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CVX
2018-12-30_2019-01-02
2019-01-02
82.301765
83.469131
BUY
<|im_start|>user You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: 3 Top Oil Stocks to Buy Right Now Article Text: Here's why they picked frack sand supplier U.S. Silica Holdings (NYSE: SLCA) , oil giant Chevron (NYSE: CVX) , and services specialist Core Laboratories (NYSE: CLB) . SLCA data by YCharts When oil bounces back, this oil stock could grow faster than most Rich Smith(Chevron): According to energy analysts at Citigroup , oil prices that recently plumbed 17-month lows -- with WTI crude costing as little as $46 a barrel -- are expected to surge by nearly a third over the next 12 months and average $60 a barrel. That means right now is the time to start looking at getting back into oil stocks again -- and perhaps Chevron stock in particular.Closing Price on the final date - 83.47<|im_end|> <|im_start|>assistant BUY<|im_end|> <|im_start|>assistant
You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: 3 Top Oil Stocks to Buy Right Now Article Text: Here's why they picked frack sand supplier U.S. Silica Holdings (NYSE: SLCA) , oil giant Chevron (NYSE: CVX) , and services specialist Core Laboratories (NYSE: CLB) . SLCA data by YCharts When oil bounces back, this oil stock could grow faster than most Rich Smith(Chevron): According to energy analysts at Citigroup , oil prices that recently plumbed 17-month lows -- with WTI crude costing as little as $46 a barrel -- are expected to surge by nearly a third over the next 12 months and average $60 a barrel. That means right now is the time to start looking at getting back into oil stocks again -- and perhaps Chevron stock in particular.Closing Price on the final date - 83.47
MS
2018-12-30_2019-01-02
2019-01-02
32.689907
33.749901
BUY
<|im_start|>user You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: Will UPS and FedEx Rate Hikes Doom Free Shipping? Article Text: The free shipping that consumers have come to expect when ordering online could be jeopardized by the latest rate hikes imposed by UPS (NYSE: UPS) and FedEx (NYSE: FDX) . Although UPS has couched the rate hikes as a way to improve customer service, John Haber, the CEO of supply chain consultancy Spend Management Experts, says the "rate increases are massive and are going to negatively impact shippers of all sizes." The Amazon effect The impact of the rate increases on Amazon, while not negligible, is more easily borne because it has over 100 million customers paying $119 a year for a Prime membership to get "free shipping."Closing Price on the final date - 33.75<|im_end|> <|im_start|>assistant BUY<|im_end|> <|im_start|>assistant
You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: Will UPS and FedEx Rate Hikes Doom Free Shipping? Article Text: The free shipping that consumers have come to expect when ordering online could be jeopardized by the latest rate hikes imposed by UPS (NYSE: UPS) and FedEx (NYSE: FDX) . Although UPS has couched the rate hikes as a way to improve customer service, John Haber, the CEO of supply chain consultancy Spend Management Experts, says the "rate increases are massive and are going to negatively impact shippers of all sizes." The Amazon effect The impact of the rate increases on Amazon, while not negligible, is more easily borne because it has over 100 million customers paying $119 a year for a Prime membership to get "free shipping."Closing Price on the final date - 33.75
T
2018-12-30_2019-01-02
2019-01-02
13.464252
14.079577
BUY
<|im_start|>user You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: Better Buy: AT&T vs. Verizon Article Text: VZ Year to Date Price Returns (Daily) data by YCharts Dividends and dividend safety Of course, many investors buy these stocks for stability and dividends. That being said, AT&T's payout ratio, or the amount of net income the company pays out as dividends, is also a bit higher than Verizon's, meaning Verizon's dividend is safer for now given the earnings the company makes. * David and Tom just revealed what they believe are the 10 best stocks for investors to buy right now... and Verizon Communications wasn't one of them!Closing Price on the final date - 14.08<|im_end|> <|im_start|>assistant BUY<|im_end|> <|im_start|>assistant
You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: Better Buy: AT&T vs. Verizon Article Text: VZ Year to Date Price Returns (Daily) data by YCharts Dividends and dividend safety Of course, many investors buy these stocks for stability and dividends. That being said, AT&T's payout ratio, or the amount of net income the company pays out as dividends, is also a bit higher than Verizon's, meaning Verizon's dividend is safer for now given the earnings the company makes. * David and Tom just revealed what they believe are the 10 best stocks for investors to buy right now... and Verizon Communications wasn't one of them!Closing Price on the final date - 14.08
TXN
2018-12-30_2019-01-02
2019-01-02
78.118309
78.159668
HOLD
<|im_start|>user You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: This Dividend-Paying Tech Stock Could Get Stronger in 2019 Article Text: However, Analog Devices (NASDAQ: ADI) has weathered the chip industry slowdown, with its stock flat so far this year, which showcases its resilience in the face of the broad market weakness. But it won't be surprising if Analog breaks out in the new year, as it is going after markets with a lot of growth potential, and also pays a nice dividend that it has been raising consistently for the past 14 years. So investors looking for a nice dividend-paying tech stock that will help them take advantage of secular growth trends in the semiconductor industry should definitely take a look at Analog Devices.Closing Price on the final date - 78.16<|im_end|> <|im_start|>assistant HOLD<|im_end|> <|im_start|>assistant
You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: This Dividend-Paying Tech Stock Could Get Stronger in 2019 Article Text: However, Analog Devices (NASDAQ: ADI) has weathered the chip industry slowdown, with its stock flat so far this year, which showcases its resilience in the face of the broad market weakness. But it won't be surprising if Analog breaks out in the new year, as it is going after markets with a lot of growth potential, and also pays a nice dividend that it has been raising consistently for the past 14 years. So investors looking for a nice dividend-paying tech stock that will help them take advantage of secular growth trends in the semiconductor industry should definitely take a look at Analog Devices.Closing Price on the final date - 78.16
NEE
2018-12-30_2019-01-02
2019-01-02
35.984291
36.503422
BUY
<|im_start|>user You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: 3 Stocks to Build Your Portfolio Around Article Text: Here's why they chose NextEra Energy (NYSE: NEE) , Pfizer (NYSE: PFE) , and Disney (NYSE: DIS) . A utility that's thumping the average market return Maxx Chatsko (NextEra Energy) : Few stocks have eclipsed the 1,480% total return (share performance plus dividends) of NextEra Energy shares since the turn of the century. Fill-up on this pharmaceutical stock Todd Campbell (Pfizer): Slow-growing pharmaceutical stocks such as Pfizer haven't been as enticing as fast-growing biotech stocks over the past few years. Article Title: NextEra Energy Completes Acquisition Of Gulf Power From Southern Article Text: (RTTNews.com) - Southern Company (SO) announced it completed the sale of Gulf Power Company to NextEra Energy. This marks the completion of the sales of Gulf Power, Florida City Gas and the entities holding Southern Power's interests in Plant Oleander and Plant Stanton. Read the original article on RTTNews (http://www.rttnews.com/2966109/nextera-energy-completes-acquisition-of-gulf-power-from-southern.aspx) For comments and feedback: contact editorial@rttnews.com The views and opinions expressed herein are the views and opinions of the author and do not necessarily reflect those of Nasdaq, Inc.Closing Price on the final date - 36.50<|im_end|> <|im_start|>assistant BUY<|im_end|> <|im_start|>assistant
You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: 3 Stocks to Build Your Portfolio Around Article Text: Here's why they chose NextEra Energy (NYSE: NEE) , Pfizer (NYSE: PFE) , and Disney (NYSE: DIS) . A utility that's thumping the average market return Maxx Chatsko (NextEra Energy) : Few stocks have eclipsed the 1,480% total return (share performance plus dividends) of NextEra Energy shares since the turn of the century. Fill-up on this pharmaceutical stock Todd Campbell (Pfizer): Slow-growing pharmaceutical stocks such as Pfizer haven't been as enticing as fast-growing biotech stocks over the past few years. Article Title: NextEra Energy Completes Acquisition Of Gulf Power From Southern Article Text: (RTTNews.com) - Southern Company (SO) announced it completed the sale of Gulf Power Company to NextEra Energy. This marks the completion of the sales of Gulf Power, Florida City Gas and the entities holding Southern Power's interests in Plant Oleander and Plant Stanton. Read the original article on RTTNews (http://www.rttnews.com/2966109/nextera-energy-completes-acquisition-of-gulf-power-from-southern.aspx) For comments and feedback: contact editorial@rttnews.com The views and opinions expressed herein are the views and opinions of the author and do not necessarily reflect those of Nasdaq, Inc.Closing Price on the final date - 36.50
UPS
2018-12-30_2019-01-02
2019-01-02
75.224083
75.37886
BUY
<|im_start|>user You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: Will UPS and FedEx Rate Hikes Doom Free Shipping? Article Text: The free shipping that consumers have come to expect when ordering online could be jeopardized by the latest rate hikes imposed by UPS (NYSE: UPS) and FedEx (NYSE: FDX) . Although UPS has couched the rate hikes as a way to improve customer service, John Haber, the CEO of supply chain consultancy Spend Management Experts, says the "rate increases are massive and are going to negatively impact shippers of all sizes." An expensive benefit UPS gave shippers less than a month's notice that it was raising rates on the day after Christmas, while FedEx rates will go up starting Jan. 7.Closing Price on the final date - 75.38<|im_end|> <|im_start|>assistant BUY<|im_end|> <|im_start|>assistant
You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: Will UPS and FedEx Rate Hikes Doom Free Shipping? Article Text: The free shipping that consumers have come to expect when ordering online could be jeopardized by the latest rate hikes imposed by UPS (NYSE: UPS) and FedEx (NYSE: FDX) . Although UPS has couched the rate hikes as a way to improve customer service, John Haber, the CEO of supply chain consultancy Spend Management Experts, says the "rate increases are massive and are going to negatively impact shippers of all sizes." An expensive benefit UPS gave shippers less than a month's notice that it was raising rates on the day after Christmas, while FedEx rates will go up starting Jan. 7.Closing Price on the final date - 75.38
MS
2019-01-02_2019-01-05
2019-01-05
33.418148
33.774174
BUY
<|im_start|>user You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: MS February 22nd Options Begin Trading Article Text: Below is a chart showing MS's trailing twelve month trading history, with the $40.00 strike highlighted in red: Considering the fact that the $40.00 strike represents an approximate 1% premium to the current trading price of the stock (in other words it is out-of-the-money by that percentage), there is also the possibility that the covered call contract would expire worthless, in which case the investor would keep both their shares of stock and the premium collected. Investors in Morgan Stanley (Symbol: MS) saw new options begin trading today, for the February 22nd expiration. At Stock Options Channel , our YieldBoost formula has looked up and down the MS options chain for the new February 22nd contracts and identified one put and one call contract of particular interest. Article Title: Analysts Forecast 32% Gains Ahead For RYF Article Text: Below is a twelve month price history chart comparing the stock performance of MS, ETFC, and SCHW: Below is a summary table of the current analyst target prices discussed above: Are analysts justified in these targets, or overly optimistic about where these stocks will be trading 12 months from now? Three of RYF's underlying holdings with notable upside to their analyst target prices are Morgan Stanley (Symbol: MS), E*TRADE Financial Corp. (Symbol: ETFC), and Schwab (Charles) Corp (Symbol: SCHW). Although MS has traded at a recent price of $40.40/share, the average analyst target is 48.51% higher at $60.00/share. Article Title: Carlyle Group Concludes Majority Stake Buyout in Sedgwick Article Text: Click to get this free report Bank of America Corporation (BAC): Free Stock Analysis Report Morgan Stanley (MS): Free Stock Analysis Report The Carlyle Group L.P. (CG): Free Stock Analysis Report Diamondback Energy, Inc. (FANG): Free Stock Analysis Report To read this article on Zacks.com click here. Further, Bank of America's BAC Merrill Lynch, Morgan Stanley MS and KKR Capital Markets are among the joint lead arrangers and joint bookrunners for the debt financing of this transaction. Lately, Carlyle Group seems to be focused on driving growth through inorganic strategies. Article Title: First Republic (FRC) Announces Offering of 4M Common Shares Article Text: Click to get this free report JPMorgan Chase & Co. (JPM): Free Stock Analysis Report First Republic Bank (FRC): Free Stock Analysis Report Bank of Marin Bancorp (BMRC): Free Stock Analysis Report Morgan Stanley (MS): Free Stock Analysis Report To read this article on Zacks.com click here. Notably, it aims to utilize the capital raised by this offering for funding loans or purchasing investment securities for its portfolio. First Republic has entered into a distribution agreement with Keefe, Bruyette & Woods, a Stifel Company, BofA Merrill Lynch, J.P. Morgan JPM and Morgan Stanley MS .Closing Price on the final date - 33.77<|im_end|> <|im_start|>assistant BUY<|im_end|> <|im_start|>assistant
You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: MS February 22nd Options Begin Trading Article Text: Below is a chart showing MS's trailing twelve month trading history, with the $40.00 strike highlighted in red: Considering the fact that the $40.00 strike represents an approximate 1% premium to the current trading price of the stock (in other words it is out-of-the-money by that percentage), there is also the possibility that the covered call contract would expire worthless, in which case the investor would keep both their shares of stock and the premium collected. Investors in Morgan Stanley (Symbol: MS) saw new options begin trading today, for the February 22nd expiration. At Stock Options Channel , our YieldBoost formula has looked up and down the MS options chain for the new February 22nd contracts and identified one put and one call contract of particular interest. Article Title: Analysts Forecast 32% Gains Ahead For RYF Article Text: Below is a twelve month price history chart comparing the stock performance of MS, ETFC, and SCHW: Below is a summary table of the current analyst target prices discussed above: Are analysts justified in these targets, or overly optimistic about where these stocks will be trading 12 months from now? Three of RYF's underlying holdings with notable upside to their analyst target prices are Morgan Stanley (Symbol: MS), E*TRADE Financial Corp. (Symbol: ETFC), and Schwab (Charles) Corp (Symbol: SCHW). Although MS has traded at a recent price of $40.40/share, the average analyst target is 48.51% higher at $60.00/share. Article Title: Carlyle Group Concludes Majority Stake Buyout in Sedgwick Article Text: Click to get this free report Bank of America Corporation (BAC): Free Stock Analysis Report Morgan Stanley (MS): Free Stock Analysis Report The Carlyle Group L.P. (CG): Free Stock Analysis Report Diamondback Energy, Inc. (FANG): Free Stock Analysis Report To read this article on Zacks.com click here. Further, Bank of America's BAC Merrill Lynch, Morgan Stanley MS and KKR Capital Markets are among the joint lead arrangers and joint bookrunners for the debt financing of this transaction. Lately, Carlyle Group seems to be focused on driving growth through inorganic strategies. Article Title: First Republic (FRC) Announces Offering of 4M Common Shares Article Text: Click to get this free report JPMorgan Chase & Co. (JPM): Free Stock Analysis Report First Republic Bank (FRC): Free Stock Analysis Report Bank of Marin Bancorp (BMRC): Free Stock Analysis Report Morgan Stanley (MS): Free Stock Analysis Report To read this article on Zacks.com click here. Notably, it aims to utilize the capital raised by this offering for funding loans or purchasing investment securities for its portfolio. First Republic has entered into a distribution agreement with Keefe, Bruyette & Woods, a Stifel Company, BofA Merrill Lynch, J.P. Morgan JPM and Morgan Stanley MS .Closing Price on the final date - 33.77
INTC
2019-01-02_2019-01-05
2019-01-05
40.638531
41.31842
BUY
