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Top Gainers in Pre-market Today, Feb-12

Tuesday, February 12, 2013 9:03 AM

These are the stocks gaining the most in pre-market trading on, Tuesday, February 12, 2013.

Be sure to check out our Pre Market section of TheStockMarketWatch.

Apple Inc. (NASDAQ:AAPL) is currently trading at $1.99 up 21.0% in pre-market on 1200 shares traded. AAPL is trading -5.76% below its 50 day moving average and -16.97% below its 200 day moving average. AAPL is -31.22% below its 52-week high and 10.97% above its 52-week low. AAPL's PE ratio is 10.88 and their market cap is $450.68B.

Apple Inc designs, manufactures, and markets personal computers, mobile communication devices, and portable digital music and video players and sells a variety of related software, services, peripherals, and networking solutions.

Michael Kors Holdings Ltd. (NYSE:KORS) is currently trading at $63.5 up 11.4% in pre-market on 307920 shares traded. KORS is trading 6.85% above its 50 day moving average and 17.41% above its 200 day moving average. KORS is -5.00% below its 52-week high and 72.62% above its 52-week low. KORS's PE ratio is 45.24 and their market cap is $11.39B.

Michael Kors Holdings Ltd is a designs, markets and distributes women's apparel and accessories and men's apparel. It operates in three business segments namely retail, wholesale and licensing.

Barclays PLC (NYSE:BCS) is currently trading at $4.32 up 8.3% in pre-market on 5100 shares traded. BCS is trading 6.44% above its 50 day moving average and 35.05% above its 200 day moving average. BCS is -2.54% below its 52-week high and 105.99% above its 52-week low. BCS's PE ratio is 23.25 and their market cap is $57.64B.

Barclays PLC is a global financial services provider engaged in retail banking, credit cards, corporate and investment banking, and wealth management with an extensive international presence.

Gran Tierra Energy Inc. (NYSE:GTE) is currently trading at $5.9 up 7.9% in pre-market on 1080 shares traded. GTE is trading -1.03% below its 50 day moving average and 6.00% above its 200 day moving average. GTE is -17.74% below its 52-week high and 36.75% above its 52-week low. GTE's PE ratio is 17.65 and their market cap is $1.47B.

Gran Tierra Energy, Inc. is an independent international energy company engaged in oil and gas acquisition, exploration, development and production.

Barclays PLC (NYSE:BCS) is currently trading at $20 up 6.2% in pre-market on 18420 shares traded. BCS is trading 6.44% above its 50 day moving average and 35.05% above its 200 day moving average. BCS is -2.54% below its 52-week high and 105.99% above its 52-week low. BCS's PE ratio is 23.25 and their market cap is $57.64B.

Barclays PLC is a global financial services provider engaged in retail banking, credit cards, corporate and investment banking, and wealth management with an extensive international presence.

Athersys Inc. (NASDAQ:ATHX) is currently trading at $1.88 up 5.0% in pre-market on 5000 shares traded. ATHX's RSI is currently at 79.92 which indicates that the stock is overbought. ATHX is trading 48.62% above its 50 day moving average and 34.09% above its 200 day moving average. ATHX is -16.36% below its 52-week high and 88.42% above its 52-week low.

Athersys Inc. is a biopharmaceutical company that is focused in the field of regenerative medicine. It is engaged in the discovery and development of best-in-class therapies designed to extend and enhance the quality of human life.

Celsion Corp. (NASDAQ:CLSN) is currently trading at $1.6 up 3.9% in pre-market on 20540 shares traded. CLSN's RSI is currently at 24.63 which indicates that the stock is oversold. CLSN is trading -78.01% below its 50 day moving average and -66.38% below its 200 day moving average. CLSN is -83.69% below its 52-week high and 36.28% above its 52-week low.

Celsion Corporation is an innovative oncology drug development company focused on the development of treatments for those suffering with difficult to treat forms of cancer.

Fossil Inc. (NASDAQ:FOSL) is currently trading at $111.5 up 3.8% in pre-market on 76770 shares traded. FOSL is trading 11.03% above its 50 day moving average and 23.97% above its 200 day moving average. FOSL is -22.80% below its 52-week high and 71.20% above its 52-week low. FOSL's PE ratio is 21.58 and their market cap is $6.45B.

Fossil, Inc.is a global design, marketing and distribution company that specializes in consumer fashion accessories.

Gilat Satellite Networks Ltd. (NASDAQ:GILT) is currently trading at $5.62 up 3.7% in pre-market on 6000 shares traded. GILT is trading 2.41% above its 50 day moving average and 33.42% above its 200 day moving average. GILT is -4.07% below its 52-week high and 134.63% above its 52-week low.

Gilat Satellite Networks, Ltd. provides satellite communications products & services. It design & manufacture satellite ground segment & networking communications equipment. Its products include VSAT, Defense and security satcom systems, among others.

Lloyds Banking Group plc (NYSE:LYG) is currently trading at $3.4 up 3.3% in pre-market on 20000 shares traded. LYG is trading 2.45% above its 50 day moving average and 35.94% above its 200 day moving average. LYG is -8.36% below its 52-week high and 116.45% 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.

Central European Distribution Corp. (NASDAQ:CEDC) is currently trading at $1.65 up 2.5% in pre-market on 13000 shares traded. CEDC is trading -15.02% below its 50 day moving average and -42.57% below its 200 day moving average. CEDC is -74.76% below its 52-week high and 10.27% above its 52-week low.

Central European Distribution Corp is engaged in integrated spirit beverages business in Central and Eastern Europe with its main operations in Poland and Russia.

