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These Stocks are Forming a Rising Wedge (Bearish) on Jan-7

Monday, January 7, 2013 6:01 PM

An upward wedge has formed in the following stocks.This is a bearish pattern found when the price moves higher but the trading range narrows.

Sanofi (NYSE:SNY) is currently trading at $48.05 up 0.04% in today's trading. SNY is trading 6.22% above its 50 day moving average and 19.38% above its 200 day moving average. SNY is -0.50% below its 52-week high and 45.47% above its 52-week low. SNY's PE ratio is 16.23 and their market cap is $127.44B.

Sanofi is a global healthcare Company engaged in offering solutions across areas of core historical strength and multiple growth platforms.

Lloyds Banking Group plc (NYSE:LYG) is currently trading at $3.28 up 0.92% in today's trading. LYG is trading 11.90% above its 50 day moving average and 45.06% above its 200 day moving average. LYG is 0.00% above its 52-week high and 115.79% above its 52-week low.

Lloyds Banking Group PLC provides a wide range of banking and financial services. Its main business activities are retail, commercial and corporate banking, general insurance, and life, pensions and investment provision.

General Motors Company (NYSE:GM) is currently trading at $29.66 down -0.67% in today's trading. GM's RSI is currently at 73.36 which indicates that the stock is overbought. GM is trading 15.49% above its 50 day moving average and 28.16% above its 200 day moving average. GM is -1.89% below its 52-week high and 58.44% above its 52-week low. GM's PE ratio is 11.15 and their market cap is $46.45B.

General Motors Company develops, produces and markets cars, trucks and parts worldwide. It operates through three segments: General Motors North America; General Motors Europe; and General Motors International Operations.

Prudential plc (NYSE:PUK) is currently trading at $29.53 down -0.61% in today's trading. PUK is trading 4.46% above its 50 day moving average and 17.83% above its 200 day moving average. PUK is -0.81% below its 52-week high and 56.32% above its 52-week low. PUK's PE ratio is 15.14 and their market cap is $37.76B.

Prudential PLC is an international financial services group, providing retail financial services in the markets in which it operates mainly the United Kingdom, the United States and Asia.

Koninklijke Philips Electronics NV (NYSE:PHG) is currently trading at $26.87 up 1.02% in today's trading. PHG is trading 3.88% above its 50 day moving average and 22.18% above its 200 day moving average. PHG is -1.21% below its 52-week high and 57.58% above its 52-week low. PHG's PE ratio is 26.60 and their market cap is $25.72B.

Koninklijke Philips Electronics NV is a diversified health and well-being company. The company designs, manufactures and markets electrical and electronic products. It operates in three sectors: Health care, Consumer Lifestyle and Lighting.

Thermo Fisher Scientific Inc. (NYSE:TMO) is currently trading at $65.88 up 0.78% in today's trading. TMO is trading 5.26% above its 50 day moving average and 16.24% above its 200 day moving average. TMO is 0.37% above its 52-week high and 45.64% above its 52-week low. TMO's PE ratio is 20.98 and their market cap is $23.73B.

Thermo Fisher Scientific Inc. develops, manufactures and sells a broad range of products that are sold worldwide.

Kyocera Corp. (NYSE:KYO) is currently trading at $90.50 down -1.96% in today's trading. KYO is trading -0.80% below its 50 day moving average and 3.63% above its 200 day moving average. KYO is -8.16% below its 52-week high and 16.94% above its 52-week low. KYO's PE ratio is 25.21 and their market cap is $17.31B.

Kyocera Corporation is engaged in numerous high-tech fields, from fine ceramic components to electronics devices, equipment, services and networks.It categorizes its operations into seven reporting segments.

Ingersoll-Rand Plc (NYSE:IR) is currently trading at $48.99 down -1.57% in today's trading. IR is trading 3.62% above its 50 day moving average and 12.38% above its 200 day moving average. IR is -1.82% below its 52-week high and 58.43% above its 52-week low. IR's PE ratio is 14.80 and their market cap is $14.75B.

Ingersoll-Rand PLC provides products, services and solutions to enhance the quality and comfort of air in homes and buildings, transport and protect food and perishables, secure homes and commercial properties, and increase industrial productivity.

HCA Holdings Inc. (NYSE:HCA) is currently trading at $32.32 up 1.19% in today's trading. HCA is trading 8.32% above its 50 day moving average and 26.68% above its 200 day moving average. HCA is 0.00% above its 52-week high and 98.37% above its 52-week low. HCA's PE ratio is 4.58 and their market cap is $14.27B.

Mattel Inc. (NYSE:MAT) is currently trading at $36.02 down -1.18% in today's trading. MAT is trading -1.26% below its 50 day moving average and 5.87% above its 200 day moving average. MAT is -5.04% below its 52-week high and 33.90% above its 52-week low. MAT's PE ratio is 14.95 and their market cap is $12.36B.

Mattel, Inc. designs, manufactures, and markets a variety of toy products worldwide through sales to its customers and directly to consumers.

SK Telecom Co. Ltd. (NYSE:SKM) is currently trading at $16.18 up 1.19% in today's trading. SKM is trading 3.09% above its 50 day moving average and 15.25% above its 200 day moving average. SKM is -1.94% below its 52-week high and 49.12% above its 52-week low. SKM's PE ratio is 7.39 and their market cap is $11.76B.

SK Telecom Co., Ltd. was founded in 1984 as a mobile phone company then, became a subsidiary of SK Group in 1997. The company ranked #1 for KCSI for 10 years and was nominated as a Korea's Innovation leader in .

Roper Industries Inc. (NYSE:ROP) is currently trading at $115.04 down -0.42% in today's trading. ROP is trading 4.31% above its 50 day moving average and 11.07% above its 200 day moving average. ROP is -0.72% below its 52-week high and 33.46% above its 52-week low. ROP's PE ratio is 24.74 and their market cap is $11.31B.

Roper Industries, Inc. designs, manufactures and distributes energy systems and controls, scientific and industrial imaging products and software, industrial technology products and radio frequency products and services.

CEMEX S.A.B. de C.V. (NYSE:CX) is currently trading at $10.44 up 0.87% in today's trading. CX's RSI is currently at 75.76 which indicates that the stock is overbought. CX is trading 13.38% above its 50 day moving average and 36.63% above its 200 day moving average. CX is -1.14% below its 52-week high and 111.34% above its 52-week low.

CEMEX, S.A.B. de C.V. is a global cement manufacturer with operations in North America, Europe, South America, Central America, the Caribbean, Africa, the Middle East and Asia.

Cabot Oil & Gas Corporation (NYSE:COG) is currently trading at $49.71 down -0.80% in today's trading. COG is trading 3.39% above its 50 day moving average and 22.30% above its 200 day moving average. COG is -2.87% below its 52-week high and 72.60% above its 52-week low. COG's PE ratio is 88.77 and their market cap is $10.45B.

Cabot Oil & Gas Corporation is an independent oil and gas company engaged in the development, exploitation and exploration of oil and gas properties located in North America.

CH Robinson Worldwide Inc. (NASDAQ:CHRW) is currently trading at $63.15 up 0.17% in today's trading. CHRW is trading 3.10% above its 50 day moving average and 6.62% above its 200 day moving average. CHRW is -7.65% below its 52-week high and 25.73% above its 52-week low. CHRW's PE ratio is 22.96 and their market cap is $10.18B.

CH Robinson Worldwide, Inc. is a third party logistics company, which provides freight transportation services and logistics solutions to companies of all sizes, in a variety of industries.

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