<|im_start|>user You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: Qualcomm Posts Security Bonds to Impose iPhone Ban in Germany Article Text: Click to get this free report Qorvo, Inc. (QRVO): Free Stock Analysis Report QUALCOMM Incorporated (QCOM): Free Stock Analysis Report Apple Inc. (AAPL): Free Stock Analysis Report Intel Corporation (INTC): Free Stock Analysis Report To read this article on Zacks.com click here. The chip manufacturer had accused Apple of misusing its secret software access to share information about its chips with Intel Corporation INTC engineers. In early December, the Fuzhou Intermediate People's Court in China held Apple guilty of twin patent infringement and ordered an immediate ban on sales of older iPhone models, from the 6S through the X in the country (read more: Qualcomm Wins Twin Patent Battle in China Against Apple ). Article Title: Better Buy: Cisco vs. Intel Article Text: While many had written off giants Intel (NASDAQ: INTC) and Cisco (NASDAQ: CSCO) in recent years, both have responded impressively to the new world of IT, investing in technology and a healthy dose of acquisitions. For Cisco, the company is also benefiting from increased data center spending, as many customers have gone with the company's Nexus 9000 series of data center switches, along with its Catalyst 9000 campus switches as enterprises upgrade their IT systems. Cisco also has a much better balance sheet than Intel, as its acquisitions have been a bit smaller than Intel's giant Altera and Mobileye acquisitions. Article Title: Why Intel Stock Popped 6% Today Article Text: What happened Shares of semiconductor-maker Intel (NASDAQ: INTC) -- down big-time in Thursday trading -- staged a sharp rebound on Friday, closing the day 6.1% higher. Analysts at Merrill Lynch said Friday that they're upgrading Intel stock to "buy" and assigning the shares (which closed at $47 and change) a $60 price target. 10 stocks we like better than Intel When investing geniuses David and Tom Gardner have a stock tip, it can pay to listen. Article Title: QuickLogic Acquires SensiML - Quick Facts Article Text: Initiated as a software group within Intel Corp., SensiML's founders acquired the technology and formed SensiML as an independent company in 2017. "With the acquisition of SensiML, we have added a stream of SaaS revenue that we anticipate will grow significantly in the coming years as well as new points of leverage for our core semiconductor and IP businesses," said Brian Faith, CEO of QuickLogic. Read the original article on RTTNews (http://www.rttnews.com/2966954/quicklogic-acquires-sensiml-quick-facts.aspx) For comments and feedback: contact editorial@rttnews.com The views and opinions expressed herein are the views and opinions of the author and do not necessarily reflect those of Nasdaq, Inc. Article Title: Market Close Report: Record breaking 275.36 point close for the NASDAQ Composite index Article Text: Verizon Communications Inc. ( VZ ) had the largest percent change down (.25%) while Intel Corporation ( INTC ) had the largest percent change gain rising 6.14%. On the NASDAQ Stock Exchange 7 stocks reached a 52 week high and 11 those reaching lows totaled. O'Reilly Automotive, Inc. ( ORLY ) had the largest percent change down (-1.25%) while Advanced Micro Devices, Inc. ( AMD ) had the largest percent change gain rising 11.44%. Article Title: Jobs Data, Fed Fuel Big Gains for Stocks Today Article Text: And thanks in part to a big rally for newly upgraded Intel ( INTC ), the Dow surged 746 points. The strong gains helped all three indexes bring their weekly win streaks to two, and close at their highest points since Dec. 18. Plus, 2 healthcare stocks with fresh "buy" ratings; Horizon Pharma flashes a reliable bull signal; and the FAANG stock Goldman Sachs is eyeing. Article Title: A Silver Lining for This Apple Supplier After iPhone Shortfall Article Text: Chip-giant Intel (NASDAQ: INTC) became an Apple (NASDAQ: AAPL) iPhone supplier in 2016 with the launch of the iPhone 7-series smartphones, providing cellular-modem solutions for the devices. Here's what Intel CFO Bob Swan said on the company's Oct. 25 earnings call: Swan didn't say when he expected that shortage situation to be behind the company, but he did say the following: Also keep in mind that while the modems that Intel supplies into the iPhone 7-series and iPhone 8-series devices are manufactured by a third party, the modems that power Apple's latest iPhones are built in-house by Intel using the same basic 14nm technology that's used to build everything from its data center CPUs to its low-end PC processors . Unless Apple sees a sharp rebound in iPhone shipments starting with its next-generation iPhone lineup, this development should mean that Apple likely will buy fewer modems from Intel in support of its next iPhone product cycle than it had originally expected to. Article Title: The Zacks Analyst Blog Highlights: Micron, Nvidia, AMD and Intel Article Text: Click to get this free report Advanced Micro Devices, Inc. (AMD): Free Stock Analysis Report NVIDIA Corporation (NVDA): Free Stock Analysis Report Intel Corporation (INTC): Free Stock Analysis Report Micron Technology, Inc. (MU): Free Stock Analysis Report To read this article on Zacks.com click here. Stocks recently featured in the blog include: Micron MU , Nvidia NVDA , AMD AMD and Intel INTC . Here are highlights from Wednesday's Analyst Blog: Here's What to Expect from Micron (MU) in 2019 Micron stock has fallen roughly 27% over the last year as fears about the cyclical nature of the chip and memory industry set in. Article Title: Dow Movers: AAPL, VZ Article Text: Two other components making moves today are Intel Corp ( INTC ), trading down 3.8%, and Procter & Gamble Company ( PG ), trading up 1.1% on the day. In early trading on Thursday, shares of Verizon Communications ( VZ ) topped the list of the day's best performing Dow Jones Industrial Average components, trading up 1.3%. And the worst performing Dow component thus far on the day is Apple ( AAPL ), trading down 9.2%. Article Title: The Zacks Analyst Blog Highlights: Facebook, Wells Fargo, AT&T, Intel and Glaxo Article Text: Click to get this free report Wells Fargo & Company (WFC): Free Stock Analysis Report Facebook, Inc. (FB): Free Stock Analysis Report GlaxoSmithKline plc (GSK): Free Stock Analysis Report AT&T Inc. (T): Free Stock Analysis Report Intel Corporation (INTC): Free Stock Analysis Report To read this article on Zacks.com click here. Stocks recently featured in the blog include: Facebook FB , Wells Fargo WFC , AT&T T , Intel INTC and Glaxo GSK . Here are highlights from Wednesday's Analyst Blog: Top Research Reports for Facebook, Wells Fargo and AT&T The Zacks Research Daily presents the best research output of our analyst team. Article Title: Close Update: Apple Sales Warning Helps Push Investors Out of Stocks Sending Market Indexes Tumbling Article Text: The Dow Jones Industrial Average fell 660 points, or 2.8%, dragged down by Apple, Intel ( INTC ) and United Technologies ( UTX ). The tech-heavy Nasdaq Composite Index led the market lower, plunging 3%, with Apple tumbling 10%. Dow Jones Industrial Average was down 660.02 points (-2.83%) S&P 500 was down 62.14 points (-2.48%) Nasdaq Composite Index was down 202.43 points (-3.04%) Article Title: Why Intel, AMD, and Qorvo Stocks All Sank More Than 5% Today Article Text: What happened Intel (NASDAQ: INTC) makes computer chips for PCs and servers. On Wednesday after close of trading, market researcher TrendForce reported a precipitous decline in the prices device makers were paying for DRAM memory products: "Contract prices of DRAM products turned downward sharply in 4Q18 by 10% [quarter over quarter]," reported TrendForce. And with them, so might the declines in stock price at Intel, AMD, and Qorvo. Article Title: Don’t Let the Class-Action Suit Dissuade You from Nvidia Stock Article Text: 7 Stocks to Sell In January Another top competitor, Intel (NASDAQ: INTC ), actually registered a slight gain since October. InvestorPlace - Stock Market News, Stock Advice & Trading Tips Semiconductor giant Nvidia (NASDAQ: NVDA ) has always generated headlines since moving to the sector's limelight. While investing is always risky (and this is especially true for tech stocks) Nvidia stock compared poorly to its rivals. Article Title: Top Research Reports for Facebook, Wells Fargo & AT&T Article Text: Click to get this free report Wells Fargo & Company (WFC): Free Stock Analysis Report AT&T Inc. (T): Free Stock Analysis Report Intel Corporation (INTC): Free Stock Analysis Report GlaxoSmithKline plc (GSK): Free Stock Analysis Report Facebook, Inc. (FB): Free Stock Analysis Report Enterprise Products Partners L.P. (EPD): Free Stock Analysis Report To read this article on Zacks.com click here. Other noteworthy reports we are featuring today include Intel (INTC), Enterprise Products (EPD) and Glaxo (GSK). New Downgrades Transition Delay to 10nm & Competition Hurts Intel (INTC) Per the Zacks analyst, Intel's failure to gain significant mobile share, stiff competition from peers & new product costs are key negatives. Article Title: Microsoft (MSFT) Debuts Surface Go in India via Flipkart Article Text: Click to get this free report Amazon.com, Inc. (AMZN): Free Stock Analysis Report Microsoft Corporation (MSFT): Free Stock Analysis Report Walmart Inc. (WMT): Free Stock Analysis Report Intel Corporation (INTC): Free Stock Analysis Report To read this article on Zacks.com click here. Further, the latest series is equipped with Intel's INTC processor and graphic chips. Microsoft Corporation Revenue (TTM) Microsoft Corporation Revenue (TTM) | Microsoft Corporation Quote In the words of Country General Manager, Consumer & Devices at Microsoft India, Priyadarshi Mohapatra, "Globally and in India, it's encouraging to see the rapidly growing Surface community in both consumer and enterprise." Article Title: Advanced Micro Devices Stock Is In Good Shape for 2019 Article Text: Intel (NASDAQ: INTC ) only has its nose above the water because of its dividend yield. InvestorPlace - Stock Market News, Stock Advice & Trading Tips Advanced Micro Devices Inc (NASDAQ: AMD ) is a boutique chipmaker (relatively speaking) that rose 82% in 2018. The Future for Chip Stocks However, even as MU stock was getting pummeled in December due to concerns about the memory chip market in 2019, Micron's CEO was speaking about how bullish he was regarding the opportunities in the chip market.Closing Price on the final date - 41.32<|im_end|> <|im_start|>assistant BUY<|im_end|> <|im_start|>assistant
You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: Qualcomm Posts Security Bonds to Impose iPhone Ban in Germany Article Text: Click to get this free report Qorvo, Inc. (QRVO): Free Stock Analysis Report QUALCOMM Incorporated (QCOM): Free Stock Analysis Report Apple Inc. (AAPL): Free Stock Analysis Report Intel Corporation (INTC): Free Stock Analysis Report To read this article on Zacks.com click here. The chip manufacturer had accused Apple of misusing its secret software access to share information about its chips with Intel Corporation INTC engineers. In early December, the Fuzhou Intermediate People's Court in China held Apple guilty of twin patent infringement and ordered an immediate ban on sales of older iPhone models, from the 6S through the X in the country (read more: Qualcomm Wins Twin Patent Battle in China Against Apple ). Article Title: Better Buy: Cisco vs. Intel Article Text: While many had written off giants Intel (NASDAQ: INTC) and Cisco (NASDAQ: CSCO) in recent years, both have responded impressively to the new world of IT, investing in technology and a healthy dose of acquisitions. For Cisco, the company is also benefiting from increased data center spending, as many customers have gone with the company's Nexus 9000 series of data center switches, along with its Catalyst 9000 campus switches as enterprises upgrade their IT systems. Cisco also has a much better balance sheet than Intel, as its acquisitions have been a bit smaller than Intel's giant Altera and Mobileye acquisitions. Article Title: Why Intel Stock Popped 6% Today Article Text: What happened Shares of semiconductor-maker Intel (NASDAQ: INTC) -- down big-time in Thursday trading -- staged a sharp rebound on Friday, closing the day 6.1% higher. Analysts at Merrill Lynch said Friday that they're upgrading Intel stock to "buy" and assigning the shares (which closed at $47 and change) a $60 price target. 10 stocks we like better than Intel When investing geniuses David and Tom Gardner have a stock tip, it can pay to listen. Article Title: QuickLogic Acquires SensiML - Quick Facts Article Text: Initiated as a software group within Intel Corp., SensiML's founders acquired the technology and formed SensiML as an independent company in 2017. "With the acquisition of SensiML, we have added a stream of SaaS revenue that we anticipate will grow significantly in the coming years as well as new points of leverage for our core semiconductor and IP businesses," said Brian Faith, CEO of QuickLogic. Read the original article on RTTNews (http://www.rttnews.com/2966954/quicklogic-acquires-sensiml-quick-facts.aspx) For comments and feedback: contact editorial@rttnews.com The views and opinions expressed herein are the views and opinions of the author and do not necessarily reflect those of Nasdaq, Inc. Article Title: Market Close Report: Record breaking 275.36 point close for the NASDAQ Composite index Article Text: Verizon Communications Inc. ( VZ ) had the largest percent change down (.25%) while Intel Corporation ( INTC ) had the largest percent change gain rising 6.14%. On the NASDAQ Stock Exchange 7 stocks reached a 52 week high and 11 those reaching lows totaled. O'Reilly Automotive, Inc. ( ORLY ) had the largest percent change down (-1.25%) while Advanced Micro Devices, Inc. ( AMD ) had the largest percent change gain rising 11.44%. Article Title: Jobs Data, Fed Fuel Big Gains for Stocks Today Article Text: And thanks in part to a big rally for newly upgraded Intel ( INTC ), the Dow surged 746 points. The strong gains helped all three indexes bring their weekly win streaks to two, and close at their highest points since Dec. 18. Plus, 2 healthcare stocks with fresh "buy" ratings; Horizon Pharma flashes a reliable bull signal; and the FAANG stock Goldman Sachs is eyeing. Article Title: A Silver Lining for This Apple Supplier After iPhone Shortfall Article Text: Chip-giant Intel (NASDAQ: INTC) became an Apple (NASDAQ: AAPL) iPhone supplier in 2016 with the launch of the iPhone 7-series smartphones, providing cellular-modem solutions for the devices. Here's what Intel CFO Bob Swan said on the company's Oct. 25 earnings call: Swan didn't say when he expected that shortage situation to be behind the company, but he did say the following: Also keep in mind that while the modems that Intel supplies into the iPhone 7-series and iPhone 8-series devices are manufactured by a third party, the modems that power Apple's latest iPhones are built in-house by Intel using the same basic 14nm technology that's used to build everything from its data center CPUs to its low-end PC processors . Unless Apple sees a sharp rebound in iPhone shipments starting with its next-generation iPhone lineup, this development should mean that Apple likely will buy fewer modems from Intel in support of its next iPhone product cycle than it had originally expected to. Article Title: The Zacks Analyst Blog Highlights: Micron, Nvidia, AMD and Intel Article Text: Click to get this free report Advanced Micro Devices, Inc. (AMD): Free Stock Analysis Report NVIDIA Corporation (NVDA): Free Stock Analysis Report Intel Corporation (INTC): Free Stock Analysis Report Micron Technology, Inc. (MU): Free Stock Analysis Report To read this article on Zacks.com click here. Stocks recently featured in the blog include: Micron MU , Nvidia NVDA , AMD AMD and Intel INTC . Here are highlights from Wednesday's Analyst Blog: Here's What to Expect from Micron (MU) in 2019 Micron stock has fallen roughly 27% over the last year as fears about the cyclical nature of the chip and memory industry set in. Article Title: Dow Movers: AAPL, VZ Article Text: Two other components making moves today are Intel Corp ( INTC ), trading down 3.8%, and Procter & Gamble Company ( PG ), trading up 1.1% on the day. In early trading on Thursday, shares of Verizon Communications ( VZ ) topped the list of the day's best performing Dow Jones Industrial Average components, trading up 1.3%. And the worst performing Dow component thus far on the day is Apple ( AAPL ), trading down 9.2%. Article Title: The Zacks Analyst Blog Highlights: Facebook, Wells Fargo, AT&T, Intel and Glaxo Article Text: Click to get this free report Wells Fargo & Company (WFC): Free Stock Analysis Report Facebook, Inc. (FB): Free Stock Analysis Report GlaxoSmithKline plc (GSK): Free Stock Analysis Report AT&T Inc. (T): Free Stock Analysis Report Intel Corporation (INTC): Free Stock Analysis Report To read this article on Zacks.com click here. Stocks recently featured in the blog include: Facebook FB , Wells Fargo WFC , AT&T T , Intel INTC and Glaxo GSK . Here are highlights from Wednesday's Analyst Blog: Top Research Reports for Facebook, Wells Fargo and AT&T The Zacks Research Daily presents the best research output of our analyst team. Article Title: Close Update: Apple Sales Warning Helps Push Investors Out of Stocks Sending Market Indexes Tumbling Article Text: The Dow Jones Industrial Average fell 660 points, or 2.8%, dragged down by Apple, Intel ( INTC ) and United Technologies ( UTX ). The tech-heavy Nasdaq Composite Index led the market lower, plunging 3%, with Apple tumbling 10%. Dow Jones Industrial Average was down 660.02 points (-2.83%) S&P 500 was down 62.14 points (-2.48%) Nasdaq Composite Index was down 202.43 points (-3.04%) Article