2014-08-20

Members Area

Earnings Alerts

Chart Patterns

Candlestick Patterns

Algorithm-Based Scans

Symbol

Name

Exchange

Sector

Industry

SCTR

Universe

Close

Volume

AAPL

Apple, Inc.

NASD

Technology

Computer Hardware

96

lrg

100.53

69254925

NOK

Nokia Corp.

NYSE

Technology

Telecom Equipment

86.2

lrg

8.02

54482070

INTC

Intel Corp.

NASD

Technology

Semiconductors

96.9

lrg

34.34

29281886

QQQ

PowerShares QQQ Trust

NASD

92.1

etf

98.7

21318713

CSCO

Cisco Systems, Inc.

NASD

Technology

Telecom Equipment

45.7

lrg

24.64

20345908

XLF

Financials Select Sector SPDR

NYSE

57.7

etf

22.87

20189820

HD

Home Depot, Inc.

NYSE

Cyclicals

Home Improvement Retailers

89

lrg

88.23

18230055

GILD

Gilead Sciences, Inc.

NASD

Health Care

Biotechnology

96.6

lrg

101.28

16300415

COS.TO

Canadian Oil Sands Ltd.

TSE

Energy

Oil & Gas Producers

52.2

tsx

23.24

11790343

EWT

Taiwan iShares

NYSE

90.3

etf

16.15

11122736

PLUG

Plug Power, Inc.

NASD

Energy

Renewable Energy Equipment

97.8

sml

5.86

10540598

GLW

Corning, Inc.

NYSE

Technology

Telecom Equipment

34.1

lrg

20.34

10518095

RFMD

RF Micro Devices, Inc.

NASD

Technology

Semiconductors

99.3

sml

12.02

9189315

AMAT

Applied Materials, Inc.

NASD

Technology

Semiconductors

77.5

lrg

22.05

9119348

HPQ

Hewlett-Packard Co.

NYSE

Technology

Computer Hardware

83.9

lrg

35.48

8752655

WFC

Wells Fargo & Co.

NYSE

Financial

Banks

60.4

lrg

50.86

8689418

EMC

EMC Corp.

NYSE

Technology

Computer Hardware

87.5

lrg

29.89

8513241

JBLU

JetBlue Airways Corp.

NASD

Industrial

Airlines

97

sml

12.33

8485830

VWO

Vanguard Emerging Markets VIPERs

NYSE

94.7

etf

45.3

6586978

ATVI

Activision Blizzard Inc.

NASD

Cyclicals

Toys

23.01

5581982

MRO

Marathon Oil

NYSE

Energy

Integrated Oil & Gas

76.9

lrg

39.73

5227110

CSIQ

Canadian Solar Inc.

NASD

Energy

Renewable Energy Equipment

34.65

5147451

PNE.V

Pine Cliff Energy Ltd.

TSXV

Energy

Oil & Gas Producers

1.72

5129066

ACWI

iShares MSCI ACWI Index Fund

NASD

57.5

etf

60.48

5075252

XLK

Technology Select Sector SPDR

NYSE

89.3

etf

39.91

5047776

HTZ

Hertz Global Holdings, Inc.

NYSE

Cyclicals

Travel & Tourism

31.56

4969858

LUV

Southwest Airlines Co.

NYSE

Industrial

Airlines

99.4

lrg

30.75

4898254

STLD

Steel Dynamics, Inc.

NASD

Materials

Steel

96.3

mid

23.21

4751993

TQNT

TriQuint Semiconductor, Inc.

NASD

Technology

Semiconductors

99.4

sml

19.66

4381808

RY.TO

Royal Bank of Canada

TSE

Financial

Banks

80.2

tsx

81.6

4335018

MO

Altria Group Inc.

NYSE

Consumer Staples

Tobacco

86.3

lrg

42.7

4308358

WFT

Weatherford Intl

NYSE

Energy

Oil Equipment & Services

22.28

4208637

DIS

Walt Disney Co.

NYSE

Cyclicals

Entertainment

83.2

lrg

90.09

4142913

XLV

Health Care Select Sector SPDR

NYSE

84

etf

62.85

3874465

KMP

Kinder Morgan Enrgy L P

NYSE

Energy

Pipelines

97.9

lrg

98.47

3869096

HCA

HCA Holdings Inc.

NYSE

Health Care

Health Care Providers

98.2

lrg

68.69

3738839

XLY

Consumer Discretionary Select Sector SPDR

NYSE

62.8

etf

68.25

3731824

WPX

WPX Energy, Inc.

