2014-09-11

September 10 2014 Stocks Hitting New 52-Week Highs

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Algorithm-Based Scans

Symbol

Name

Exchange

Sector

Industry

SCTR

Universe

Close

Volume

CMCSA

Comcast Corp.

NASD

Cyclicals

Entertainment

82.9

lrg

56.91

13539018

AVNR

Avanir Pharmaceuticals

NASD

Health Care

Pharmaceuticals

98.9

sml

6.785

11119718

ATVI

Activision Blizzard Inc.

NASD

Cyclicals

Toys

23.81

9605546

PANW

Palo Alto Networks Inc.

NYSE

Technology

Telecom Equipment

97.6

mid

98.75

8552663

MO

Altria Group Inc.

NYSE

Consumer Staples

Tobacco

89.4

lrg

43.34

8381799

LUV

Southwest Airlines Co.

NYSE

Industrial

Airlines

99.6

lrg

33.62

8362016

MDT

Medtronic, Inc.

NYSE

Health Care

Medical Equipment

78.7

lrg

65.97

7495683

HUN

Huntsman Corp.

NYSE

Materials

Commodity Chemicals

88.7

mid

28.71

7117455

XLV

Health Care Select Sector SPDR

NYSE

94

etf

64.46

7039628

SCHW

Charles Schwab Corp.

NYSE

Financial

Investment Services

79.8

lrg

29.31

6956066

PG

Procter & Gamble Co.

NYSE

Consumer Staples

Nondurable Home Products

53.4

lrg

83.64

6715314

BRCM

Broadcom Corp.

NASD

Technology

Semiconductors

96.9

lrg

40.62

6672031

DXJ

Wisdom Tree Japan Hedged Equity

NYSE

92.9

etf

51.59

4423993

NKE

Nike Inc.

NYSE

Cyclicals

Footwear

70.1

lrg

82.47

3371191

XPO

Express-1 Expedited Solutions, Inc.

NYSE

Industrial

Transportation Services

92.2

sml

34.45

3286318

ITMN

InterMune Pharmaceuticals, Inc.

NASD

Health Care

Biotechnology

99.7

sml

73.74

2616389

VC

Visteon Corp.

NYSE

Cyclicals

Auto Parts

93.5

mid

107.49

2228137

MHFI

McGraw Hill Financial, Inc.

NYSE

Cyclicals

Publishing

76.3

lrg

85.25

2087485

AINV

Apollo Investment Corp.

NASD

Financial

Specialty Finance

60.8

mid

8.79

2056575

ADM

Archer Daniels Midland Co.

NYSE

Consumer Staples

Food Products

89.1

lrg

50.67

1878080

IRF

International Rectifier

NYSE

Technology

Semiconductors

99

sml

39.65

1805487

SNY

Sanofi SA

NYSE

Health Care

Pharmaceuticals

78

lrg

55.84

1749181

LRCX

Lam Research Corp.

NASD

Technology

Semiconductors

95.4

lrg

71.98

1697628

RCPT

Receptos, Inc.

NASD

Health Care

Biotechnology

97.9

sml

58.28

1670733

CMCSK

Comcast Corp.

NASD

Cyclicals

Entertainment

56.62

1506447

TWC

Time Warner Cable Inc.

NYSE

Cyclicals

Entertainment

81.4

lrg

153.51

1485516

UTHR

United Therapeutics Corp.

NASD

Health Care

Biotechnology

97.9

mid

121.88

1407387

CAH

Cardinal Health, Inc.

NYSE

Consumer Staples

Drug Retailers

70.8

lrg

75.48

1328660

WM

Waste Management, Inc.

NYSE

Industrial

Waste & Disposal Services

85.3

lrg

47.3

1282751

GD

General Dynamics Corp.

NYSE

Industrial

Defense

91.5

lrg

127.42

1202989

PRXL

PAREXEL Intl Corp.

NASD

Health Care

Health Care Providers

85.5

sml

60.1

1193024

NOC

Northrop Grumman Corp.

NYSE

Industrial

Defense

74.7

lrg

129.99

1143127

ENPH

Enphase Energy Inc.

NASD

99.5

sml

16.29

996439

VDSI

VASCO Data Security Intl, Inc.

NASD

Technology

Software

99.5

sml

17.54

993481

MDVN

Medivation, Inc.

NASD

Health Care

Pharmaceuticals

98.2

mid

96.89

970107

CMRX

Chimerix, Inc.

NASD

Health Care

Pharmaceuticals

96.9

sml

30.03

965094

EW

Edwards Lifesciences Corp.

NYSE

Health Care

Medical Supplies

97.8

lrg

100.51

781278

DECK

Deckers Outdoor Corp.

NYSE

Cyclicals

Footwear

92.9

mid

97.13

710018

WOOF

VCA Antech, Inc.

NASD

Cyclicals

Special Consumer Services

93.2

mid

41.81

703909

ARPI

American Residential Properties Inc.

NYSE

Financial

Real Estate Development

76.6

sml

19.39

686299

APL

Atlas Pipeline Partners, L.P.

NYSE

Energy

Pipelines

87.6

mid

37.53

680623

TFSL

TFS Financial Corp.

NASD

Financial

Banks

83

mid

14.49

654193

MCO

Moody's Corp.

NYSE

Financial

Specialty Finance

91.7

lrg

95.69

640605

RGS

Regis Corp.

NYSE

Cyclicals

Special Consumer Services

94.1

sml

17.31

639157

HAIN

Hain Celestial Group, Inc.

NASD

Consumer Staples

Food Products

86.2

mid

102.18

633981

SAIC

Science Applications International Corp.

NYSE

Technology

Computer Services

95.6

sml

47.11

628099

ICLR

ICON PLC

NASD

Health Care

Health Care Providers

89.2

mid

55.39

590116

MTB

M&T Bank Corp.

NYSE

Financial

Banks

57.7

lrg

125.03

533966

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