Title: Why Intel, AMD, and Qorvo Stocks All Sank More Than 5% Today Article Text: What happened Intel (NASDAQ: INTC) makes computer chips for PCs and servers. On Wednesday after close of trading, market researcher TrendForce reported a precipitous decline in the prices device makers were paying for DRAM memory products: "Contract prices of DRAM products turned downward sharply in 4Q18 by 10% [quarter over quarter]," reported TrendForce. And with them, so might the declines in stock price at Intel, AMD, and Qorvo. Article Title: Don’t Let the Class-Action Suit Dissuade You from Nvidia Stock Article Text: 7 Stocks to Sell In January Another top competitor, Intel (NASDAQ: INTC ), actually registered a slight gain since October. InvestorPlace - Stock Market News, Stock Advice & Trading Tips Semiconductor giant Nvidia (NASDAQ: NVDA ) has always generated headlines since moving to the sector's limelight. While investing is always risky (and this is especially true for tech stocks) Nvidia stock compared poorly to its rivals. Article Title: Top Research Reports for Facebook, Wells Fargo & AT&T Article Text: Click to get this free report Wells Fargo & Company (WFC): Free Stock Analysis Report AT&T Inc. (T): Free Stock Analysis Report Intel Corporation (INTC): Free Stock Analysis Report GlaxoSmithKline plc (GSK): Free Stock Analysis Report Facebook, Inc. (FB): Free Stock Analysis Report Enterprise Products Partners L.P. (EPD): Free Stock Analysis Report To read this article on Zacks.com click here. Other noteworthy reports we are featuring today include Intel (INTC), Enterprise Products (EPD) and Glaxo (GSK). New Downgrades Transition Delay to 10nm & Competition Hurts Intel (INTC) Per the Zacks analyst, Intel's failure to gain significant mobile share, stiff competition from peers & new product costs are key negatives. Article Title: Microsoft (MSFT) Debuts Surface Go in India via Flipkart Article Text: Click to get this free report Amazon.com, Inc. (AMZN): Free Stock Analysis Report Microsoft Corporation (MSFT): Free Stock Analysis Report Walmart Inc. (WMT): Free Stock Analysis Report Intel Corporation (INTC): Free Stock Analysis Report To read this article on Zacks.com click here. Further, the latest series is equipped with Intel's INTC processor and graphic chips. Microsoft Corporation Revenue (TTM) Microsoft Corporation Revenue (TTM) | Microsoft Corporation Quote In the words of Country General Manager, Consumer & Devices at Microsoft India, Priyadarshi Mohapatra, "Globally and in India, it's encouraging to see the rapidly growing Surface community in both consumer and enterprise." Article Title: Advanced Micro Devices Stock Is In Good Shape for 2019 Article Text: Intel (NASDAQ: INTC ) only has its nose above the water because of its dividend yield. InvestorPlace - Stock Market News, Stock Advice & Trading Tips Advanced Micro Devices Inc (NASDAQ: AMD ) is a boutique chipmaker (relatively speaking) that rose 82% in 2018. The Future for Chip Stocks However, even as MU stock was getting pummeled in December due to concerns about the memory chip market in 2019, Micron's CEO was speaking about how bullish he was regarding the opportunities in the chip market.Closing Price on the final date - 41.32
ORCL
2019-01-02_2019-01-05
2019-01-05
42.097382
43.061714
BUY
<|im_start|>user You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: Consumer Sector Update for 01/02/2019: NFLX, ATVI, ORCL, SECO, VGR, WMT, MCD, DIS, CVS, KO Article Text: The views and opinions expressed herein are the views and opinions of the author and do not necessarily reflect those of Nasdaq, Inc. (=) Secoo Holding ( SECO ) was flat after it entered into a strategic partnership with Oracle ( ORCL ) in China to launch a new office automation system. Moving stocks include: (-) Netflix ( NFLX ), which was down near 3% amid reports that it hired Activision Blizzard ( ATVI ) CFO Spencer Neumann after the video gaming company announced late Monday that it intended to terminate his employment.Closing Price on the final date - 43.06<|im_end|> <|im_start|>assistant BUY<|im_end|> <|im_start|>assistant
You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: Consumer Sector Update for 01/02/2019: NFLX, ATVI, ORCL, SECO, VGR, WMT, MCD, DIS, CVS, KO Article Text: The views and opinions expressed herein are the views and opinions of the author and do not necessarily reflect those of Nasdaq, Inc. (=) Secoo Holding ( SECO ) was flat after it entered into a strategic partnership with Oracle ( ORCL ) in China to launch a new office automation system. Moving stocks include: (-) Netflix ( NFLX ), which was down near 3% amid reports that it hired Activision Blizzard ( ATVI ) CFO Spencer Neumann after the video gaming company announced late Monday that it intended to terminate his employment.Closing Price on the final date - 43.06
NEE
2019-01-02_2019-01-05
2019-01-05
36.556374
36.611469
BUY
<|im_start|>user You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: NextEra Energy (NEE) Gains But Lags Market: What You Should Know Article Text: In the latest trading session, NextEra Energy (NEE) closed at $172.53, marking a +1.84% move from the previous day. NEE will be looking to display strength as it nears its next earnings release, which is expected to be January 25, 2019. On that day, NEE is projected to report earnings of $1.55 per share, which would represent year-over-year growth of 24%. Article Title: SPYG, NEE, ADP, ISRG: ETF Outflow Alert Article Text: Creation of new units will mean the underlying holdings of the ETF need to be purchased, while destruction of units involves selling underlying holdings, so large flows can also impact the individual components held within ETFs. Among the largest underlying components of SPYG, in trading today NextEra Energy Inc (Symbol: NEE) is down about 1.9%, Automatic Data Processing Inc. (Symbol: ADP) is off about 1.7%, and Intuitive Surgical Inc (Symbol: ISRG) is lower by about 2.9%. Looking today at week-over-week shares outstanding changes among the universe of ETFs covered at ETF Channel , one standout is the SPDR Portfolio S&P 500 Growth ETF (Symbol: SPYG) where we have detected an approximate $255.1 million dollar outflow -- that's a 7.5% decrease week over week (from 104,200,000 to 96,350,000). Article Title: 3 Top Energy Stocks to Buy Right Now Article Text: Three energy stocks well-positioned to benefit from this long-term growth trend are Enterprise Products Partners (NYSE: EPD) , Royal Dutch Shell (NYSE: RDS-A) (NYSE: RDS-B) , and NextEra Energy (NYSE: NEE) . NEE Revenue (TTM) data by YCharts . That downturn would likely sap demand for energy, which is why energy stocks -- as measured by the Energy Select Sector SPDR ETF , an exchange-traded fund that holds 30 top energy companies -- slumped 20% last year.Closing Price on the final date - 36.61<|im_end|> <|im_start|>assistant BUY<|im_end|> <|im_start|>assistant
You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: NextEra Energy (NEE) Gains But Lags Market: What You Should Know Article Text: In the latest trading session, NextEra Energy (NEE) closed at $172.53, marking a +1.84% move from the previous day. NEE will be looking to display strength as it nears its next earnings release, which is expected to be January 25, 2019. On that day, NEE is projected to report earnings of $1.55 per share, which would represent year-over-year growth of 24%. Article Title: SPYG, NEE, ADP, ISRG: ETF Outflow Alert Article Text: Creation of new units will mean the underlying holdings of the ETF need to be purchased, while destruction of units involves selling underlying holdings, so large flows can also impact the individual components held within ETFs. Among the largest underlying components of SPYG, in trading today NextEra Energy Inc (Symbol: NEE) is down about 1.9%, Automatic Data Processing Inc. (Symbol: ADP) is off about 1.7%, and Intuitive Surgical Inc (Symbol: ISRG) is lower by about 2.9%. Looking today at week-over-week shares outstanding changes among the universe of ETFs covered at ETF Channel , one standout is the SPDR Portfolio S&P 500 Growth ETF (Symbol: SPYG) where we have detected an approximate $255.1 million dollar outflow -- that's a 7.5% decrease week over week (from 104,200,000 to 96,350,000). Article Title: 3 Top Energy Stocks to Buy Right Now Article Text: Three energy stocks well-positioned to benefit from this long-term growth trend are Enterprise Products Partners (NYSE: EPD) , Royal Dutch Shell (NYSE: RDS-A) (NYSE: RDS-B) , and NextEra Energy (NYSE: NEE) . NEE Revenue (TTM) data by YCharts . That downturn would likely sap demand for energy, which is why energy stocks -- as measured by the Energy Select Sector SPDR ETF , an exchange-traded fund that holds 30 top energy companies -- slumped 20% last year.Closing Price on the final date - 36.61
COST
2019-01-02_2019-01-05
2019-01-05
186.987091
190.305389
BUY
<|im_start|>user You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: Kroger Stock Could Be the Big Underdog Retail Play in 2019 Article Text: 10 Oversold Stocks Due for a Bounce Grocery Is Very Competitive In mid-December, Costco (NASDAQ: COST ) shares took a hit, after the warehouse behemoth missed first-quarter earnings estimates . Don't sweat it if you own Costco stock. The service costs $5.95 plus the order itself. Article Title: Dollar General Corporation (DG) Ex-Dividend Date Scheduled for January 07, 2019 Article Text: DG is a part of the Consumer Services sector, which includes companies such as Walmart Inc. ( WMT ) and Costco Wholesale Corporation ( COST ). Shareholders who purchased DG prior to the ex-dividend date are eligible for the cash dividend payment. For more information on the declaration, record and payment dates, visit the DG Dividend History page. Article Title: How to Profit Even If Target Stock Continues to Get No Respect Article Text: Costco (NASDAQ: COST ) maintains a 26.2 PE ratio. This also comes in well ahead of Walmart's 2.2% yield and Costco's 1.1% payout. InvestorPlace - Stock Market News, Stock Advice & Trading Tips Years after investors began to understand that online retail was not going to destroy Target (NYSE: TGT ), TGT stock continues to struggle.Closing Price on the final date - 190.31<|im_end|> <|im_start|>assistant BUY<|im_end|> <|im_start|>assistant
You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: Kroger Stock Could Be the Big Underdog Retail Play in 2019 Article Text: 10 Oversold Stocks Due for a Bounce Grocery Is Very Competitive In mid-December, Costco (NASDAQ: COST ) shares took a hit, after the warehouse behemoth missed first-quarter earnings estimates . Don't sweat it if you own Costco stock. The service costs $5.95 plus the order itself. Article Title: Dollar General Corporation (DG) Ex-Dividend Date Scheduled for January 07, 2019 Article Text: DG is a part of the Consumer Services sector, which includes companies such as Walmart Inc. ( WMT ) and Costco Wholesale Corporation ( COST ). Shareholders who purchased DG prior to the ex-dividend date are eligible for the cash dividend payment. For more information on the declaration, record and payment dates, visit the DG Dividend History page. Article Title: How to Profit Even If Target Stock Continues to Get No Respect Article Text: Costco (NASDAQ: COST ) maintains a 26.2 PE ratio. This also comes in well ahead of Walmart's 2.2% yield and Costco's 1.1% payout. InvestorPlace - Stock Market News, Stock Advice & Trading Tips Years after investors began to understand that online retail was not going to destroy Target (NYSE: TGT ), TGT stock continues to struggle.Closing Price on the final date - 190.31
ABT
2019-01-02_2019-01-05
2019-01-05
60.26273
61.439495
BUY
<|im_start|>user You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: 3 Big Stock Charts for Friday: Incyte, Schlumberger and Abbott Laboratories Article Text: The market environment makes trading tricky for the foreseeable future, but the stock charts of Schlumberger Limited (NYSE: SLB ), Abbott Laboratories (NYSE: ABT ) and Incyte Corporation (NASDAQ: INCY ) look positioned to do their own thing regardless of what the broad market does from here. Abbott Laboratories (ABT) With nothing more than a quick glance at Abbott Laboratories, the last few days just look like the same volatility other stocks have faced of last. Zooming out to a weekly chart of ABT, the recent wild swings are different, and telling. Article Title: U.S. STOCKS ON THE MOVE-General Electric, Netflix, Tesla, MyoKardia Article Text: The Day Ahead newsletter: The Morning News Call newsletter: U.S. stocks were flat on Wednesday morning, clawing back from losses of more than 1 percent earlier, helped by energy stocks as oil prices reversed earlier losses and bank stocks as 10-year U.S. treasury yields moved off a near year-low. The top three S&P 500 percentage gainers: ** General Electric Co, up 5.5 pct [ ** Wynn Resorts Ltd, up 5.4 pct ** Perrigo Company PLC, up 4.7 pct The top three S&P 500 percentage losers: ** Hologic Inc, down 6 pct ** Abbott Labs, down 4 pct ** Akamai Technologies Inc, down 4 pct The top three NYSE percentage gainers: ** MedEquities Realty Trust Inc, up 44.4 pct ** PermRock Royalty Trust, up 22.3 pct ** Bright Scholar Education Holdings Ltd, up 21.2 pct The top NYSE percentage loser: ** Bitauto Holdings Ltd, down 18.1 pct The top three Nasdaq percentage gainers: ** Estre Ambiental Inc, up 43 pct ** Novus Therapeutics Inc, up 25.6 pct ** Windstream Holdings Inc, up 25.4 pct The top two Nasdaq percentage losers: ** Uxin Ltd, down 17.9 pct ** Pingtan Marine Enterprise Ltd, down 14.5 pct ** General Electric Co: up 6.1 pct Hits more than 1-month high ** The Estee Lauder Companies Inc: up 1.2 pct Citi upgrades rating to "buy", sees upside to 2019 EPS forecast ** JPMorgan Chase & Co.: up 1.2 pct ** The Goldman Sachs Group Inc.: up 2.3 pct Barclays positive on U.S. large-cap banks ** Wells Fargo & Co: up 1.5 pct Not "out of the woods" yet regarding regulatory issues, says RBC ** CVS Health Corp: down 0.7 pct Stock an execution story in 2019 ** Walgreens Boots Alliance Inc: down 0.5 pct Jefferies sees choppy year ahead ** Hologic Inc: down 6.0 pct MS downgrades to underweight, sees limited room for end-market growth ** Moderna Inc: down 3.7 pct Brokerages start with bullish ratings on Moderna's shares ** Netflix Inc: down 1.2 pct Suntrust Robinson cuts PT, says Q4 new subscribers could be less than co's guidance ** Tesla Inc: down 6.9 pct Set to erase 2018's gains on slide as Q4 deliveries miss estimates ** Akamai Technologies Inc: down 4.0 pct Cowen moves to sidelines expecting slowing revenue trends ** MyoKardia Inc: down 14.2 pct Drops on conclusion of collaboration with Sanofi ** Bausch Health Companies Inc: up 7.0 pct Climbs after Piper upgrade to "overweight" ** Schlumberger NV: up 3.4 pct Susquehanna cuts PT on lower crude prices ** Sirius XM Holdings Inc: up 2.8 pct JPM's double upgrade to 'outperform' lifts shares ** Wynn Resorts Ltd: up 5.4 pct ** Melco Resorts & Entertainment Ltd: up 3.9 pct ** Las Vegas Sands Corp: up 3.3 pct ** MGM Resorts International: up 2.9 pct ** Caesars Entertainment Corp: up 1.2 pct U.S. casinos: Higher after Macau Dec gambling revenue beats estimates The 11 major S&P 500 sectors: The views and opinions expressed herein are the views and opinions of the author and do not necessarily reflect those of Nasdaq, Inc. Article Title: U.S. STOCKS ON THE MOVE-Netflix, Tesla, Walgreens, Hologic Article Text: The Day Ahead newsletter: The Morning News Call newsletter: U.S. stocks started the new year with a more than 1 percent decline on Wednesday, as weak data in Asia and Europe confirmed fears of a global economic slowdown while the U.S. government shutdown dragged on. The top three S&P 500 percentage gainers: ** General Electric Co, up 4.2 pct ** Wynn Resorts Ltd, up 3.8 pct ** Nektar Therapeutics, up 3.3 pct The top three S&P 500 percentage losers: ** Hologic Inc, down 6 pct ** Akamai Technologies Inc, down 4.4 pct ** Abbott Labs, down 3.4 pct The top two NYSE percentage gainers: ** MedEquities Realty Trust Inc, up 43.9 pct ** Bright Scholar Education Holdings Ltd, up 16 pct The top two NYSE percentage losers: ** Bitauto Holdings Ltd, down 16.6 pct ** James Hardie Industries Plc, down 10.4 pct The top three Nasdaq percentage gainers: ** China Ceramics Co. Ltd, up 44.4 pct ** Apyx MedicalClosing Price on the final date - 61.44<|im_end|> <|im_start|>assistant BUY<|im_end|> <|im_start|>assistant