NYSE

Energy

Exploration & Production

98.1

lrg

24.85

3703735

MFC.TO

Manulife Financial Corp.

TSE

Financial

Insurance

46.4

tsx

21.8

3693162

ARWR

Arrowhead

NASD

Health Care

Biotechnology

47.6

sml

14.22

3626454

IDTI

Integrated Device Technology, Inc.

NASD

Technology

Semiconductors

95

sml

16.21

3477058

BITA

Bitauto Holdings Ltd.

NYSE

Cyclicals

Media Agencies

99.9

mid

82.23

3398702

NRF

NorthStar Realty Finance Corp.

NYSE

Financial

Mortgage REITs

95.3

mid

18.11

3326461

TD.TO

Toronto-Dominion Bank

TSE

Financial

Banks

80

tsx

57.22

3276854

SFUN

SouFun Holdings Ltd.

NYSE

Cyclicals

Media Agencies

13.1

mid

11.75

3264832

EWH

HongKong iShares

NYSE

97.3

etf

22.45

3207634

SAN

Banco Santander SA

NYSE

Financial

Banks

50.4

lrg

9.73

3193741

XLB

Materials Select Sector SPDR

NYSE

82.1

etf

50.37

3134975

ELD.TO

Eldorado Gold Corp.

TSE

Materials

Precious Metals

87

tsx

8.99

2978805

ABT

Abbott Laboratories

NYSE

Health Care

Pharmaceuticals

62.6

lrg

42.54

2963272

FLEX

Flextronics Intl Ltd.

NASD

Technology

Electrical Components

75.4

mid

10.82

2929816

ZTS

Zoetis Inc.

NYSE

Health Care

Pharmaceuticals

83.6

lrg

34.52

2922483

SPE.TO

Spartan Energy Corp.

TSE

Energy

Oil & Gas Producers

94.9

tsx

3.93

2877880

SVU

Supervalu, Inc.

NYSE

Consumer Staples

Food Retailers

97.2

sml

9.7

2862186

BK

Bank of New York Mellon Corp

NYSE

Financial

Asset Managers

86.9

lrg

38.59

2835121

RSP

Guggenheim S&P 500 Equal Weight ETF

NYSE

73.7

etf

77.14

2802786

WWAV

WhiteWave Foods Co.

NYSE

Consumer Staples

Food Products

93.5

mid

34.62

2790274

SWKS

Skyworks Solutions Inc.

NASD

Technology

Semiconductors

99.2

mid

55.38

2574383

WCP.TO

Whitecap Resources Inc.

TSE

Energy

Oil & Gas Producers

95.9

tsx

16.84

2565481

CNP

CenterPoint Energy, Inc.

NYSE

Utilities

Multiutilities

39.4

lrg

24.65

2548916

HST

Host Hotels & Resorts Inc.

NYSE

Financial

Hotel & Lodging REITs

76

lrg

22.66

2489963

AES

AES Corp.

NYSE

Utilities

Conventional Electricity

36.9

lrg

14.9

2418395

UNP

Union Pacific Corp.

NYSE

Industrial

Railroad

87.1

lrg

104.39

2357787

FL

Foot Locker, Inc.

NYSE

Cyclicals

Apparel Retailers

91

mid

51.96

2355645

CDNS

Cadence Design Systems, Inc.

NASD

Technology

Software

76.2

mid

17.39

2343936

ENB.TO

Enbridge, Inc.

TSE

Energy

Oil Pipelines

76.3

tsx

54.43

2307877

TV

Grupo Televisa S A

NYSE

Cyclicals

Entertainment

37.29

2267224

CCE

Coca Cola Enterprises, Inc.

NYSE

Consumer Staples

Soft Drinks

51.5

lrg

48.33

2252645

AMT

American Tower Corp.

NYSE

Financial

Specialty REITs

90.2

lrg

99.06

2184287

ADM

Archer Daniels Midland Co.

NYSE

Consumer Staples

Food Products

92.1

lrg

49.69

2184093

LYB

LyondellBasell Industries NV

NYSE

Materials

Commodity Chemicals

96.4

lrg

112.2

2171188

UA

Under Armour, Inc.

NYSE

Cyclicals

Clothing & Accessories

70.12

2122871

TSO

Tesoro Petroleum Corp.

