5[/SIZE]:257.25MEnterprise Value (27-Mar-10)[SIZE=-1]3[/SIZE]:708.42MTrailing P/E (ttm, intraday):N/AForward P/E (fye 31-Dec-11) [SIZE=-1]1[/SIZE]:17.14PEG Ratio (5 yr expected):N/APrice/Sales (ttm):0.53Price/Book (mrq):0.59Enterprise Value/Revenue (ttm)[SIZE=-1]3[/SIZE]:1.40Enterprise Value/EBITDA (ttm)[SIZE=-1]3[/SIZE]:8.973FINANCIAL HIGHLIGHTS Fiscal YearFiscal Year Ends:31-DecMost Recent Quarter (mrq):31-Dec-09 Profitability Profit Margin (ttm):-4.19%Operating Margin (ttm):-0.80% Management EffectivenessReturn on Assets (ttm):-0.23%Return on Equity (ttm):-4.89% Income StatementRevenue (ttm):506.25MRevenue Per Share (ttm):9.433Qtrly Revenue Growth (yoy):-29.10%Gross Profit (ttm):48.54MEBITDA (ttm):78.95MNet Income Avl to Common (ttm):-22.49MDiluted EPS (ttm):-0.42Qtrly Earnings Growth (yoy): N/A Balance SheetTotal Cash (mrq):41.07MTotal Cash Per Share (mrq):0.575Total Debt (mrq):492.23MTotal Debt/Equity (mrq):N/ACurrent Ratio (mrq):1.763Book Value Per Share (mrq):6.372 Cash Flow StatementOperating Cash Flow (ttm):55.51MLevered Free Cash Flow (ttm):3.64M
 
dara

Market Cap (intraday)[SIZE=-1]5[/SIZE]:22.99MEnterprise Value (27-Mar-10)[SIZE=-1]3[/SIZE]:19.85MTrailing P/E (ttm, intraday):N/AForward P/E (fye 31-Dec-11) [SIZE=-1]1[/SIZE]:N/APEG Ratio (5 yr expected):N/APrice/Sales (ttm):N/APrice/Book (mrq):7.05Enterprise Value/Revenue (ttm)[SIZE=-1]3[/SIZE]:NaNEnterprise Value/EBITDA (ttm)[SIZE=-1]3[/SIZE]:-4.336FINANCIAL HIGHLIGHTS Fiscal YearFiscal Year Ends:31-DecMost Recent Quarter (mrq):31-Dec-09 Profitability Profit Margin (ttm): N/A Operating Margin (ttm): N/A Management EffectivenessReturn on Assets (ttm):-73.74%Return on Equity (ttm):-151.06% Income StatementRevenue (ttm):N/ARevenue Per Share (ttm):N/AQtrly Revenue Growth (yoy): N/A Gross Profit (ttm):N/AEBITDA (ttm):-4.58MNet Income Avl to Common (ttm):-3.34MDiluted EPS (ttm):-0.10Qtrly Earnings Growth (yoy): N/A Balance SheetTotal Cash (mrq):3.17MTotal Cash Per Share (mrq):0.065Total Debt (mrq):28.35KTotal Debt/Equity (mrq):N/ACurrent Ratio (mrq):4.983Book Value Per Share (mrq):0.061 Cash Flow StatementOperating Cash Flow (ttm):-4.42MLevered Free Cash Flow (ttm):-3.40M
 
emkr


Market Cap (intraday)[SIZE=-1]5[/SIZE]:103.81MEnterprise Value (27-Mar-10)[SIZE=-1]3[/SIZE]:98.84MTrailing P/E (ttm, intraday):N/AForward P/E (fye 30-Sep-11) [SIZE=-1]1[/SIZE]:N/APEG Ratio (5 yr expected):N/APrice/Sales (ttm):0.60Price/Book (mrq):0.84Enterprise Value/Revenue (ttm)[SIZE=-1]3[/SIZE]:0.60Enterprise Value/EBITDA (ttm)[SIZE=-1]3[/SIZE]:-2.189FINANCIAL HIGHLIGHTS Fiscal YearFiscal Year Ends:30-SepMost Recent Quarter (mrq):31-Dec-09 Profitability Profit Margin (ttm):-58.45%Operating Margin (ttm):-36.47% Management EffectivenessReturn on Assets (ttm):-16.07%Return on Equity (ttm):-60.08% Income StatementRevenue (ttm):164.70MRevenue Per Share (ttm):2.06Qtrly Revenue Growth (yoy):-21.60%Gross Profit (ttm):-3.77MEBITDA (ttm):-45.16MNet Income Avl to Common (ttm):-96.26MDiluted EPS (ttm):-1.20Qtrly Earnings Growth (yoy): N/A Balance SheetTotal Cash (mrq):16.49MTotal Cash Per Share (mrq):0.202Total Debt (mrq):11.52MTotal Debt/Equity (mrq):N/ACurrent Ratio (mrq):1.523Book Value Per Share (mrq):1.434 Cash Flow StatementOperating Cash Flow (ttm):-9.66MLevered Free Cash Flow (ttm):15.69M
 

Users who are viewing this thread

Back
Alto