You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: 3 Big Stock Charts for Friday: Incyte, Schlumberger and Abbott Laboratories Article Text: The market environment makes trading tricky for the foreseeable future, but the stock charts of Schlumberger Limited (NYSE: SLB ), Abbott Laboratories (NYSE: ABT ) and Incyte Corporation (NASDAQ: INCY ) look positioned to do their own thing regardless of what the broad market does from here. Abbott Laboratories (ABT) With nothing more than a quick glance at Abbott Laboratories, the last few days just look like the same volatility other stocks have faced of last. Zooming out to a weekly chart of ABT, the recent wild swings are different, and telling. Article Title: U.S. STOCKS ON THE MOVE-General Electric, Netflix, Tesla, MyoKardia Article Text: The Day Ahead newsletter: The Morning News Call newsletter: U.S. stocks were flat on Wednesday morning, clawing back from losses of more than 1 percent earlier, helped by energy stocks as oil prices reversed earlier losses and bank stocks as 10-year U.S. treasury yields moved off a near year-low. The top three S&P 500 percentage gainers: ** General Electric Co, up 5.5 pct [ ** Wynn Resorts Ltd, up 5.4 pct ** Perrigo Company PLC, up 4.7 pct The top three S&P 500 percentage losers: ** Hologic Inc, down 6 pct ** Abbott Labs, down 4 pct ** Akamai Technologies Inc, down 4 pct The top three NYSE percentage gainers: ** MedEquities Realty Trust Inc, up 44.4 pct ** PermRock Royalty Trust, up 22.3 pct ** Bright Scholar Education Holdings Ltd, up 21.2 pct The top NYSE percentage loser: ** Bitauto Holdings Ltd, down 18.1 pct The top three Nasdaq percentage gainers: ** Estre Ambiental Inc, up 43 pct ** Novus Therapeutics Inc, up 25.6 pct ** Windstream Holdings Inc, up 25.4 pct The top two Nasdaq percentage losers: ** Uxin Ltd, down 17.9 pct ** Pingtan Marine Enterprise Ltd, down 14.5 pct ** General Electric Co: up 6.1 pct Hits more than 1-month high ** The Estee Lauder Companies Inc: up 1.2 pct Citi upgrades rating to "buy", sees upside to 2019 EPS forecast ** JPMorgan Chase & Co.: up 1.2 pct ** The Goldman Sachs Group Inc.: up 2.3 pct Barclays positive on U.S. large-cap banks ** Wells Fargo & Co: up 1.5 pct Not "out of the woods" yet regarding regulatory issues, says RBC ** CVS Health Corp: down 0.7 pct Stock an execution story in 2019 ** Walgreens Boots Alliance Inc: down 0.5 pct Jefferies sees choppy year ahead ** Hologic Inc: down 6.0 pct MS downgrades to underweight, sees limited room for end-market growth ** Moderna Inc: down 3.7 pct Brokerages start with bullish ratings on Moderna's shares ** Netflix Inc: down 1.2 pct Suntrust Robinson cuts PT, says Q4 new subscribers could be less than co's guidance ** Tesla Inc: down 6.9 pct Set to erase 2018's gains on slide as Q4 deliveries miss estimates ** Akamai Technologies Inc: down 4.0 pct Cowen moves to sidelines expecting slowing revenue trends ** MyoKardia Inc: down 14.2 pct Drops on conclusion of collaboration with Sanofi ** Bausch Health Companies Inc: up 7.0 pct Climbs after Piper upgrade to "overweight" ** Schlumberger NV: up 3.4 pct Susquehanna cuts PT on lower crude prices ** Sirius XM Holdings Inc: up 2.8 pct JPM's double upgrade to 'outperform' lifts shares ** Wynn Resorts Ltd: up 5.4 pct ** Melco Resorts & Entertainment Ltd: up 3.9 pct ** Las Vegas Sands Corp: up 3.3 pct ** MGM Resorts International: up 2.9 pct ** Caesars Entertainment Corp: up 1.2 pct U.S. casinos: Higher after Macau Dec gambling revenue beats estimates The 11 major S&P 500 sectors: The views and opinions expressed herein are the views and opinions of the author and do not necessarily reflect those of Nasdaq, Inc. Article Title: U.S. STOCKS ON THE MOVE-Netflix, Tesla, Walgreens, Hologic Article Text: The Day Ahead newsletter: The Morning News Call newsletter: U.S. stocks started the new year with a more than 1 percent decline on Wednesday, as weak data in Asia and Europe confirmed fears of a global economic slowdown while the U.S. government shutdown dragged on. The top three S&P 500 percentage gainers: ** General Electric Co, up 4.2 pct ** Wynn Resorts Ltd, up 3.8 pct ** Nektar Therapeutics, up 3.3 pct The top three S&P 500 percentage losers: ** Hologic Inc, down 6 pct ** Akamai Technologies Inc, down 4.4 pct ** Abbott Labs, down 3.4 pct The top two NYSE percentage gainers: ** MedEquities Realty Trust Inc, up 43.9 pct ** Bright Scholar Education Holdings Ltd, up 16 pct The top two NYSE percentage losers: ** Bitauto Holdings Ltd, down 16.6 pct ** James Hardie Industries Plc, down 10.4 pct The top three Nasdaq percentage gainers: ** China Ceramics Co. Ltd, up 44.4 pct ** Apyx MedicalClosing Price on the final date - 61.44
PEP
2019-01-02_2019-01-05
2019-01-05
90.23307
87.791039
SELL
<|im_start|>user You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: Top Stock Reports for Bank of America, PepsiCo & Union Pacific Article Text: If you want an email notification each time Sheraz publishes a new article, please click here>>> Today's Must Read Branch Expansion, Loans Aid BofA (BAC), Mortgage Fees a Woe Robust Snacking Category to Drive PepsiCo's (PEP) Sales Dividends, Buybacks Aid Union Pacific (UNP) Amid Debt Woes Featured Reports Texas Instruments (TXN) Banks on Analog Products Amid Risks Per the Zacks analyst, well-performing power and signal chain product lines in Analog unit are aiding Texas Instruments' top-line growth. Click to get this free report Union Pacific Corporation (UNP): Free Stock Analysis Report Texas Instruments Incorporated (TXN): Free Stock Analysis Report Pepsico, Inc. (PEP): Free Stock Analysis Report Mondelez International, Inc. (MDLZ): Free Stock Analysis Report Caterpillar Inc. (CAT): Free Stock Analysis Report Bank of America Corporation (BAC): Free Stock Analysis Report To read this article on Zacks.com click here. Today's Research Daily features new research reports on 16 major stocks, including Bank of America (BAC), PepsiCo (PEP) and Union Pacific (UNP). Article Title: Validea James P. O'Shaughnessy Strategy Daily Upgrade Report - 1/3/2019 Article Text: PEPSICO, INC. ( PEP ) is a large-cap growth stock in the Beverages (Non-Alcoholic) industry. Company Description: PepsiCo, Inc. is a global food and beverage company. The Company's portfolio of brands includes Frito-Lay, Gatorade, Pepsi-Cola, Quaker and Tropicana. Article Title: General Mills Stock Is Too Cheap to Ignore Article Text: InvestorPlace - Stock Market News, Stock Advice & Trading Tips In this violent market, defense has become the new offense, and investors have rushed into defensive consumer staples names like McDonald's (NYSE: MCD ), Coca-Cola (NYSE: KO ), Proctor & Gamble (NYSE: PG ) and PepsiCo (NYSE: KO ). Bottom Line on GIS Stock GIS stock isn't the type of secular growth stock you want to buy and hold forever. More From InvestorPlace 2 Toxic Pot Stocks You Should Avoid 10 Hot Companies Going Public in 2019 10 Speciality Retail Stocks to Seek Refuge In 7 'Strong Buy' Defensive Stocks For 2019 Compare Brokers The post General Mills Stock Is Too Cheap to Ignore appeared first on InvestorPlace . Article Title: 3 Dividend Aristocrats to Buy and Hold Forever Article Text: Let's take a look at three dividend aristocrats investors can consider holding forever -- Coca-Cola (NYSE: KO) , PepsiCo (NASDAQ: PEP) , and Enbridge (NYSE: ENB) . Drink up with this stock Dan Caplinger (PepsiCo): Consumer goods stocks are a great place to look for dividend winners, and as Leo notes with his pick of Coca-Cola, beverage companies in particular have fared quite well. But I'm coming out on the other side of the Pepsi Challenge with my pick, because despite having a slightly smaller drinks business, PepsiCo has the power of diversification on its side. Article Title: Keurig Dr Pepper Inc. (KDP) Ex-Dividend Date Scheduled for January 03, 2019 Article Text: Keurig Dr Pepper Inc. ( KDP ) will begin trading ex-dividend on January 03, 2019. KDP is a part of the Consumer Non-Durables sector, which includes companies such as Coca-Cola Company ( KO ) and Pepsico, Inc. ( PEP ). Shareholders who purchased KDP prior to the ex-dividend date are eligible for the cash dividend payment. Article Title: PEP a Top 25 Dividend Giant With $8.01B Held By ETFs Article Text: PepsiCo Inc (Symbol: PEP) has been named as a Top 25 ''Dividend Giant'' by ETF Channel , with a whopping $8.01B worth of stock held by ETFs, and above-average ''DividendRank'' statistics including a strong 3.36% yield, according to the most recent Dividend Channel''DividendRank'' report. The annualized dividend paid by PepsiCo Inc is $3.71/share, currently paid in quarterly installments, and its most recent dividend ex-date was on 12/06/2018. The report noted a strong quarterly dividend history at PepsiCo Inc, and favorable long-term multi-year growth rates in key fundamental data points.Closing Price on the final date - 87.79<|im_end|> <|im_start|>assistant SELL<|im_end|> <|im_start|>assistant
You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: Top Stock Reports for Bank of America, PepsiCo & Union Pacific Article Text: If you want an email notification each time Sheraz publishes a new article, please click here>>> Today's Must Read Branch Expansion, Loans Aid BofA (BAC), Mortgage Fees a Woe Robust Snacking Category to Drive PepsiCo's (PEP) Sales Dividends, Buybacks Aid Union Pacific (UNP) Amid Debt Woes Featured Reports Texas Instruments (TXN) Banks on Analog Products Amid Risks Per the Zacks analyst, well-performing power and signal chain product lines in Analog unit are aiding Texas Instruments' top-line growth. Click to get this free report Union Pacific Corporation (UNP): Free Stock Analysis Report Texas Instruments Incorporated (TXN): Free Stock Analysis Report Pepsico, Inc. (PEP): Free Stock Analysis Report Mondelez International, Inc. (MDLZ): Free Stock Analysis Report Caterpillar Inc. (CAT): Free Stock Analysis Report Bank of America Corporation (BAC): Free Stock Analysis Report To read this article on Zacks.com click here. Today's Research Daily features new research reports on 16 major stocks, including Bank of America (BAC), PepsiCo (PEP) and Union Pacific (UNP). Article Title: Validea James P. O'Shaughnessy Strategy Daily Upgrade Report - 1/3/2019 Article Text: PEPSICO, INC. ( PEP ) is a large-cap growth stock in the Beverages (Non-Alcoholic) industry. Company Description: PepsiCo, Inc. is a global food and beverage company. The Company's portfolio of brands includes Frito-Lay, Gatorade, Pepsi-Cola, Quaker and Tropicana. Article Title: General Mills Stock Is Too Cheap to Ignore Article Text: InvestorPlace - Stock Market News, Stock Advice & Trading Tips In this violent market, defense has become the new offense, and investors have rushed into defensive consumer staples names like McDonald's (NYSE: MCD ), Coca-Cola (NYSE: KO ), Proctor & Gamble (NYSE: PG ) and PepsiCo (NYSE: KO ). Bottom Line on GIS Stock GIS stock isn't the type of secular growth stock you want to buy and hold forever. More From InvestorPlace 2 Toxic Pot Stocks You Should Avoid 10 Hot Companies Going Public in 2019 10 Speciality Retail Stocks to Seek Refuge In 7 'Strong Buy' Defensive Stocks For 2019 Compare Brokers The post General Mills Stock Is Too Cheap to Ignore appeared first on InvestorPlace . Article Title: 3 Dividend Aristocrats to Buy and Hold Forever Article Text: Let's take a look at three dividend aristocrats investors can consider holding forever -- Coca-Cola (NYSE: KO) , PepsiCo (NASDAQ: PEP) , and Enbridge (NYSE: ENB) . Drink up with this stock Dan Caplinger (PepsiCo): Consumer goods stocks are a great place to look for dividend winners, and as Leo notes with his pick of Coca-Cola, beverage companies in particular have fared quite well. But I'm coming out on the other side of the Pepsi Challenge with my pick, because despite having a slightly smaller drinks business, PepsiCo has the power of diversification on its side. Article Title: Keurig Dr Pepper Inc. (KDP) Ex-Dividend Date Scheduled for January 03, 2019 Article Text: Keurig Dr Pepper Inc. ( KDP ) will begin trading ex-dividend on January 03, 2019. KDP is a part of the Consumer Non-Durables sector, which includes companies such as Coca-Cola Company ( KO ) and Pepsico, Inc. ( PEP ). Shareholders who purchased KDP prior to the ex-dividend date are eligible for the cash dividend payment. Article Title: PEP a Top 25 Dividend Giant With $8.01B Held By ETFs Article Text: PepsiCo Inc (Symbol: PEP) has been named as a Top 25 ''Dividend Giant'' by ETF Channel , with a whopping $8.01B worth of stock held by ETFs, and above-average ''DividendRank'' statistics including a strong 3.36% yield, according to the most recent Dividend Channel''DividendRank'' report. The annualized dividend paid by PepsiCo Inc is $3.71/share, currently paid in quarterly installments, and its most recent dividend ex-date was on 12/06/2018. The report noted a strong quarterly dividend history at PepsiCo Inc, and favorable long-term multi-year growth rates in key fundamental data points.Closing Price on the final date - 87.79
CVX
2019-01-02_2019-01-05
2019-01-05
82.398438
84.220093
BUY
<|im_start|>user You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: Energy Sector Update for 01/04/2019: PBR, PTEN, XOM, CVX, COP, SLB, OXY Article Text: OXY: Flat Energy stocks were gaining in pre-market trading Friday. The global benchmark Brent crude March contract gained $1.41 to $57.36 per barrel and February natural gas futures were 7 cents higher at $3.01 per 1 million BTU. (=) Patterson-UTI Energy ( PTEN ) was flat as it reported an average of 185 drilling rigs operating in December, unchanged from November and up from 163 a year earlier. Article Title: Energy Sector Update for 01/04/2019: BHGE, XOM, CVX, RDS.A, RDS.B, BP, E, COP, TOT, PBR, PBR.A, EC, SLB, HAL, NOV, SPN Article Text: Crude recorded its first weekly gain in a month as data showed production from the Organization for Petroleum Exporting Countries (OPEC) dropped in December and on expectations of thawing in a trade war between the U.S. and China as a new round of talks is set to begin next week. Earlier in the week, a Bloomberg survey showed that Saudi Arabia slashed production by 420,000 barrels a day to 10.65 million per day in December, helping push OPEC's total output down by 530,000 barrels a day to 32.6 million/day, which is the steepest retreat in two years. Oil prices could have rebounded stronger this week had it not been for the Energy Information Administration (EIA) data Friday that showed crude stockpiles rose by 7,000 barrels over a week to Dec. 28 -- that compares with expectations for a 3.1 million-barrel slump in a Reuters' poll of analysts. Article Title: Shell to Trade Oil Products in Chinese Wholesale Market Article Text: Click to get this free report CNOOC Limited (CEO): Free Stock Analysis Report Chevron Corporation (CVX): Free Stock Analysis Report Royal Dutch Shell PLC (RDS.A): Free Stock Analysis Report ConocoPhillips (COP): Free Stock Analysis Report To read this article on Zacks.com click here. U.S. energy giants like Chevron Corporation CVX and ConocoPhillips COP , Norway's Equinor and France's TOTAL were four of the nine companies with whom the deals were signed. The license will provide Shell the opportunity to independently buy and sell oil products in the Chinese market, which has been dominated by local oil companies. Article Title: iShares Russell 1000 ETF Experiences Big Inflow Article Text: Among the largest underlying components of IWB, in trading today Verizon Communications Inc (Symbol: VZ) is up about 1.3%, Intel Corp (Symbol: INTC) is off about 4.2%, and Chevron Corporation (Symbol: CVX) is lower by about 1.6%. Looking today at week-over-week shares outstanding changes among the universe of ETFs covered at ETF Channel , one standout is the iShares Russell 1000 ETF (Symbol: IWB) where we have detected an approximate $776.3 million dollar inflow -- that's a 4.6% increase week over week in outstanding units (from 121,450,000 to 127,050,000). For a complete list of holdings, visit the IWB Holdings page » The chart below shows the one year price performance of IWB, versus its 200 day moving average: Looking at the chart above, IWB's low point in its 52 week range is $129.68 per share, with $164.13 as the 52 week high point - that compares with a last trade of $136.09. Article Title: Top Analyst Reports for UnitedHealth, CVS Health & General Electric Article Text: Click to get this free report Exxon Mobil Corporation (XOM): Free Stock Analysis Report UnitedHealth Group Incorporated (UNH): Free Stock Analysis Report Stryker Corporation (SYK): Free Stock Analysis Report General Electric Company (GE): Free Stock Analysis Report Chevron Corporation (CVX): Free Stock Analysis Report CVS Health Corporation (CVS): Free Stock Analysis Report To read this article on Zacks.com click here. Other noteworthy reports we are featuring today include ExxonMobil (XOM), Chevron (CVX) and Stryker (SYK). Crude Collapse, Downstream Woes to Weigh on Chevron (CVX) The Zacks analyst believes the sub-$50 oil price will make it difficult for Chevron to fund operations, making it dependent on asset sales. Article Title: 4 Permian Drillers to Track on Possible Oil Spurt Article Text: Click to get this free report Chevron Corporation (CVX): Free Stock Analysis Report Parsley Energy, Inc. (PE): Free Stock Analysis Report Concho Resources Inc. (CXO): Free Stock Analysis Report Pioneer Natural Resources Company (PXD): Free Stock Analysis Report Diamondback Energy, Inc. (FANG): Free Stock Analysis Report To read this article on Zacks.com click here. Permian Activities to Pick Up The commodity price recovery will certainly boost activities in the Permian Basin - holding more than 20 of the best 100 crude-producing fields in the domestic market, per a notification by Chevron Corporation CVX . Since, Iran was the fourth largest oil producer in 2017, the loss of massive oil volumes from the global economy will be hard to replace by other producers, in turn aiding oil prices . Article Title: Chevron (CVX) Stock Moves -1.92%: What You Should Know Article Text: Chevron (CVX) closed at $108.57 in the latest trading session, marking a -1.92% move from the prior day. CVX will be looking to display strength as it nears its next earnings release, which is expected to be February 1, 2019. In that report, analysts expect CVX to post earnings of $2.06 per share. Article Title: Energy Sector Update for 01/03/2019: E, UPL, XOM, CVX, COP, SLB, OXY Article Text: The global benchmark Brent crude March contract gained $1.02 to $55.93 per barrel and February natural gas futures were 6 cents lower at $2.90 per 1 million BTU. In other sector news: (+) Eni ( E ) was slightly higher after it agreed to acquire 70% and operatorship of the Oooguruk oil field in Alaska from Caelus Natural Resources Alaska. (=) Ultra Petroleum ( UPL ) was flat a day after S&P Global ratings downgraded the company to SD, and lowered its unsecured notes rating to D. The views and opinions expressed herein are the views and opinions of the author and do not necessarily reflect those of Nasdaq, Inc. Article Title: Transocean Inks $830-Million Drilling Contract With Chevron Article Text: Click to get this free report Shell Midstream Partners, L.P. (SHLX): Free Stock Analysis Report Gran Tierra Energy Inc. (GTE): Free Stock Analysis Report Chevron Corporation (CVX): Free Stock Analysis Report Transocean Ltd. (RIG): Free Stock Analysis Report To read this article on Zacks.com click here. Transocean Ltd.RIG recently announced that it has won a major five-year drilling contract from Chevron Corporation CVX , which will likely add $830 million to Transocean's backlog. The drilling contract is for one of Transocean's two dynamically positioned ultra-deepwater drillships, which is currently undergoing construction at Singapore's Jurong shipyard. Article Title: The Zacks Analyst Blog Highlights: IBM, ExxonMobil, Verizon, Chevron and Coca-Cola Article Text: Click to get this free report International Business Machines Corporation (IBM): Free Stock Analysis Report Verizon Communications Inc. (VZ): Free Stock Analysis Report Coca-Cola Company (The) (KO): Free Stock Analysis Report Exxon Mobil Corporation (XOM): Free Stock Analysis Report Chevron Corporation (CVX): Free Stock Analysis Report To read this article on Zacks.com click here. Stocks recently featured in the blog include: IBM Corp. IBM , ExxonMobil Corp. XOM , Verizon Communications Inc. VZ , Chevron Corp. CVX and The Coca-Cola Company KO . The Dogs of the Dow are essentially the top 10 dividend-paying blue-chip stocks of Dow Jones Industrial Average (DJIA).Closing Price on the final date - 84.22<|im_end|> <|im_start|>assistant BUY<|im_end|> <|im_start|>assistant