NYSE

Energy

Exploration & Production

94.5

lrg

64.26

2105920

AXAS

Abraxas Petroleum Corp.

NASD

Energy

Exploration & Production

95.9

sml

5.39

2083121

IPG

Interpublic Grp Of Cos

NYSE

Cyclicals

Media Agencies

79.6

lrg

19.97

2060188

HRB

H & R Block, Inc.

NYSE

Cyclicals

Special Consumer Services

69.6

lrg

33.47

2042107

HSP

Hospira Inc.

NYSE

Health Care

Pharmaceuticals

89.6

lrg

53.92

2021967

LB

L Brands, Inc.

NYSE

Cyclicals

Apparel Retailers

88.8

lrg

62.88

2003045

CBG

CBRE Group, Inc.

NYSE

Financial

Real Estate Services

71.7

lrg

31.75

1982522

MAR

Marriott Intl Inc New

NASD

Cyclicals

Hotels

95.1

lrg

68.13

1956656

VTI

Vanguard Total Market VIPERs

NYSE

70.5

etf

102.69

1896845

IVZ

Invesco Ltd.

NYSE

Financial

Asset Managers

86

lrg

39.56

1841151

IWF

Russell 1000 Growth iShares

NYSE

77

etf

92.31

1770439

FIS

Fidelity National Information Services, Inc.

NYSE

Financial

Financial Administration

54.2

lrg

56.91

1714100

HBM.TO

HudBay Minerals Inc.

TSE

Materials

Integrated Mines

83.4

tsx

11.13

1688818

ALL

Allstate Corp.

NYSE

Financial

Property-Casualty Insurance

79

lrg

61.09

1624885

INTU

Intuit, Inc.

NASD

Technology

Software

85

lrg

85.39

1614129

VEA

Vanguard Europe Pacific ETF

NYSE

24.9

etf

41.69

1584365

LQD

iShares iBoxx Investment Grade Corporate Bond Fund

NYSE

40.5

etf

119.47

1558997

EXPE

Expedia, Inc

NASD

Cyclicals

Travel & Tourism

86.5

lrg

86.34

1552915

PBI

Pitney Bowes, Inc.

NYSE

Technology

Office Equipment

47.5

lrg

26.593

1548500

SBAC

SBA Communications Corp.

NASD

Technology

Mobile Telecommunications

108.02

1393105

IDV

iShares Dow Jones EPAC Select Dividend

NYSE

29.4

etf

38.62

1388455

MFC

Manulife Financial Corp.

NYSE

Financial

Life Insurance

45.5

lrg

19.9

1381646

ST

Sensata Technologies Holding N. V.

NYSE

Technology

Electronic Equipment

86.3

mid

49.22

1380771

SLF.TO

Sun Life Financial Services of Canada, Inc.

TSE

Financial

Insurance

52.8

tsx

40.71

1377163

BEE

Strategic Hotel & Resorts Inc.

NYSE

Financial

Hotel & Lodging REITs

86.7

sml

11.98

1343951

APD

Air Products and Chemicals, Inc.

NYSE

Materials

Commodity Chemicals

81

lrg

134.38

1341830

AEG

Aegon NV

NYSE

Financial

Life Insurance

7.84

1307515

SKM

SKTelecom Co. Ltd.

NYSE

Technology

Mobile Telecommunications

29.72

1290538

OVTI

OmniVision Technologies, Inc.

NASD

Technology

Semiconductors

98.7

sml

27.28

1263087

GOL

Gol Linhas Aereas Inteligentes SA

NYSE

Industrial

Airlines

6.23

1259162

INFY

Infosys Technologies Ltd.

NYSE

Technology

Computer Services

45.2

lrg

58.11

1256559

BMRN

BioMarin Pharmaceutical, Inc.

NASD

Health Care

Biotechnology

44

mid

69.1

1229424

KMR

Kinder Morgan Management

NYSE

Energy

Pipelines

97.8

mid

100.6

1218955

CMS

CMS Energy Corp.

NYSE

Utilities

Conventional Electricity

46

lrg

29.89

1215126

MMC

Marsh and Mclennan Co.

NYSE

Financial

Insurance Brokers

59.2

lrg

52.15

1195882

NWL

Newell Rubbermaid Inc.

NYSE

Cyclicals

Durable Household Products

69.3

lrg

33.48

1176934

NTT

Nippon Telephone & Telegraph

NYSE

Utilities

Fixed Telecommunications

82.1

lrg

33.12

1164688

FOLD

Amicus Therapeutics, Inc.