Huntsman Corporation (NYSE:HUN) is currently trading at $19.42 up 1.8% in pre-market on 1100 shares traded. HUN's RSI is currently at 71.25 which indicates that the stock is overbought. HUN is trading 11.99% above its 50 day moving average and 29.08% above its 200 day moving average. HUN is 0.00% above its 52-week high and 75.84% above its 52-week low. HUN's PE ratio is 9.04 and their market cap is $4.56B.

Huntsman Corporation is a manufacturer of differentiated organic chemical products and of inorganic chemical products. It markets various products and formulations to a diversified group of consumer and industrial customers.

Novo Nordisk A/S (NYSE:NVO) is currently trading at $168.2 up 1.7% in pre-market on 16920 shares traded. NVO is trading -3.29% below its 50 day moving average and 5.90% above its 200 day moving average. NVO is -14.94% below its 52-week high and 27.81% above its 52-week low. NVO's PE ratio is 23.73 and their market cap is $74.85B.

Novo-Nordisk A/S is a healthcare company engaged in the discovery, development, manufacturing and marketing of pharmaceutical products. The company operates in two business segments, diabetes care and biopharmaceuticals.

Nokia Corporation (NYSE:NOK) is currently trading at $4.19 up 1.0% in pre-market on 4200 shares traded. NOK is trading 2.79% above its 50 day moving average and 37.90% above its 200 day moving average. NOK is -23.64% below its 52-week high and 154.60% above its 52-week low.

Nokia Oyj is a manufacturer of mobile devices, which makes a range of devices for all major consumer segments and offers Internet services that enable people to experience music, maps, media, messaging and games.

Huntsman Corporation (NYSE:HUN) is currently trading at $3.7 up 0.8% in pre-market on 57080 shares traded. HUN's RSI is currently at 71.25 which indicates that the stock is overbought. HUN is trading 11.99% above its 50 day moving average and 29.08% above its 200 day moving average. HUN is 0.00% above its 52-week high and 75.84% above its 52-week low. HUN's PE ratio is 9.04 and their market cap is $4.56B.

Huntsman Corporation is a manufacturer of differentiated organic chemical products and of inorganic chemical products. It markets various products and formulations to a diversified group of consumer and industrial customers.

Michael Kors Holdings Ltd. (NYSE:KORS) is currently trading at $104.05 up 0.7% in pre-market on 1600 shares traded. KORS is trading 6.85% above its 50 day moving average and 17.41% above its 200 day moving average. KORS is -5.00% below its 52-week high and 72.62% above its 52-week low. KORS's PE ratio is 45.24 and their market cap is $11.39B.

Michael Kors Holdings Ltd is a designs, markets and distributes women's apparel and accessories and men's apparel. It operates in three business segments namely retail, wholesale and licensing.

First Solar Inc. (NASDAQ:FSLR) is currently trading at $32.59 up 0.7% in pre-market on 2500 shares traded. FSLR is trading 6.04% above its 50 day moving average and 47.80% above its 200 day moving average. FSLR is -35.54% below its 52-week high and 183.11% above its 52-week low.

First Solar, Inc. designs, manufactures and sells solar electric power modules using a proprietary thin film semiconductor technology. Its business includes project development, engineering, procurement & construction, operating and maintenance services.

SAP AG (NYSE:SAP) is currently trading at $79.8 up 0.7% in pre-market on 33800 shares traded. SAP is trading -0.94% below its 50 day moving average and 15.30% above its 200 day moving average. SAP is -5.26% below its 52-week high and 44.65% above its 52-week low. SAP's PE ratio is 25.00 and their market cap is $97.35B.

SAP AG is engaged in selling licenses for software solutions and related support services. In addition, it offers consulting, training and other services for its software solutions.

BT Group plc (NYSE:BT) is currently trading at $42.16 up 0.7% in pre-market on 1700 shares traded. BT is trading 7.87% above its 50 day moving average and 19.76% above its 200 day moving average. BT is -1.90% below its 52-week high and 40.72% above its 52-week low. BT's PE ratio is 10.19 and their market cap is $32.98B.

BT Group PLC is a provider of communications services companies, serving the needs of customers in the UK and in more than 170 countries worldwide.

Carnival Corporation (NYSE:CCL) is currently trading at $38.94 up 0.6% in pre-market on 16500 shares traded. CCL is trading 2.01% above its 50 day moving average and 9.64% above its 200 day moving average. CCL is -3.08% below its 52-week high and 35.73% above its 52-week low. CCL's PE ratio is 23.19 and their market cap is $30.01B.

Carnival Corporation is a cruise company and a vacation company, which has a portfolio of recognized cruise brands and a provider of cruises to all main vacation destinations.

PowerShares QQQ (NASDAQ:QQQ) is currently trading at $22.71 up 0.5% in pre-market on 53330 shares traded. QQQ is trading 2.80% above its 50 day moving average and 4.31% above its 200 day moving average. QQQ is -3.05% below its 52-week high and 14.50% above its 52-week low.

The investment seeks investment results that generally correspond to the price and yield performance of the index. To maintain the correspondence between the composition and weights of the securities in the trust (the "securities") and the stocks in the Na

NetApp Inc. (NASDAQ:NTAP) is currently trading at $35.5 up 0.4% in pre-market on 2000 shares traded. NTAP is trading 4.08% above its 50 day moving average and 8.69% above its 200 day moving average. NTAP is -24.44% below its 52-week high and 34.65% above its 52-week low. NTAP's PE ratio is 28.06 and their market cap is $12.67B.

NetApp, Inc. is a supplier of enterprise storage and data management software and hardware products and services.

Be sure to check out our Pre Market section of TheStockMarketWatch.

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