You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: Energy Sector Update for 01/04/2019: PBR, PTEN, XOM, CVX, COP, SLB, OXY Article Text: OXY: Flat Energy stocks were gaining in pre-market trading Friday. The global benchmark Brent crude March contract gained $1.41 to $57.36 per barrel and February natural gas futures were 7 cents higher at $3.01 per 1 million BTU. (=) Patterson-UTI Energy ( PTEN ) was flat as it reported an average of 185 drilling rigs operating in December, unchanged from November and up from 163 a year earlier. Article Title: Energy Sector Update for 01/04/2019: BHGE, XOM, CVX, RDS.A, RDS.B, BP, E, COP, TOT, PBR, PBR.A, EC, SLB, HAL, NOV, SPN Article Text: Crude recorded its first weekly gain in a month as data showed production from the Organization for Petroleum Exporting Countries (OPEC) dropped in December and on expectations of thawing in a trade war between the U.S. and China as a new round of talks is set to begin next week. Earlier in the week, a Bloomberg survey showed that Saudi Arabia slashed production by 420,000 barrels a day to 10.65 million per day in December, helping push OPEC's total output down by 530,000 barrels a day to 32.6 million/day, which is the steepest retreat in two years. Oil prices could have rebounded stronger this week had it not been for the Energy Information Administration (EIA) data Friday that showed crude stockpiles rose by 7,000 barrels over a week to Dec. 28 -- that compares with expectations for a 3.1 million-barrel slump in a Reuters' poll of analysts. Article Title: Shell to Trade Oil Products in Chinese Wholesale Market Article Text: Click to get this free report CNOOC Limited (CEO): Free Stock Analysis Report Chevron Corporation (CVX): Free Stock Analysis Report Royal Dutch Shell PLC (RDS.A): Free Stock Analysis Report ConocoPhillips (COP): Free Stock Analysis Report To read this article on Zacks.com click here. U.S. energy giants like Chevron Corporation CVX and ConocoPhillips COP , Norway's Equinor and France's TOTAL were four of the nine companies with whom the deals were signed. The license will provide Shell the opportunity to independently buy and sell oil products in the Chinese market, which has been dominated by local oil companies. Article Title: iShares Russell 1000 ETF Experiences Big Inflow Article Text: Among the largest underlying components of IWB, in trading today Verizon Communications Inc (Symbol: VZ) is up about 1.3%, Intel Corp (Symbol: INTC) is off about 4.2%, and Chevron Corporation (Symbol: CVX) is lower by about 1.6%. Looking today at week-over-week shares outstanding changes among the universe of ETFs covered at ETF Channel , one standout is the iShares Russell 1000 ETF (Symbol: IWB) where we have detected an approximate $776.3 million dollar inflow -- that's a 4.6% increase week over week in outstanding units (from 121,450,000 to 127,050,000). For a complete list of holdings, visit the IWB Holdings page » The chart below shows the one year price performance of IWB, versus its 200 day moving average: Looking at the chart above, IWB's low point in its 52 week range is $129.68 per share, with $164.13 as the 52 week high point - that compares with a last trade of $136.09. Article Title: Top Analyst Reports for UnitedHealth, CVS Health & General Electric Article Text: Click to get this free report Exxon Mobil Corporation (XOM): Free Stock Analysis Report UnitedHealth Group Incorporated (UNH): Free Stock Analysis Report Stryker Corporation (SYK): Free Stock Analysis Report General Electric Company (GE): Free Stock Analysis Report Chevron Corporation (CVX): Free Stock Analysis Report CVS Health Corporation (CVS): Free Stock Analysis Report To read this article on Zacks.com click here. Other noteworthy reports we are featuring today include ExxonMobil (XOM), Chevron (CVX) and Stryker (SYK). Crude Collapse, Downstream Woes to Weigh on Chevron (CVX) The Zacks analyst believes the sub-$50 oil price will make it difficult for Chevron to fund operations, making it dependent on asset sales. Article Title: 4 Permian Drillers to Track on Possible Oil Spurt Article Text: Click to get this free report Chevron Corporation (CVX): Free Stock Analysis Report Parsley Energy, Inc. (PE): Free Stock Analysis Report Concho Resources Inc. (CXO): Free Stock Analysis Report Pioneer Natural Resources Company (PXD): Free Stock Analysis Report Diamondback Energy, Inc. (FANG): Free Stock Analysis Report To read this article on Zacks.com click here. Permian Activities to Pick Up The commodity price recovery will certainly boost activities in the Permian Basin - holding more than 20 of the best 100 crude-producing fields in the domestic market, per a notification by Chevron Corporation CVX . Since, Iran was the fourth largest oil producer in 2017, the loss of massive oil volumes from the global economy will be hard to replace by other producers, in turn aiding oil prices . Article Title: Chevron (CVX) Stock Moves -1.92%: What You Should Know Article Text: Chevron (CVX) closed at $108.57 in the latest trading session, marking a -1.92% move from the prior day. CVX will be looking to display strength as it nears its next earnings release, which is expected to be February 1, 2019. In that report, analysts expect CVX to post earnings of $2.06 per share. Article Title: Energy Sector Update for 01/03/2019: E, UPL, XOM, CVX, COP, SLB, OXY Article Text: The global benchmark Brent crude March contract gained $1.02 to $55.93 per barrel and February natural gas futures were 6 cents lower at $2.90 per 1 million BTU. In other sector news: (+) Eni ( E ) was slightly higher after it agreed to acquire 70% and operatorship of the Oooguruk oil field in Alaska from Caelus Natural Resources Alaska. (=) Ultra Petroleum ( UPL ) was flat a day after S&P Global ratings downgraded the company to SD, and lowered its unsecured notes rating to D. The views and opinions expressed herein are the views and opinions of the author and do not necessarily reflect those of Nasdaq, Inc. Article Title: Transocean Inks $830-Million Drilling Contract With Chevron Article Text: Click to get this free report Shell Midstream Partners, L.P. (SHLX): Free Stock Analysis Report Gran Tierra Energy Inc. (GTE): Free Stock Analysis Report Chevron Corporation (CVX): Free Stock Analysis Report Transocean Ltd. (RIG): Free Stock Analysis Report To read this article on Zacks.com click here. Transocean Ltd.RIG recently announced that it has won a major five-year drilling contract from Chevron Corporation CVX , which will likely add $830 million to Transocean's backlog. The drilling contract is for one of Transocean's two dynamically positioned ultra-deepwater drillships, which is currently undergoing construction at Singapore's Jurong shipyard. Article Title: The Zacks Analyst Blog Highlights: IBM, ExxonMobil, Verizon, Chevron and Coca-Cola Article Text: Click to get this free report International Business Machines Corporation (IBM): Free Stock Analysis Report Verizon Communications Inc. (VZ): Free Stock Analysis Report Coca-Cola Company (The) (KO): Free Stock Analysis Report Exxon Mobil Corporation (XOM): Free Stock Analysis Report Chevron Corporation (CVX): Free Stock Analysis Report To read this article on Zacks.com click here. Stocks recently featured in the blog include: IBM Corp. IBM , ExxonMobil Corp. XOM , Verizon Communications Inc. VZ , Chevron Corp. CVX and The Coca-Cola Company KO . The Dogs of the Dow are essentially the top 10 dividend-paying blue-chip stocks of Dow Jones Industrial Average (DJIA).Closing Price on the final date - 84.22
DHR
2019-01-02_2019-01-05
2019-01-05
86.461044
89.826523
BUY
<|im_start|>user You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: Acme United Corporation. (ACU) Ex-Dividend Date Scheduled for January 07, 2019 Article Text: ACU is a part of the Capital Goods sector, which includes companies such as Thermo Fisher Scientific Inc ( TMO ) and Danaher Corporation ( DHR ). Shareholders who purchased ACU prior to the ex-dividend date are eligible for the cash dividend payment. For more information on the declaration, record and payment dates, visit the ACU Dividend History page. Article Title: Danaher Breaks Below 200-Day Moving Average - Notable for DHR Article Text: In trading on Wednesday, shares of Danaher Corp (Symbol: DHR) crossed below their 200 day moving average of $101.71, changing hands as low as $100.13 per share. The chart below shows the one year performance of DHR shares, versus its 200 day moving average: Looking at the chart above, DHR's low point in its 52 week range is $91.841 per share, with $110.86 as the 52 week high point - that compares with a last trade of $100.25. Click here to find out which 9 other stocks recently crossed below their 200 day moving average » The views and opinions expressed herein are the views and opinions of the author and do not necessarily reflect those of Nasdaq, Inc.Closing Price on the final date - 89.83<|im_end|> <|im_start|>assistant BUY<|im_end|> <|im_start|>assistant
You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: Acme United Corporation. (ACU) Ex-Dividend Date Scheduled for January 07, 2019 Article Text: ACU is a part of the Capital Goods sector, which includes companies such as Thermo Fisher Scientific Inc ( TMO ) and Danaher Corporation ( DHR ). Shareholders who purchased ACU prior to the ex-dividend date are eligible for the cash dividend payment. For more information on the declaration, record and payment dates, visit the ACU Dividend History page. Article Title: Danaher Breaks Below 200-Day Moving Average - Notable for DHR Article Text: In trading on Wednesday, shares of Danaher Corp (Symbol: DHR) crossed below their 200 day moving average of $101.71, changing hands as low as $100.13 per share. The chart below shows the one year performance of DHR shares, versus its 200 day moving average: Looking at the chart above, DHR's low point in its 52 week range is $91.841 per share, with $110.86 as the 52 week high point - that compares with a last trade of $100.25. Click here to find out which 9 other stocks recently crossed below their 200 day moving average » The views and opinions expressed herein are the views and opinions of the author and do not necessarily reflect those of Nasdaq, Inc.Closing Price on the final date - 89.83
CRM
2019-01-02_2019-01-05
2019-01-05
136.523911
144.470291
BUY
<|im_start|>user You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: Noteworthy Friday Option Activity: ARNC, REGN, CRM Article Text: Below is a chart showing REGN's trailing twelve month trading history, with the $400 strike highlighted in orange: And Salesforce.com Inc (Symbol: CRM) saw options trading volume of 30,852 contracts, representing approximately 3.1 million underlying shares or approximately 43.5% of CRM's average daily trading volume over the past month, of 7.1 million shares. Particularly high volume was seen for the $130 strike put option expiring January 18, 2019 , with 5,697 contracts trading so far today, representing approximately 569,700 underlying shares of CRM. Below is a chart showing CRM's trailing twelve month trading history, with the $130 strike highlighted in orange: For the various different available expirations for ARNC options , REGN options , or CRM options , visit StockOptionsChannel.com. Article Title: Salesforce Shares Soar on Analyst Rave Article Text: Salesforce.com (CRM) shares are up sharply on a new Wall Street analyst report that pegs it as the best tech investment in 2019. The enterprise-software company's stock is up 6% to $138.30 after FBN Securities analyst Shebly Seyrafi said its revenue should grow 21% in fiscal 2020, propelling it toward its oft-stated goal of achieving $23 billion in sales by fiscal 2022. "Jokingly, some may believe that a better name for the company in the future is'ServiceForce' as this cloud becomes the largest cloud," Seyrafi said in a Friday note, predicting low-double-digit growth in cloud sales and 30% spikes in its marketing and platform cloud segments. Article Title: The Zacks Analyst Blog Highlights: TripAdvisor, Advance Auto, Red Hat, Salesforce and Eli Lily Article Text: Click to get this free report TripAdvisor, Inc. (TRIP): Free Stock Analysis Report Eli Lilly and Company (LLY): Free Stock Analysis Report Advance Auto Parts, Inc. (AAP): Free Stock Analysis Report salesforce.com, inc. (CRM): Free Stock Analysis Report Red Hat, Inc. (RHT): Free Stock Analysis Report To read this article on Zacks.com click here. Stocks recently featured in the blog include: TripAdvisor Inc. TRIP , Advance Auto Parts, Inc. AAP , Red Hat Inc. RHT , Eli Lilly & Company LLY and Salesforce.com, Inc. CRM . Salesforce.com, Inc. is the leading provider of on-demand Customer Relationship Management (CRM) software. Article Title: Notable ETF Inflow Detected - IWF, V, PYPL, CRM Article Text: Among the largest underlying components of IWF, in trading today Visa Inc (Symbol: V) is up about 1.2%, PayPal Holdings Inc (Symbol: PYPL) is up about 0.3%, and Salesforce.com Inc (Symbol: CRM) is lower by about 1.6%. Looking today at week-over-week shares outstanding changes among the universe of ETFs covered at ETF Channel , one standout is the iShares Russell 1000 Growth ETF (Symbol: IWF) where we have detected an approximate $274.9 million dollar inflow -- that's a 0.7% increase week over week in outstanding units (from 292,700,000 to 294,800,000). For a complete list of holdings, visit the IWF Holdings page » The chart below shows the one year price performance of IWF, versus its 200 day moving average: Looking at the chart above, IWF's low point in its 52 week range is $121.71 per share, with $157.30 as the 52 week high point - that compares with a last trade of $129.56. Article Title: 3 Cloud Computing Stocks to Buy in 2019 Article Text: In addition, Veeva's CRM platform is powered by the Salesforce1 app development platform, and its services are tethered to Salesforce's marketing and service clouds. It also enjoys close ties to Salesforce (NYSE: CRM) , the world's biggest cloud-based CRM services provider. Yet one trio of high-growth cloud service companies -- Adobe Systems (NASDAQ: ADBE) , Twilio (NYSE: TWLO) , and Veeva Systems (NYSE: VEEV) -- bucked the downward trend with big gains. Article Title: The Zacks Analyst Blog Highlights: Alphabet, Boeing, Salesforce, United Technologies and Charter Communications Article Text: Click to get this free report Alphabet Inc. (GOOGL): Free Stock Analysis Report The Boeing Company (BA): Free Stock Analysis Report Charter Communications, Inc. (CHTR): Free Stock Analysis Report salesforce.com, inc. (CRM): Free Stock Analysis Report United Technologies Corporation (UTX): Free Stock Analysis Report To read this article on Zacks.com click here. Stocks recently featured in the blog include: Alphabet GOOGL , Boeing BA , Salesforce CRM , United Technologies UTX and Charter Communications CHTR ). Here are highlights from Monday's Analyst Blog: Top Stock Reports for Alphabet, Boeing and Salesforce The Zacks Research Daily presents the best research output of our analyst team. Article Title: 5 Great S&P 500 Stocks to Buy in 2019 Article Text: Click to get this free report TripAdvisor, Inc. (TRIP): Free Stock Analysis Report Eli Lilly and Company (LLY): Free Stock Analysis Report Advance Auto Parts, Inc. (AAP): Free Stock Analysis Report salesforce.com, inc. (CRM): Free Stock Analysis Report Red Hat, Inc. (RHT): Free Stock Analysis Report The Goldman Sachs Group, Inc. (GS): Free Stock Analysis Report Mastercard Incorporated (MA): Free Stock Analysis Report To read this article on Zacks.com click here. Salesforce.com, Inc.CRM is the leading provider of on-demand Customer Relationship Management (CRM) software. The company's expected earnings growth for the current year is 57%.Closing Price on the final date - 144.47<|im_end|> <|im_start|>assistant BUY<|im_end|> <|im_start|>assistant
You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: Noteworthy Friday Option Activity: ARNC, REGN, CRM Article Text: Below is a chart showing REGN's trailing twelve month trading history, with the $400 strike highlighted in orange: And Salesforce.com Inc (Symbol: CRM) saw options trading volume of 30,852 contracts, representing approximately 3.1 million underlying shares or approximately 43.5% of CRM's average daily trading volume over the past month, of 7.1 million shares. Particularly high volume was seen for the $130 strike put option expiring January 18, 2019 , with 5,697 contracts trading so far today, representing approximately 569,700 underlying shares of CRM. Below is a chart showing CRM's trailing twelve month trading history, with the $130 strike highlighted in orange: For the various different available expirations for ARNC options , REGN options , or CRM options , visit StockOptionsChannel.com. Article Title: Salesforce Shares Soar on Analyst Rave Article Text: Salesforce.com (CRM) shares are up sharply on a new Wall Street analyst report that pegs it as the best tech investment in 2019. The enterprise-software company's stock is up 6% to $138.30 after FBN Securities analyst Shebly Seyrafi said its revenue should grow 21% in fiscal 2020, propelling it toward its oft-stated goal of achieving $23 billion in sales by fiscal 2022. "Jokingly, some may believe that a better name for the company in the future is'ServiceForce' as this cloud becomes the largest cloud," Seyrafi said in a Friday note, predicting low-double-digit growth in cloud sales and 30% spikes in its marketing and platform cloud segments. Article Title: The Zacks Analyst Blog Highlights: TripAdvisor, Advance Auto, Red Hat, Salesforce and Eli Lily Article Text: Click to get this free report TripAdvisor, Inc. (TRIP): Free Stock Analysis Report Eli Lilly and Company (LLY): Free Stock Analysis Report Advance Auto Parts, Inc. (AAP): Free Stock Analysis Report salesforce.com, inc. (CRM): Free Stock Analysis Report Red Hat, Inc. (RHT): Free Stock Analysis Report To read this article on Zacks.com click here. Stocks recently featured in the blog include: TripAdvisor Inc. TRIP , Advance Auto Parts, Inc. AAP , Red Hat Inc. RHT , Eli Lilly & Company LLY and Salesforce.com, Inc. CRM . Salesforce.com, Inc. is the leading provider of on-demand Customer Relationship Management (CRM) software. Article Title: Notable ETF Inflow Detected - IWF, V, PYPL, CRM Article Text: Among the largest underlying components of IWF, in trading today Visa Inc (Symbol: V) is up about 1.2%, PayPal Holdings Inc (Symbol: PYPL) is up about 0.3%, and Salesforce.com Inc (Symbol: CRM) is lower by about 1.6%. Looking today at week-over-week shares outstanding changes among the universe of ETFs covered at ETF Channel , one standout is the iShares Russell 1000 Growth ETF (Symbol: IWF) where we have detected an approximate $274.9 million dollar inflow -- that's a 0.7% increase week over week in outstanding units (from 292,700,000 to 294,800,000). For a complete list of holdings, visit the IWF Holdings page » The chart below shows the one year price performance of IWF, versus its 200 day moving average: Looking at the chart above, IWF's low point in its 52 week range is $121.71 per share, with $157.30 as the 52 week high point - that compares with a last trade of $129.56. Article Title: 3 Cloud Computing Stocks to Buy in 2019 Article Text: In addition, Veeva's CRM platform is powered by the Salesforce1 app development platform, and its services are tethered to Salesforce's marketing and service clouds. It also enjoys close ties to Salesforce (NYSE: CRM) , the world's biggest cloud-based CRM services provider. Yet one trio of high-growth cloud service companies -- Adobe Systems (NASDAQ: ADBE) , Twilio (NYSE: TWLO) , and Veeva Systems (NYSE: VEEV) -- bucked the downward trend with big gains. Article Title: The Zacks Analyst Blog Highlights: Alphabet, Boeing, Salesforce, United Technologies and Charter Communications Article Text: Click to get this free report Alphabet Inc. (GOOGL): Free Stock Analysis Report The Boeing Company (BA): Free Stock Analysis Report Charter Communications, Inc. (CHTR): Free Stock Analysis Report salesforce.com, inc. (CRM): Free Stock Analysis Report United Technologies Corporation (UTX): Free Stock Analysis Report To read this article on Zacks.com click here. Stocks recently featured in the blog include: Alphabet GOOGL , Boeing BA , Salesforce CRM , United Technologies UTX and Charter Communications CHTR ). Here are highlights from Monday's Analyst Blog: Top Stock Reports for Alphabet, Boeing and Salesforce The Zacks Research Daily presents the best research output of our analyst team. Article Title: 5 Great S&P 500 Stocks to Buy in 2019 Article Text: Click to get this free report TripAdvisor, Inc. (TRIP): Free Stock Analysis Report Eli Lilly and Company (LLY): Free Stock Analysis Report Advance Auto Parts, Inc. (AAP): Free Stock Analysis Report salesforce.com, inc. (CRM): Free Stock Analysis Report Red Hat, Inc. (RHT): Free Stock Analysis Report The Goldman Sachs Group, Inc. (GS): Free Stock Analysis Report Mastercard Incorporated (MA): Free Stock Analysis Report To read this article on Zacks.com click here. Salesforce.com, Inc.CRM is the leading provider of on-demand Customer Relationship Management (CRM) software. The company's expected earnings growth for the current year is 57%.Closing Price on the final date - 144.47
QCOM
2019-01-02_2019-01-05
2019-01-05
48.030258
48.038754
HOLD
<|im_start|>user You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: QQQ, QCOM, CTSH, MU: Large Outflows Detected at ETF Article Text: Among the largest underlying components of QQQ, in trading today Qualcomm Inc (Symbol: QCOM) is up about 1%, Cognizant Technology Solutions Corp. (Symbol: CTSH) is up about 3.4%, and Micron Technology Inc. (Symbol: MU) is up by about 4%. Looking today at week-over-week shares outstanding changes among the universe of ETFs covered at ETF Channel , one standout is the Invesco QQQ (Symbol: QQQ) where we have detected an approximate $741.6 million dollar outflow -- that's a 1.2% decrease week over week (from 401,650,000 to 396,700,000). For a complete list of holdings, visit the QQQ Holdings page » The chart below shows the one year price performance of QQQ, versus its 200 day moving average: Looking at the chart above, QQQ's low point in its 52 week range is $143.46 per share, with $187.53 as the 52 week high point - that compares with a last trade of $154.75. Article Title: Technology Sector Update for 01/04/2019: SQ, QCOM, AAPL, GOOG, GOOGL, IBM, CSCO, MSFT Article Text: In other sector news: (+) Qualcomm ( QCOM ) has asked a German court to enforce an order to ban the sale of Apple's (APPL) iPhones in the country amid a protracted patent dispute, media reported. The company said Friday that Amrita Ahuja will join the company as CFO this month, reporting to CEO Jack Dorsey. (+) Alphabet (GOOG, GOOGL) was up over 1% as its life sciences company Verily raised $1 billion in a funding round led by technology investment firm Silver Lake. Article Title: Trimble Partners With Neurable, Brings BCI to AEC Customers Article Text: Click to get this free report Veeva Systems Inc. (VEEV): Free Stock Analysis Report QUALCOMM Incorporated (QCOM): Free Stock Analysis Report Trimble Inc. (TRMB): Free Stock Analysis Report Alteryx, Inc. (AYX): Free Stock Analysis Report To read this article on Zacks.com click here. Some better-ranked stocks in the broader computer and technology sector include Qualcomm QCOM , Alteryx AYX and Veeva Systems VEEV . Per reports , the global market for BCI technology is expected to witness a compounded annual growth rate of 22.8% between 2018 and 2023, driven by an increasing demand for sensor technology globally. Article Title: Qualcomm Posts Security Bonds to Impose iPhone Ban in Germany Article Text: Click to get this free report Qorvo, Inc. (QRVO): Free Stock Analysis Report QUALCOMM Incorporated (QCOM): Free Stock Analysis Report Apple Inc. (AAPL): Free Stock Analysis Report Intel Corporation (INTC): Free Stock Analysis Report To read this article on Zacks.com click here. QUALCOMM Incorporated QCOM recently announced that it has posted the required security bonds in the District Court of Munich to enforce ban on some iPhone models of Apple Inc. AAPL in Germany. In early December, the Fuzhou Intermediate People's Court in China held Apple guilty of twin patent infringement and ordered an immediate ban on sales of older iPhone models, from the 6S through the X in the country (read more: Qualcomm Wins Twin Patent Battle in China Against Apple ). Article Title: Qualcomm (QCOM) Gains But Lags Market: What You Should Know Article Text: Qualcomm (QCOM) closed the most recent trading day at $56.60, moving +1.62% from the previous trading session. Wall Street will be looking for positivity from QCOM as it approaches its next earnings report date. On that day, QCOM is projected to report earnings of $1.08 per share, which would represent year-over-year growth of 10.2%. Article Title: Technology Sector Update for 01/04/2019: VMW,DELL,SQ,GOOG,GOOGL,QCOM,AAPL Article Text: (+) Qualcomm ( QCOM ) was nearly 2% higher Friday afternoon after the mobile phones chipmaker asked a German court to enforce an order banning the sale of Apple (APPL) iPhones in that country amid a protracted patent dispute, media reported. Technology stocks recovered from their Thursday thrashing, with the shares of tech stocks in the S&P 500 adding about 4.2% in value while the Philadelphia Semiconductor Index rose over 4.1%. Analysts at Wedbush cut their price target for the software firm by $27 to $173 to reflect the one-time $11 billion payout to shareholders announced earlier Friday as part of the VMware's recent spin-off transaction of Dell Technologies ( DELL ). Article Title: Technology Sector Update for 01/04/2019: GOOG,GOOGL,QCOM,AAPL Article Text: In other sector news: (+) Qualcomm ( QCOM ) was 1.6% higher Friday afternoon after the mobile phones chipmaker asked a German court to enforce an order banning the sale of Apple (APPL) iPhones in that country amid a protracted patent dispute, media reported. Technology stocks continue to rebound from Thursday's thrashing, with the shares of tech companies in the S&P 500 adding 4.5% in value, while the Philadelphia Semiconductor Index was rising 4.6%. Among technology stocks moving on news: (+) Alphabet (GOOG,GOOGL) climbed 5% on Friday after the internet conglomerate said its Verily life sciences company raised $1 billion in a new funding round led by Silver Lake Ventures. Article Title: Here's Why You Should Add Fossil (FOSL) to Your Portfolio Article Text: Click to get this free report QUALCOMM Incorporated (QCOM): Free Stock Analysis Report Fossil Group, Inc. (FOSL): Free Stock Analysis Report Ralph Lauren Corporation (RL): Free Stock Analysis Report Michael Kors Holdings Limited (CPRI): Free Stock Analysis Report To read this article on Zacks.com click here. Additionally, partnerships with Qualcomm QCOM and Google, and the addition of new brands to its smartwatch line-up in 2018 are likely to strengthen Fossil's wearables portfolio. Wearables Growth: A Key Catalyst The introduction of wearable technology in watches has offered Fossil ample opportunities to extend its reach of brands and offer customers new functionality via accessories, including activity trackers, hybrid watches and smart watches. Article Title: Garmin Certifies Flight Displays, Boosts Aviation Business Article Text: Click to get this free report Veeva Systems Inc. (VEEV): Free Stock Analysis Report QUALCOMM Incorporated (QCOM): Free Stock Analysis Report Garmin Ltd. (GRMN): Free Stock Analysis Report Alteryx, Inc. (AYX): Free Stock Analysis Report To read this article on Zacks.com click here. Some other top-ranked stocks in the broader computer and technology sector include Qualcomm QCOM , Alteryx AYX and Veeva Systems VEEV . The new flight display is exclusively designed for normal visual flight rule ("VFR") helicopters that are already equipped with the G500H flight display, which makes it a lucrative upgrade. Article Title: Forget Broadcom, NXP Semiconductors Is a Better Value Stock Article Text: NXP had a $44 billion buyout offer from fellow embedded microchip maker Qualcomm (NASDAQ: QCOM) , while Qualcomm itself was the target of a hostile takeover attempt by Broadcom. In a semiconductor industry where many of the largest competitors trade at 20 times trailing earnings or cash flows, you can pick up NXP shares at just 12.5 times earnings and 6.2 times free cash flows. There's nothing terribly wrong with owning Broadcom, but if you want to buy only one chip stock today, NXP should be it . Article Title: Alphabet, Sony, FedEx and Qualcomm highlighted as Zacks Bull and Bear of the Day Article Text: Click to get this free report Alphabet Inc. (GOOGL): Free Stock Analysis Report QUALCOMM Incorporated (QCOM): Free Stock Analysis Report Sony Corporation (SNE): Free Stock Analysis Report FedEx Corporation (FDX): Free Stock Analysis Report To read this article on Zacks.com click here. In addition, Zacks Equity Research provides analysis on FedEx FDX and Qualcomm Inc. QCOM . QCOM currently sports a Zacks Rank #1 (Strong Buy). Article Title: Apple (AAPL) Slashes Sales Forecast for Q1, Blames China Article Text: Click to get this free report Veeva Systems Inc. (VEEV): Free Stock Analysis Report QUALCOMM Incorporated (QCOM): Free Stock Analysis Report Apple Inc. (AAPL): Free Stock Analysis Report Alteryx, Inc. (AYX): Free Stock Analysis Report To read this article on Zacks.com click here. Some better-ranked stocks in the broader computer and technology sector include Qualcomm QCOM , Alteryx AYX and Veeva Systems VEEV . Slowdown in China to Hurt Apple China is an important market for Apple, given the growing number of middle-class customers. Article Title: Is QUALCOMM (QCOM) Outperforming Other Computer and Technology Stocks This Year? Article Text: Investors focused on the Computer and Technology space have likely heard of QUALCOMM (QCOM), but is the stock performing well in comparison to the rest of its sector peers? Stocks in this group have lost about 0.39% so far this year, so QCOM is performing better this group in terms of year-to-date returns. QCOM is currently sporting a Zacks Rank of #1 (Strong Buy). Article Title: 3 Key Growth Areas for Qualcomm Article Text: Qualcomm (NASDAQ: QCOM) has benefited greatly from the smartphone revolution through both its chip business -- known as Qualcomm CDMA Technologies (QCT) -- as well as its wireless technology licensing business. What Amon is saying here is that Qualcomm benefits from the fact that its own RF front-end chips are gaining traction and that the RF front ends of 5G smartphones will need to be more complex (e.g., they require more chips), which should drive up the dollar content of those 5G-capable RF front ends, boosting Qualcomm's business. So, in a nutshell, the transition to 5G smartphones (a transition that'll happen in premium smartphones first but should percolate down to high-end, then mid-range, and then finally low-end smartphones over time) should help Qualcomm's chip business grow. Article Title: 3 Blue Chip Tech Stocks to Buy Now Article Text: Click to get this free report Alphabet Inc. (GOOGL): Free Stock Analysis Report QUALCOMM Incorporated (QCOM): Free Stock Analysis Report Sony Corporation (SNE): Free Stock Analysis Report To read this article on Zacks.com click here. Qualcomm Incorporated (QCOM) Qualcomm is one of the world's largest telecommunications equipment and semiconductor manufacturing companies. QCOM currently sports a Zacks Rank #1 (Strong Buy).Closing Price on the final date - 48.04<|im_end|> <|im_start|>assistant HOLD<|im_end|> <|im_start|>assistant
You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: QQQ, QCOM, CTSH, MU: Large Outflows Detected at ETF Article Text: Among the largest underlying components of QQQ, in trading today Qualcomm Inc (Symbol: QCOM) is up about 1%, Cognizant Technology Solutions Corp. (Symbol: CTSH) is up about 3.4%, and Micron Technology Inc. (Symbol: MU) is up by about 4%. Looking today at week-over-week shares outstanding changes among the universe of ETFs covered at ETF Channel , one standout is the Invesco QQQ (Symbol: QQQ) where we have detected an approximate $741.6 million dollar outflow -- that's a 1.2% decrease week over week (from 401,650,000 to 396,700,000). For a complete list of holdings, visit the QQQ Holdings page » The chart below shows the one year price performance of QQQ, versus its 200 day moving average: Looking at the chart above, QQQ's low point in its 52 week range is $143.46 per share, with $187.53 as the 52 week high point - that compares with a last trade of $154.75. Article Title: Technology Sector Update for 01/04/2019: SQ, QCOM, AAPL, GOOG, GOOGL, IBM, CSCO, MSFT Article Text: In other sector news: (+) Qualcomm ( QCOM ) has asked a German court to enforce an order to ban the sale of Apple's (APPL) iPhones in the country amid a protracted patent dispute, media reported. The company said Friday that Amrita Ahuja will join the company as CFO this month, reporting to CEO Jack Dorsey. (+) Alphabet (GOOG, GOOGL) was up over 1% as its life sciences company Verily raised $1 billion in a funding round led by technology investment firm Silver Lake. Article Title: Trimble Partners With Neurable, Brings BCI to AEC Customers Article Text: Click to get this free report Veeva Systems Inc. (VEEV): Free Stock Analysis Report QUALCOMM Incorporated (QCOM): Free Stock Analysis Report Trimble Inc. (TRMB): Free Stock Analysis Report Alteryx, Inc. (AYX): Free Stock Analysis Report To read this article on Zacks.com click here. Some better-ranked stocks in the broader computer and technology sector include Qualcomm QCOM , Alteryx AYX and Veeva Systems VEEV . Per reports , the global market for BCI technology is expected to witness a compounded annual growth rate of 22.8% between 2018 and 2023, driven by an increasing demand for sensor technology globally. Article Title: Qualcomm Posts Security Bonds to Impose iPhone Ban in Germany Article Text: Click to get this free report Qorvo, Inc. (QRVO): Free Stock Analysis Report QUALCOMM Incorporated (QCOM): Free Stock Analysis Report Apple Inc. (AAPL): Free Stock Analysis Report Intel Corporation (INTC): Free Stock Analysis Report To read this article on Zacks.com click here. QUALCOMM Incorporated QCOM recently announced that it has posted the required security bonds in the District Court of Munich to enforce ban on some iPhone models of Apple Inc. AAPL in Germany. In early December, the Fuzhou Intermediate People's Court in China held Apple guilty of twin patent infringement and ordered an immediate ban on sales of older iPhone models, from the 6S through the X in the country (read more: Qualcomm Wins Twin Patent Battle in China Against Apple ). Article Title: Qualcomm (QCOM) Gains But Lags Market: What You Should Know Article Text: Qualcomm (QCOM) closed the most recent trading day at $56.60, moving +1.62% from the previous trading session. Wall Street will be looking for positivity from QCOM as it approaches its next earnings report date. On that day, QCOM is projected to report earnings of $1.08 per share, which would represent year-over-year growth of 10.2%. Article Title: Technology Sector Update for 01/04/2019: VMW,DELL,SQ,GOOG,GOOGL,QCOM,AAPL Article Text: (+) Qualcomm ( QCOM ) was nearly 2% higher Friday afternoon after the mobile phones chipmaker asked a German court to enforce an order banning the sale of Apple (APPL) iPhones in that country amid a protracted patent dispute, media reported. Technology stocks recovered from their Thursday thrashing, with the shares of tech stocks in the S&P 500 adding about 4.2% in value while the Philadelphia Semiconductor Index rose over 4.1%. Analysts at Wedbush cut their price target for the software firm by $27 to $173 to reflect the one-time $11 billion payout to shareholders announced earlier Friday as part of the VMware's recent spin-off transaction of Dell Technologies ( DELL ). Article Title: Technology Sector Update for 01/04/2019: GOOG,GOOGL,QCOM,AAPL Article Text: In other sector news: (+) Qualcomm ( QCOM ) was 1.6% higher Friday afternoon after the mobile phones chipmaker asked a German court to enforce an order banning the sale of Apple (APPL) iPhones in that country amid a protracted patent dispute, media reported. Technology stocks continue to rebound from Thursday's thrashing, with the shares of tech companies in the S&P 500 adding 4.5% in value, while the Philadelphia Semiconductor Index was rising 4.6%. Among technology stocks moving on news: (+) Alphabet (GOOG,GOOGL) climbed 5% on Friday after the internet conglomerate said its Verily life sciences company raised $1 billion in a new funding round led by Silver Lake Ventures. Article Title: Here's Why You Should Add Fossil (FOSL) to Your Portfolio Article Text: Click to get this free report QUALCOMM Incorporated (QCOM): Free Stock Analysis Report Fossil Group, Inc. (FOSL): Free Stock Analysis Report Ralph Lauren Corporation (RL): Free Stock Analysis Report Michael Kors Holdings Limited (CPRI): Free Stock Analysis Report To read this article on Zacks.com click here. Additionally, partnerships with Qualcomm QCOM and Google, and the addition of new brands to its smartwatch line-up in 2018 are likely to strengthen Fossil's wearables portfolio. Wearables Growth: A Key Catalyst The introduction of wearable technology in watches has offered Fossil ample opportunities to extend its reach of brands and offer customers new functionality via accessories, including activity trackers, hybrid watches and smart watches. Article Title: Garmin Certifies Flight Displays, Boosts Aviation Business Article Text: Click to get this free report Veeva Systems Inc. (VEEV): Free Stock Analysis Report QUALCOMM Incorporated (QCOM): Free Stock Analysis Report Garmin Ltd. (GRMN): Free Stock Analysis Report Alteryx, Inc. (AYX): Free Stock Analysis Report To read this article on Zacks.com click here. Some other top-ranked stocks in the broader computer and technology sector include Qualcomm QCOM , Alteryx AYX and Veeva Systems VEEV . The new flight display is exclusively designed for normal visual flight rule ("VFR") helicopters that are already equipped with the G500H flight display, which makes it a lucrative upgrade. Article Title: Forget Broadcom, NXP Semiconductors Is a Better Value Stock Article Text: NXP had a $44 billion buyout offer from fellow embedded microchip maker Qualcomm (NASDAQ: QCOM) , while Qualcomm itself was the target of a hostile takeover attempt by Broadcom. In a semiconductor industry where many of the largest competitors trade at 20 times trailing earnings or cash flows, you can pick up NXP shares at just 12.5 times earnings and 6.2 times free cash flows. There's nothing terribly wrong with owning Broadcom, but if you want to buy only one chip stock today, NXP should be it . Article Title: Alphabet, Sony, FedEx and Qualcomm highlighted as Zacks Bull and Bear of the Day Article Text: Click to get this free report Alphabet Inc. (GOOGL): Free Stock Analysis Report QUALCOMM Incorporated (QCOM): Free Stock Analysis Report Sony Corporation (SNE): Free Stock Analysis Report FedEx Corporation (FDX): Free Stock Analysis Report To read this article on Zacks.com click here. In addition, Zacks Equity Research provides analysis on FedEx FDX and Qualcomm Inc. QCOM . QCOM currently sports a Zacks Rank #1 (Strong Buy). Article Title: Apple (AAPL) Slashes Sales Forecast for Q1, Blames China Article Text: Click to get this free report Veeva Systems Inc. (VEEV): Free Stock Analysis Report QUALCOMM Incorporated (QCOM): Free Stock Analysis Report Apple Inc. (AAPL): Free Stock Analysis Report Alteryx, Inc. (AYX): Free Stock Analysis Report To read this article on Zacks.com click here. Some better-ranked stocks in the broader computer and technology sector include Qualcomm QCOM , Alteryx AYX and Veeva Systems VEEV . Slowdown in China to Hurt Apple China is an important market for Apple, given the growing number of middle-class customers. Article Title: Is QUALCOMM (QCOM) Outperforming Other Computer and Technology Stocks This Year? Article Text: Investors focused on the Computer and Technology space have likely heard of QUALCOMM (QCOM), but is the stock performing well in comparison to the rest of its sector peers? Stocks in this group have lost about 0.39% so far this year, so QCOM is performing better this group in terms of year-to-date returns. QCOM is currently sporting a Zacks Rank of #1 (Strong Buy). Article Title: 3 Key Growth Areas for Qualcomm Article Text: Qualcomm (NASDAQ: QCOM) has benefited greatly from the smartphone revolution through both its chip business -- known as Qualcomm CDMA Technologies (QCT) -- as well as its wireless technology licensing business. What Amon is saying here is that Qualcomm benefits from the fact that its own RF front-end chips are gaining traction and that the RF front ends of 5G smartphones will need to be more complex (e.g., they require more chips), which should drive up the dollar content of those 5G-capable RF front ends, boosting Qualcomm's business. So, in a nutshell, the transition to 5G smartphones (a transition that'll happen in premium smartphones first but should percolate down to high-end, then mid-range, and then finally low-end smartphones over time) should help Qualcomm's chip business grow. Article Title: 3 Blue Chip Tech Stocks to Buy Now Article Text: Click to get this free report Alphabet Inc. (GOOGL): Free Stock Analysis Report QUALCOMM Incorporated (QCOM): Free Stock Analysis Report Sony Corporation (SNE): Free Stock Analysis Report To read this article on Zacks.com click here. Qualcomm Incorporated (QCOM) Qualcomm is one of the world's largest telecommunications equipment and semiconductor manufacturing companies. QCOM currently sports a Zacks Rank #1 (Strong Buy).Closing Price on the final date - 48.04
V
2019-01-02_2019-01-05
2019-01-05
127.537262
132.07962
BUY
<|im_start|>user You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: Here's Why Mastercard, Visa, American Express, and Discover All Popped on Friday Article Text: Mastercard (NYSE: MA) , Visa (NYSE: V) , American Express (NYSE: AXP) , and Discover Financial Services (NYSE: DFS) were all up by over 4%. 10 stocks we like better than Visa When investing geniuses David and Tom Gardner have a stock tip, it can pay to listen. The views and opinions expressed herein are the views and opinions of the author and do not necessarily reflect those of Nasdaq, Inc. Article Title: A Top Bank Just Downgraded AmEx Stock: Is It Time to Sell? Article Text: Bank of America Merrill Lynch cut its recommendation on American Express (NYSE: AXP) stock, changing its view on the big credit card company from buy to neutral. A nervous sell-off In his note to investors, Merrill analyst Kenneth Bruce expressed concern that because of "broader market volatility and elevated uncertainty relating to the macro backdrop, we anticipate weaker sentiment for AmEx shares prospectively." The views and opinions expressed herein are the views and opinions of the author and do not necessarily reflect those of Nasdaq, Inc. Article Title: Notable ETF Inflow Detected - IWF, V, PYPL, CRM Article Text: Looking today at week-over-week shares outstanding changes among the universe of ETFs covered at ETF Channel , one standout is the iShares Russell 1000 Growth ETF (Symbol: IWF) where we have detected an approximate $274.9 million dollar inflow -- that's a 0.7% increase week over week in outstanding units (from 292,700,000 to 294,800,000). For a complete list of holdings, visit the IWF Holdings page » The chart below shows the one year price performance of IWF, versus its 200 day moving average: Looking at the chart above, IWF's low point in its 52 week range is $121.71 per share, with $157.30 as the 52 week high point - that compares with a last trade of $129.56. Creation of new units will mean the underlying holdings of the ETF need to be purchased, while destruction of units involves selling underlying holdings, so large flows can also impact the individual components held within ETFs.Closing Price on the final date - 132.08<|im_end|> <|im_start|>assistant BUY<|im_end|> <|im_start|>assistant
You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: Here's Why Mastercard, Visa, American Express, and Discover All Popped on Friday Article Text: Mastercard (NYSE: MA) , Visa (NYSE: V) , American Express (NYSE: AXP) , and Discover Financial Services (NYSE: DFS) were all up by over 4%. 10 stocks we like better than Visa When investing geniuses David and Tom Gardner have a stock tip, it can pay to listen. The views and opinions expressed herein are the views and opinions of the author and do not necessarily reflect those of Nasdaq, Inc. Article Title: A Top Bank Just Downgraded AmEx Stock: Is It Time to Sell? Article Text: Bank of America Merrill Lynch cut its recommendation on American Express (NYSE: AXP) stock, changing its view on the big credit card company from buy to neutral. A nervous sell-off In his note to investors, Merrill analyst Kenneth Bruce expressed concern that because of "broader market volatility and elevated uncertainty relating to the macro backdrop, we anticipate weaker sentiment for AmEx shares prospectively." The views and opinions expressed herein are the views and opinions of the author and do not necessarily reflect those of Nasdaq, Inc. Article Title: Notable ETF Inflow Detected - IWF, V, PYPL, CRM Article Text: Looking today at week-over-week shares outstanding changes among the universe of ETFs covered at ETF Channel , one standout is the iShares Russell 1000 Growth ETF (Symbol: IWF) where we have detected an approximate $274.9 million dollar inflow -- that's a 0.7% increase week over week in outstanding units (from 292,700,000 to 294,800,000). For a complete list of holdings, visit the IWF Holdings page » The chart below shows the one year price performance of IWF, versus its 200 day moving average: Looking at the chart above, IWF's low point in its 52 week range is $121.71 per share, with $157.30 as the 52 week high point - that compares with a last trade of $129.56. Creation of new units will mean the underlying holdings of the ETF need to be purchased, while destruction of units involves selling underlying holdings, so large flows can also impact the individual components held within ETFs.Closing Price on the final date - 132.08
PM
2019-01-02_2019-01-05
2019-01-05
48.808384
47.657475
SELL
<|im_start|>user You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: Why Johnson & Johnson Stock is Clearly Set to Rise Again Article Text: In a five-year DCF revenue exit model, after assigning a discount rate of between 8% - 9%, JNJ stock has a fair value of $146.60: FY Ending Dec.201720182019202020212022 Revenue ($, 000) 76,45081,14185,19889,45893,93098,627% Growth6.30%6.10%5.00%5.00%5.00%5.00% EBITDA ($, 000) 24,63429,33131,33533,12235,71138,376% of Revenue32.20%36.10%36.80%37.00%38.00%38.90% Source: finbox.io Use JNJ as a Hedge Against Tobacco Stocks Income investors cannot ignore the 33% drop in Altria Group (NYSE: MO ), 56% drop in British AmericanTobacco (NYSE: BTI ), or 40% drop in Philip Morris International Inc. (NYSE: PM). InvestorPlace - Stock Market News, Stock Advice & Trading Tips Johnson & Johnson (NYSE: JNJ ) was flying high in 2018 on its way toward yearly highs in the fourth quarter. More From InvestorPlace 2 Toxic Pot Stocks You Should Avoid 10 Stocks to Pull From the Bear Market Bargain Bin 7 Reasons Tesla Stock Will Win in 2019 7 Bargain-Bin ETFs For Frugal Investors Compare Brokers The post Why Johnson & Johnson Stock is Clearly Set to Rise Again appeared first on InvestorPlace . Article Title: Universal Corporation (UVV) Ex-Dividend Date Scheduled for January 04, 2019 Article Text: UVV is a part of the Consumer Services sector, which includes companies such as Philip Morris International Inc ( PM ) and Altria Group ( MO ). Shareholders who purchased UVV prior to the ex-dividend date are eligible for the cash dividend payment. For more information on the declaration, record and payment dates, visit the UVV Dividend History page. Article Title: Are These Bulls Right About Philip Morris International? Article Text: PMI bulls believe that robust demand for its IQOS devices, which heat-branded tobacco HeatSticks instead of burning them, will stabilize PMI's business. Looking ahead, PMI plans to grow IQOS' market share in South Korea and other markets, which should boost the brand's 1.7% share of the global cigarette and heated-tobacco market (excluding the U.S. and China) over the long term. All of PMI's growth metrics look much healthier than Altria's ongoing declines in shipments, market share, and operating margins in the U.S. PMI is also able to grow its adjusted EPS without aggressively repurchasing shares like Altria has -- since much of PMI's cash remains overseas and volatile exchange rates could render its buybacks wasteful. Article Title: 7 High Yielding, High-Risk Stocks With Long-Term Potential Article Text: PSEC stock got caught in a downdraft as business development companies fell alongside the market's decline. Philip Morris (PM) Source: Taber Andrew Bain Via Flickr Dividend Yield: 6.8% Philip Morris (NYSE: PM ), similar to Altria, is down close to its 52-week lows, pushing its dividend yield to 6.8%. PM shares are also down because of uncertainties over the FDA taking its time on IQOS.Closing Price on the final date - 47.66<|im_end|> <|im_start|>assistant SELL<|im_end|> <|im_start|>assistant