NASD

Health Care

Pharmaceuticals

4.57

1155568

XME

SPDR S&P Metals & Mining Index

NYSE

77.2

etf

43.82

1143818

TTM

Tata Motors Ltd.

NYSE

Industrial

Commercial Vehicles

46.05

1127870

CNR.TO

Canadian National Railway Co.

TSE

Industrial

Transportation

87.1

tsx

75.02

1113263

DPS

Dr. Pepper Snapple Group, Inc.

NYSE

Consumer Staples

Soft Drinks

87.9

lrg

61.14

1082522

WYN

Wyndham Worldwide Corp.

NYSE

Cyclicals

Hotels

78.6

lrg

79.19

1060739

NA.TO

National Bank of Canada

TSE

Financial

Banks

77.2

tsx

49.16

1054091

GPT

Gramercy Property Trust Inc.

NYSE

Financial

Mortgage REITs

76.7

sml

6.16

1052977

EWU

United Kingdom iShares

NYSE

16.8

etf

20.44

1052409

SHO

Sunstone Hotel Investors, Inc.

NYSE

Financial

Hotel & Lodging REITs

67.3

sml

14.71

1032832

TD

Toronto Dominion Bank

NYSE

Financial

Banks

77.8

lrg

52.32

1004096

ALA.TO

AltaGas Income Ltd.

TSE

Energy

Oil & Gas Producers

91.1

tsx

52.9

997185

PPL.TO

Pembina Pipeline Corp.

TSE

Energy

Oil Pipelines

90

tsx

48.75

989641

CMRE

Costamare Inc.

NYSE

Industrial

Marine Transportation

22.7

980079

MNDL

Mandalay Digital Group, Inc.

NASD

Cyclicals

Entertainment

5.015

978842

URI

United Rentals, Inc.

NYSE

Industrial

Business Support Services

115.41

976057

WJA.TO

WestJet Airlines Ltd.

TSE

Industrial

Transportation

85.7

tsx

29.63

960684

WM

Waste Management, Inc.

NYSE

Industrial

Waste & Disposal Services

75.6

lrg

46.33

947064

SKX

Skechers Usa, Inc.

NYSE

Cyclicals

Footwear

98.5

sml

57.16

919555

POM

Pepco Holdings Inc.

NYSE

Utilities

Conventional Electricity

93

lrg

27.18

916644

FNF

Fidelity National Financial, Inc.

NYSE

Financial

Mortgage Finance

56.6

mid

28.09

907823

MDVN

Medivation, Inc.

NASD

Health Care

Pharmaceuticals

83.4

mid

85.58

876682

VEU

Vanguard FTSE All-World ex-US

NYSE

44.7

etf

51.96

856664

VDSI

VASCO Data Security Intl, Inc.

NASD

Technology

Software

99

sml

14.79

854119

DK

Delek US Holdings, Inc.

NYSE

Energy

Exploration & Production

93.5

sml

35.03

849725

ERF.TO

Enerplus Corp.

TSE

Energy

Oil & Gas Producers

51.4

tsx

24.13

848843

VNO

Vornado Realty Trust

NYSE

Financial

Industrial & Office REITs

65.8

lrg

106.43

836317

LGF

Lions Gate Entertainment Corp.

NYSE

Cyclicals

Entertainment

64.8

mid

32.71

833645

SPR

Spirit AeroSystems Holdings Inc.

NYSE

Industrial

Aerospace

90.5

mid

36.95

823746

FCH

Felcor Lodging Trust, Inc.

NYSE

Financial

Hotel & Lodging REITs

90

sml

10.61

796288

POW.TO

Power Corp. Of Canada

TSE

Financial

Management & Diversified

43.1

tsx

31.38

795404

IBN

Icici Bank Ltd.

NYSE

Financial

Banks

99.7

lrg

53.55

793853

IMPV

Imperva Inc.

NYSE

Technology

Software

15.1

sml

29.8

793619

TRI

Thomson Reuters Corp.

NYSE

Cyclicals

Publishing

66.7

lrg

37.61

790921

LXK

Lexmark Intl, Inc.

NYSE

Technology

Computer Hardware

89.8

mid

51.1

787533

RAS

RAIT Financial Trust

NYSE

Financial

Mortgage REITs

55.5

sml

7.94

768927

WRES

Warren Resources Inc.

NASD

Energy

Exploration & Production

97.1

sml

6.21

767429

IEMG

iShares Core MSCI Emerging Markets ETF

AMEX

90.6

etf

53.91

744636

EWC

Canada iShares

NYSE

82.2

etf

32.34

736848

RGC

Regal Entertainment Group

NYSE

Cyclicals

Recreational Services

68.8

mid

20.9

722954

ENPH

Enphase Energy Inc.

NASD

99.2

sml

13.43

721086

FWLT

Foster Wheeler Corp.

NASD

Industrial

Heavy Construction

29.3

mid

32.39

720618

MEOH

Methanex Corp.

NASD

Materials

Specialty Chemicals

69.5

mid

67.75

709488

SCSS

Select Comfort Corp.

NASD

Cyclicals

Furnishings

89.9

sml

22.16

679264

SEIC

SEI Investments Co.

NASD

Financial

Asset Managers

74.2

mid

36.45

664508

RHHBY

Roche Holding Ltd.

OTCMKT

Health Care

Pharmaceuticals

29.8

lrg

36.64

654111

GXP

Great Plains Energy Inc.

NYSE

Utilities

Conventional Electricity

32.7

mid

25.54

644908

RGP

Regency Energy Partners LP

NYSE

Energy

Exploration & Production

31.29

644394

FISV

Fiserv, Inc.

NASD

Financial

Financial Administration

74.6

lrg

63.915

642107

AHT

Ashford Hospitality Trust Inc.

NYSE

Financial

Hotel & Lodging REITs

75.4

sml

11.64

626082

TSRA

Tessera Technologies Inc.

NASD

Technology

Semiconductors

98.3

sml

29.45

623703

ECL

Ecolab, Inc.

NYSE

Materials

Specialty Chemicals

74

lrg

113.82

621888

POWR

PowerSecure Intl, Inc.

NYSE

Industrial

Business Support Services

12.1

sml

11.62

619418

HIW

Highwoods Properties, Inc.

NYSE

Financial

Industrial & Office REITs

79.4

sml

42.42

615883

QGEN

Qiagen N.V.

NASD

Health Care

Biotechnology

53.3

mid

24.19

607897

LGND

Ligand Pharmaceuticals Inc.

NASD

Health Care

Biotechnology

21.3

sml

55.3

599531

TTWO

Take-Two Interactive Software, Inc.

NASD

Cyclicals

Toys

73.1

sml

22.15

591341

QLD

ProShares Ultra QQQ Fund

NYSE

125.13

587912

MG.TO

Magna Intl, Inc.

TSE

Cyclicals

Automotive

91.8

tsx

124.68

585107

AOL

AOL Inc.

NYSE

Technology

Internet

60.9

mid

43.77

583650

EW

Edwards Lifesciences Corp.

NYSE

Health Care

Medical Supplies

98.4

lrg

97.97

580853

AWK

American Water Works Co. Inc.

NYSE

Utilities

Water

75.8

mid

49.86

580506

OLED

Universal Display Corp.

NASD

Technology

Electrical Components

67.7

sml

33.32

576198

SANM

Sanmina Corp.

NASD

Technology

Electrical Components

94.6

sml

24

574435

RLGY

Realogy Holdings Corp.

NYSE

Financial

Real Estate Services

27.6

mid

40.87

568679

IPL.TO

Inter Pipeline Ltd.

TSE

93.2

tsx

36.27

567613

CNW

Con-Way Inc.

NYSE

Industrial

Trucking

92.5

mid

51.47

563984

CFP

Cornerstone Progressive Return Fund

AMEX

16.3

etf

4.61

562787

NAL.TO

Newalta Inc.

TSE

Industrial

Environmental

90.8

tsx

22

562379

MEMP

Memorial Production Partners LP

NASD

Energy

Exploration & Production

23.38

559986

FLT

FleetCor Technologies Inc.

NYSE

Financial

Financial Administration

148.6

540845

CRI

Carter Holdings Inc.

NYSE

Cyclicals

Clothing & Accessories

89.6

mid

81.91

508676

CNK

Cinemark Holdings Corp.

NYSE

Cyclicals

Recreational Services

89.4

mid

35.93

507087

VYM

Vanguard High Dividend Yield

NYSE

79

etf

66.89

500640

APH

Amphenol Corp.

NYSE

Technology

Electrical Components

84.5

lrg

102.19

489272

BURL

Burlington Stores, Inc.

NYSE

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