These stocks are at their trendline support. This is a bullish signal that means the stock should have support to hold its price at these levels and possibly bounce higher.
United Technologies Corp. (NYSE:UTX) is currently trading at $76.69. UTX is trading 2.03% above its 50 day moving average and -2.15% below its 200 day moving average. UTX is -15.42% below its 52-week high and 15.71% above its 52-week low. UTX’s PE ratio is 14.39 and their market cap is $69.49B.
United Technologies Corporation provides high technology products and services to the building systems and aerospace industries worldwide. Its segments are Otis, Carrier, UTC Fire & Security, Pratt & Whitney, Hamilton Sundstrand and Sikorsky.
Nippon Telegraph & Telephone Corp. (NYSE:NTT) is currently trading at $24.82. NTT is trading -0.95% below its 50 day moving average and 2.93% above its 200 day moving average. NTT is -5.70% below its 52-week high and 16.80% above its 52-week low. NTT’s PE ratio is 10.17 and their market cap is $65.68B.
Nippon Telegraph and Telephone Corporation is provider of telecommunications services, offering fixed and mobile voice related services, IP/packet communications services, and system integration services in Japan.
Dominion Resources Inc. (NYSE:D) is currently trading at $50.57. D is trading -1.01% below its 50 day moving average and 4.53% above its 200 day moving average. D is -5.79% below its 52-week high and 22.18% above its 52-week low. D’s PE ratio is 19.30 and their market cap is $28.81B.
Dominion Resources, Inc. is a producer and transporter of energy. It manages its daily operations through three operating segments: Dominion Virginia Power of DVP, Dominion Energy and Dominion Generation.
Motorola Solutions Inc. (NYSE:MSI) is currently trading at $47.59. MSI is trading 3.25% above its 50 day moving average and 7.29% above its 200 day moving average. MSI is -0.96% below its 52-week high and 29.73% above its 52-week low. MSI’s PE ratio is 21.15 and their market cap is $15.49B.
Motorola Solutions Inc provides technologies, products and services that make a range of mobile experiences possible. Portfolio includes wireless handsets, wireless accessories, digital entertainment devices, set-top boxes and video distribution systems.
Moody’s Corp. (NYSE:MCO) is currently trading at $36.47. MCO is trading 6.35% above its 50 day moving average and 5.62% above its 200 day moving average. MCO is -12.29% below its 52-week high and 36.66% above its 52-week low. MCO’s PE ratio is 13.81 and their market cap is $8.10B.
Moody’s Corporation is a provider of credit ratings, credit and economic related research, data and analytical tools, risk management software and quantitative credit risk measures, credit portfolio management solutions and training services.
Portugal Telecom SGPS SA (NYSE:PT) is currently trading at $5.50. PT is trading -5.85% below its 50 day moving average and -29.81% below its 200 day moving average. PT is -48.28% below its 52-week high and 4.17% above its 52-week low. PT’s PE ratio is 10.19 and their market cap is $4.93B.
Portugal Telecom SA,through its subsidiaries provides telecommunications services mainly in Portugal, Brazil and certain countries in Africa, including: wireline services, which include fixed line telephone services for residential & nonresidential custom
AU Optronics Corp. (NYSE:AUO) is currently trading at $5.12. AUO is trading 12.51% above its 50 day moving average and -8.75% below its 200 day moving average. AUO is -48.68% below its 52-week high and 36.53% above its 52-week low.
AU Optronics Corp. designs, develops, manufactures, assembles and markets flat panel displays and all of its products are TFT-LCD panels.
Cablevision Systems Corporation (NYSE:CVC) is currently trading at $14.58. CVC is trading 0.64% above its 50 day moving average and -24.65% below its 200 day moving average. CVC is -46.21% below its 52-week high and 26.02% above its 52-week low. CVC’s PE ratio is 14.58 and their market cap is $4.07B.
Cablevision Systems Corporation through its subsidiary, CSC Holdings is a cable operator in the United States based on the number of basic video subscribers.
ITC Holdings Corp. (NYSE:ITC) is currently trading at $73.01. ITC is trading -0.64% below its 50 day moving average and 1.51% above its 200 day moving average. ITC is -10.85% below its 52-week high and 15.80% above its 52-week low. ITC’s PE ratio is 22.89 and their market cap is $3.75B.
ITC Holdings Corporation is engaged in the transmission of electricity in the United States. Its business consists of the operations of its Regulated Operating Subsidiaries, ITC Transmission, METC and ITC midwest.
Assurant Inc. (NYSE:AIZ) is currently trading at $39.35. AIZ is trading 0.59% above its 50 day moving average and 7.61% above its 200 day moving average. AIZ is -6.44% below its 52-week high and 29.69% above its 52-week low. AIZ’s PE ratio is 18.56 and their market cap is $3.62B.
Assurant, Inc. is a provider of specialized insurance products and related services in North America and selected other international markets.
White Mountains Insurance Group Ltd. (NYSE:WTM) is currently trading at $450.30. WTM is trading 3.33% above its 50 day moving average and 10.43% above its 200 day moving average. WTM is -2.71% below its 52-week high and 32.82% above its 52-week low. WTM’s PE ratio is 53.48 and their market cap is $3.44B.
White Mountains Insurance Group Ltd. is a Bermuda limited liability company whose main businesses are conducted through its property and casualty insurance and reinsurance subsidiaries and affiliates.
MetroPCS Communications Inc. (NYSE:PCS) is currently trading at $8.72. PCS is trading 4.29% above its 50 day moving average and -29.27% below its 200 day moving average. PCS is -53.59% below its 52-week high and 16.11% above its 52-week low. PCS’s PE ratio is 13.84 and their market cap is $3.13B.
MetroPCS Communications, Inc. is a wireless communications provider that offers wireless broadband mobile services under the MetroPCS brand in selected major metropolitan areas in the United States.
McDermott International Inc. (NYSE:MDR) is currently trading at $12.22. MDR is trading 8.16% above its 50 day moving average and -23.17% below its 200 day moving average. MDR is -53.25% below its 52-week high and 30.84% above its 52-week low. MDR’s PE ratio is 15.47 and their market cap is $2.87B.
McDermott International, Inc. provides a number of products and services to customers in the energy and power industries, including utilities and other power generators, major and national oil companies, and the United States Government.
HSN Inc. (NASDAQ:HSNI) is currently trading at $36.68. HSNI is trading 1.25% above its 50 day moving average and 8.61% above its 200 day moving average. HSNI is -4.60% below its 52-week high and 36.29% above its 52-week low. HSNI’s PE ratio is 18.81 and their market cap is $2.17B.
HSN, Inc. is an interactive multi-channel retailer offering retail experiences on TV, online, in catalogs and in retail and outlet stores through its two operating segments, HSN and Cornerston.
Logitech International SA (NASDAQ:LOGI) is currently trading at $8.05. LOGI is trading 1.76% above its 50 day moving average and -19.86% below its 200 day moving average. LOGI is -59.97% below its 52-week high and 12.27% above its 52-week low. LOGI’s PE ratio is 25.97 and their market cap is $1.54B.
Logitech International S.A. is engaged in personal peripherals for computers and other digital platforms. It develops and markets innovative products in PC navigation, Internet communications, home-entertainment control, gaming and wireless devices.
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Post Written By: Alex Fredricks
Alex Fredricks has a degree in business and is an avid day-trader. Alex's experience and love for the game of the markets is shown not only in his posts, but the post he helps edit for other authors on our staff.
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