You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: Why Johnson & Johnson Stock is Clearly Set to Rise Again Article Text: In a five-year DCF revenue exit model, after assigning a discount rate of between 8% - 9%, JNJ stock has a fair value of $146.60: FY Ending Dec.201720182019202020212022 Revenue ($, 000) 76,45081,14185,19889,45893,93098,627% Growth6.30%6.10%5.00%5.00%5.00%5.00% EBITDA ($, 000) 24,63429,33131,33533,12235,71138,376% of Revenue32.20%36.10%36.80%37.00%38.00%38.90% Source: finbox.io Use JNJ as a Hedge Against Tobacco Stocks Income investors cannot ignore the 33% drop in Altria Group (NYSE: MO ), 56% drop in British AmericanTobacco (NYSE: BTI ), or 40% drop in Philip Morris International Inc. (NYSE: PM). InvestorPlace - Stock Market News, Stock Advice & Trading Tips Johnson & Johnson (NYSE: JNJ ) was flying high in 2018 on its way toward yearly highs in the fourth quarter. More From InvestorPlace 2 Toxic Pot Stocks You Should Avoid 10 Stocks to Pull From the Bear Market Bargain Bin 7 Reasons Tesla Stock Will Win in 2019 7 Bargain-Bin ETFs For Frugal Investors Compare Brokers The post Why Johnson & Johnson Stock is Clearly Set to Rise Again appeared first on InvestorPlace . Article Title: Universal Corporation (UVV) Ex-Dividend Date Scheduled for January 04, 2019 Article Text: UVV is a part of the Consumer Services sector, which includes companies such as Philip Morris International Inc ( PM ) and Altria Group ( MO ). Shareholders who purchased UVV prior to the ex-dividend date are eligible for the cash dividend payment. For more information on the declaration, record and payment dates, visit the UVV Dividend History page. Article Title: Are These Bulls Right About Philip Morris International? Article Text: PMI bulls believe that robust demand for its IQOS devices, which heat-branded tobacco HeatSticks instead of burning them, will stabilize PMI's business. Looking ahead, PMI plans to grow IQOS' market share in South Korea and other markets, which should boost the brand's 1.7% share of the global cigarette and heated-tobacco market (excluding the U.S. and China) over the long term. All of PMI's growth metrics look much healthier than Altria's ongoing declines in shipments, market share, and operating margins in the U.S. PMI is also able to grow its adjusted EPS without aggressively repurchasing shares like Altria has -- since much of PMI's cash remains overseas and volatile exchange rates could render its buybacks wasteful. Article Title: 7 High Yielding, High-Risk Stocks With Long-Term Potential Article Text: PSEC stock got caught in a downdraft as business development companies fell alongside the market's decline. Philip Morris (PM) Source: Taber Andrew Bain Via Flickr Dividend Yield: 6.8% Philip Morris (NYSE: PM ), similar to Altria, is down close to its 52-week lows, pushing its dividend yield to 6.8%. PM shares are also down because of uncertainties over the FDA taking its time on IQOS.Closing Price on the final date - 47.66
T
2019-01-02_2019-01-05
2019-01-05
13.828894
14.022194
BUY
<|im_start|>user You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: Disney Rides on Portfolio Strength, Competition Woes Remain Article Text: Further, Disney's line-up for the next year, including Captain Marvel , Dumbo , Aladdin , The Lion King , Toy Story 4 and the next Avengers film, is expected to deliver yet another year of massive hits. The Walt Disney Company Revenue (TTM) The Walt Disney Company Revenue (TTM) | The Walt Disney Company Quote Robust collections from these movies also bode well for the Consumer Products division, as demand for merchandise associated with super hit movies usually skyrockets, as seen in case of Frozen . Click to get this free report The Walt Disney Company (DIS): Free Stock Analysis Report Netflix, Inc. (NFLX): Free Stock Analysis Report AT&T Inc. (T): Free Stock Analysis Report Apple Inc. (AAPL): Free Stock Analysis Report To read this article on Zacks.com click here. Article Title: Buy Netflix (NFLX) Stock After Goldman Positivity & New CFO Hire? Article Text: Goldman addressed Netflix's somewhat worrisome spending habits as it ramps up its cash burn in order to bolster its original content library as the streaming wars heat up. Outlook Netflix expects to add a total of 9.4 million subscribers in the fourth quarter, which would bring its total to 146.5 million worldwide-Netflix added 8.3 million subscribers in Q4 last year. Click to get this free report The Walt Disney Company (DIS): Free Stock Analysis Report Netflix, Inc. (NFLX): Free Stock Analysis Report Amazon.com, Inc. (AMZN): Free Stock Analysis Report AT&T Inc. (T): Free Stock Analysis Report Apple Inc. (AAPL): Free Stock Analysis Report Microsoft Corporation (MSFT): Free Stock Analysis Report The Goldman Sachs Group, Inc. (GS): Free Stock Analysis Report Activision Blizzard, Inc (ATVI): Free Stock Analysis Report Intel Corporation (INTC): Free Stock Analysis Report To read this article on Zacks.com click here. Article Title: AT&T Stock Still Is One of the Best Downturn Plays Article Text: InvestorPlace - Stock Market News, Stock Advice & Trading Tips AT&T (NYSE: T ) is almost as reliable a pick as you can make, and as the market gets less predictable, AT&T stock ight be a safe haven. Thus, what you have with AT&T stock is a company that projects to have stable earnings over the next several years, regardless of broader economic strength, and a stock that is already priced for the worst to happen. As of this writing, Luke Lango was long AAPL, TSLA, and T. More From InvestorPlace 2 Toxic Pot Stocks You Should Avoid 7 Downtrodden Stocks to Fish From the Bottom 8 Cheap Value Stocks That Just Got More Enticing 5 Apple Suppliers Hurt by the Guidance Cut Compare Brokers The post AT&T Stock Still Is One of the Best Downturn Plays appeared first on InvestorPlace . Article Title: AT&T and Los Angeles Introduce ShakeAlertLA for Citizens Article Text: In an effort to help improve public safety, AT&T Inc.T in collaboration with the City of Los Angeles administration introduced ShakeAlertLA - a mobile app that alerts residents of Los Angeles County in case of an earthquake. While T-Mobile sports a Zacks Rank #1 (Strong Buy), Sprint and United States Cellular carry a Zacks Rank #2 (Buy). Click to get this free report AT&T Inc. (T): Free Stock Analysis Report Sprint Corporation (S): Free Stock Analysis Report T-Mobile US, Inc. (TMUS): Free Stock Analysis Report United States Cellular Corporation (USM): Free Stock Analysis Report To read this article on Zacks.com click here. Article Title: AT&T Is the Best Name Among Wireless’ New Big Three Article Text: InvestorPlace - Stock Market News, Stock Advice & Trading Tips With its massive 5G network ready to launch, AT&T (NYSE: T ) will play a critical role in the latest tech revolution. Furthermore, the stock's 7.2%+ dividend yield and forward PE of 8.2 give both income and growth investors incentives to buy T stock. More From InvestorPlace 2 Toxic Pot Stocks You Should Avoid 7 Downtrodden Stocks to Fish From the Bottom 8 Cheap Value Stocks That Just Got More Enticing 5 Apple Suppliers Hurt by the Guidance Cut Compare Brokers The post AT&T Is the Best Name Among Wireless' New Big Three appeared first on InvestorPlace . Article Title: 8 Cheap Value Stocks That Just Got More Enticing Article Text: Cheap Value Stocks to Buy: Microsoft (MSFT) Source: Shutterstock Given the dramatic declines in the consumer electronics sphere, several growth names turned cheap value stocks are available for contrarians. Cheap Value Stocks to Buy: FedEx (FDX) With the last pick on my list of cheap value stocks, I'm going speculative with FedEx (NYSE: FDX ). More From InvestorPlace 2 Toxic Pot Stocks You Should Avoid 10 Stocks to Pull From the Bear Market Bargain Bin 7 Reasons Tesla Stock Will Win in 2019 7 Bargain-Bin ETFs For Frugal Investors Compare Brokers The post 8 Cheap Value Stocks That Just Got More Enticing appeared first on InvestorPlace . Article Title: Insiders Bullish on Certain Holdings of DLN Article Text: A look at the weighted underlying holdings of the WisdomTree U.S. LargeCap Dividend Fund ( DLN ) shows an impressive 12.3% of holdings on a weighted basis have experienced insider buying within the past six months. The table below details the recent insider buying activity observed at T: T - last trade: $29.54 - Recent Insider Buys: And Home Depot Inc (Symbol: HD), the #23 largest holding among components of the WisdomTree U.S. LargeCap Dividend Fund ( DLN ), shows 3 directors and officers as recently filing Form 4's indicating purchases. The recent insider buying activity observed at HD is detailed in the table below: HD - last trade: $172.41 - Recent Insider Buys: 10 ETFs With Stocks That Insiders Are Buying » The views and opinions expressed herein are the views and opinions of the author and do not necessarily reflect those of Nasdaq, Inc. Article Title: Thursday’s Vital Data: JPMorgan, Cisco, AT&T Article Text: InvestorPlace - Stock Market News, Stock Advice & Trading Tips U.S. stock futures are sinking after Apple (NASDAQ: AAPL ) unexpectedly lowered its revenue guidance for Q1 by almost $9 billion from the former high end. 10 Top Stock Picks From the Street's Best Analysts The most likely reason for today's jump in options trading is traders jockeying for positions ahead of tomorrow's quarterly dividend of 80 cents. At its current perch, Cisco trades with an annual dividend yield of 3.1% On the options trading front, calls outpaced puts by a large margin. Article Title: The Zacks Analyst Blog Highlights: Facebook, Wells Fargo, AT&T, Intel and Glaxo Article Text: Here are highlights from Wednesday's Analyst Blog: Top Research Reports for Facebook, Wells Fargo and AT&T The Zacks Research Daily presents the best research output of our analyst team. Today's Research Daily features new research reports on 16 major stocks, including Facebook, Wells Fargo and AT&T. Click to get this free report Wells Fargo & Company (WFC): Free Stock Analysis Report Facebook, Inc. (FB): Free Stock Analysis Report GlaxoSmithKline plc (GSK): Free Stock Analysis Report AT&T Inc. (T): Free Stock Analysis Report Intel Corporation (INTC): Free Stock Analysis Report To read this article on Zacks.com click here. Article Title: 3 Top Dividend Stocks With Yields Over 5% Article Text: A solid business trading at a recession-level yield Tyler Crowe (Magellan Midstream Partners): Magellan Midstream Partners is one of those stocks that rarely goes on sale. A hated dividend stock Tim Green(AT&T): Not only is telecom giant AT&T's dividend yield over 5%, it's now nearly 7% after a multi-year slump for the stock and a recent dividend increase . A diamond in the rough Sean Williams (Alliance Resource Partners): With the stock market in meltdown mode, high-yield dividend stocks with staying power will be more attractive than ever. Article Title: AT&T (T) Gains As Market Dips: What You Should Know Article Text: The PEG ratio is similar to the widely-used P/E ratio, but this metric also takes the company's expected earnings growth rate into account. This group has a Zacks Industry Rank of 32, putting it in the top 13% of all 250+ industries. The Zacks Industry Rank gauges the strength of our individual industry groups by measuring the average Zacks Rank of the individual stocks within the groups. Article Title: 5 Easy Ways to Make Money in 2019 Article Text: Buy dividend stocks One thing you'll notice about this list is that it's weighted toward the idea of investing into the stock market over a long period of time. Dividend stocks usually have time-tested business models, can help hedge against the inevitable downside in the stock market, and almost always allow for a reinvestment plan to be set up. Consider value stocks Another potentially easy way to make money in 2019 is by investing in value stocks. Article Title: AT&T Named Top Dividend Stock With Insider Buying and 7.15% Yield (T) Article Text: The officers and directors of a company tend to have a unique insider's view of the business, and presumably the only reason an insider would choose to take their hard-earned cash and use it to buy stock in the open market, is that they expect to make money - maybe they find the stock very undervalued, or maybe they see exciting progress within the company, or maybe both. In trading on Wednesday, bargain hunters could buy shares of AT&T Inc (Symbol: T) and achieve a cost basis 2.9% cheaper than McCallister, with shares changing hands as low as $28.30 per share. For example, the recent T share price of $28.54 represents a price-to-book ratio of 1.1 and an annual dividend yield of 7.15% - by comparison, the average company in Dividend Channel's coverage universe yields 4.5% and trades at a price-to-book ratio of 2.1. Article Title: 3 Reasons Why I Bought Stocks on Monday Article Text: You have to go back more than 16 years to find the last time the market wasn't higher a year after a double-digit drop. It's easy to fathom why Facebook wouldn't be a market darling, but to see the stock shed more than a quarter of its value in a year in which it continues to grow its social app empire is amazing. It's highly likely to boost its payout again by the end of this year, and that means that either the stock moves higher or it doesn't and its yield a year from now will be a lot higher than 7.1%. Article Title: The Fire Within Netflix Stock Still Burns Despite the Panic Article Text: InvestorPlace - Stock Market News, Stock Advice & Trading Tips When people think of Netflix (NASDAQ: NFLX ) all they want to talk about is the sickening fall Netflix stock experienced during the bear market - a drop of one-third in just six months. NFLX Is a Global Brand Netflix remains two steps ahead of all its rivals, and that's a great advantage for Netflix stock in the longer run. More From InvestorPlace 2 Toxic Pot Stocks You Should Avoid 10 Small-Cap Stocks That Look Like Bargains 7 Stocks to Buy and Hold Through Any Market Selloff 5 Blue-Chip Stocks That Could Break Their Bull Trend Compare Brokers The post The Fire Within Netflix Stock Still Burns Despite the Panic appeared first on InvestorPlace . Article Title: Top Research Reports for Facebook, Wells Fargo & AT&T Article Text: If you want an email notification each time Sheraz publishes a new article, please click here>>> Today's Must Read Facebook's (FB) Efforts to Boost Ad Dollars to Aid Top Line Rising Loans, Rates Aid Wells Fargo (WFC), Legal Issues Ail AT&T (T) Aims to Capitalize on 5G Despite Legacy Service Woes Featured Reports Enterprise (EPD) Buoyed by Mont Belvieu Expansion Projects Per the Zacks analyst, Enterprise Products' expansion projects in the Mont Belvieu and Permian help it to capitalize the growing feedstock demand. New Upgrades Marcellus & Utica Shale Production Aid CNX Resources (CNX) Per the Zacks analyst, CNX Resources' strong production from its Marcellus and Utica Shale assets and ability to lower cost of production is going to further boost performance of the company. Click to get this free report Wells Fargo & Company (WFC): Free Stock Analysis Report AT&T Inc. (T): Free Stock Analysis Report Intel Corporation (INTC): Free Stock Analysis Report GlaxoSmithKline plc (GSK): Free Stock Analysis Report Facebook, Inc. (FB): Free Stock Analysis Report Enterprise Products Partners L.P. (EPD): Free Stock Analysis Report To read this article on Zacks.com click here.Closing Price on the final date - 14.02<|im_end|> <|im_start|>assistant BUY<|im_end|> <|im_start|>assistant
You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: Disney Rides on Portfolio Strength, Competition Woes Remain Article Text: Further, Disney's line-up for the next year, including Captain Marvel , Dumbo , Aladdin , The Lion King , Toy Story 4 and the next Avengers film, is expected to deliver yet another year of massive hits. The Walt Disney Company Revenue (TTM) The Walt Disney Company Revenue (TTM) | The Walt Disney Company Quote Robust collections from these movies also bode well for the Consumer Products division, as demand for merchandise associated with super hit movies usually skyrockets, as seen in case of Frozen . Click to get this free report The Walt Disney Company (DIS): Free Stock Analysis Report Netflix, Inc. (NFLX): Free Stock Analysis Report AT&T Inc. (T): Free Stock Analysis Report Apple Inc. (AAPL): Free Stock Analysis Report To read this article on Zacks.com click here. Article Title: Buy Netflix (NFLX) Stock After Goldman Positivity & New CFO Hire? Article Text: Goldman addressed Netflix's somewhat worrisome spending habits as it ramps up its cash burn in order to bolster its original content library as the streaming wars heat up. Outlook Netflix expects to add a total of 9.4 million subscribers in the fourth quarter, which would bring its total to 146.5 million worldwide-Netflix added 8.3 million subscribers in Q4 last year. Click to get this free report The Walt Disney Company (DIS): Free Stock Analysis Report Netflix, Inc. (NFLX): Free Stock Analysis Report Amazon.com, Inc. (AMZN): Free Stock Analysis Report AT&T Inc. (T): Free Stock Analysis Report Apple Inc. (AAPL): Free Stock Analysis Report Microsoft Corporation (MSFT): Free Stock Analysis Report The Goldman Sachs Group, Inc. (GS): Free Stock Analysis Report Activision Blizzard, Inc (ATVI): Free Stock Analysis Report Intel Corporation (INTC): Free Stock Analysis Report To read this article on Zacks.com click here. Article Title: AT&T Stock Still Is One of the Best Downturn Plays Article Text: InvestorPlace - Stock Market News, Stock Advice & Trading Tips AT&T (NYSE: T ) is almost as reliable a pick as you can make, and as the market gets less predictable, AT&T stock ight be a safe haven. Thus, what you have with AT&T stock is a company that projects to have stable earnings over the next several years, regardless of broader economic strength, and a stock that is already priced for the worst to happen. As of this writing, Luke Lango was long AAPL, TSLA, and T. More From InvestorPlace 2 Toxic Pot Stocks You Should Avoid 7 Downtrodden Stocks to Fish From the Bottom 8 Cheap Value Stocks That Just Got More Enticing 5 Apple Suppliers Hurt by the Guidance Cut Compare Brokers The post AT&T Stock Still Is One of the Best Downturn Plays appeared first on InvestorPlace . Article Title: AT&T and Los Angeles Introduce ShakeAlertLA for Citizens Article Text: In an effort to help improve public safety, AT&T Inc.T in collaboration with the City of Los Angeles administration introduced ShakeAlertLA - a mobile app that alerts residents of Los Angeles County in case of an earthquake. While T-Mobile sports a Zacks Rank #1 (Strong Buy), Sprint and United States Cellular carry a Zacks Rank #2 (Buy). