I got an email today stating the stock INUV is the next "BIG" stock.
I have been watching it. Right now it is $0.340 per stock with +0.100 (41.94%).
The stock is rising. Hurry and invest today!
Showing posts with label picks penny stocks pick screener list portfolio google. Show all posts
Showing posts with label picks penny stocks pick screener list portfolio google. Show all posts
Wednesday, October 21, 2009
Friday, October 9, 2009
Stock Picks
I tell ya, I love Google. I have been using Google stock screener and with their personal portfolio I have created two of them. One of them I have titled as Watch List. In the Watch List portfolio, I have placed certain stock using the stock screener, and have been watching them for a few days. After I have watched them in the watch list, if the stock does great then through strick certain criteria I buy them. The second portfolio is titled Penny Stocks. This list of stocks are the stocks I have purchased and are currently investing.
A few stocks I have been watching that I would like to share with you are: (As of 10/09/09 @ 1646)
Range 0.86 - 0.90
52 week 0.22 - 0.95
Open 0.86
Vol / Avg. 3,000.00/4,000.00
Mkt cap 17.22M
P/E 46.24
Div/yield -
EPS 0.02
Shares 19.14M
Beta 0.59
I hope this helps. I will post some more when I discover them.
A few stocks I have been watching that I would like to share with you are: (As of 10/09/09 @ 1646)
Metabasis Therapeutics, Inc. (Public, NASDAQ:MBRX)
0.720
+0.205 (39.81%)
- Range 0.58 - 0.86
- 52 week 0.21 - 1.29
- Open 0.60
- Vol / Avg. 6.39M/330,000.00
- Mkt cap 25.31M
- P/E -
- Div/yield -
- EPS -0.71
- Shares 35.16M
- Beta 1.00
Key stats and ratios
| Q2 (Jun '09) | 2008 | |
| Net profit margin | 31.51% | -879.71% |
| Operating margin | 35.10% | -879.36% |
| EBITD margin | - | -835.70% |
| Return on average assets | 90.14% | -108.69% |
| Return on average equity | - | -238.51% |
| Employees | 52 | - |
WidePoint Corporation (Public, AMEX:WYY)
0.750
+0.049 (6.93%)
- Range 0.70 - 0.76
- 52 week 0.10 - 0.76
- Open 0.70
- Vol / Avg. 94,635.00/143,000.00
- Mkt cap 45.51M
Key stats and ratios
| Q2 (Jun '09) | 2008 | |
| Net profit margin | 2.42% | -3.08% |
| Operating margin | 3.07% | -2.05% |
| EBITD margin | - | 0.63% |
| Return on average assets | 4.52% | -6.26% |
| Return on average equity | 7.73% | -10.82% |
| Employees | 81 | - |
SPAR Group, Inc. (Public, NASDAQ:SGRP)
0.900
+0.040 (4.64%)
Range 0.86 - 0.90
52 week 0.22 - 0.95
Open 0.86
Vol / Avg. 3,000.00/4,000.00
Mkt cap 17.22M
P/E 46.24
Div/yield -
EPS 0.02
Shares 19.14M
Beta 0.59
I hope this helps. I will post some more when I discover them.
Subscribe to:
Posts (Atom)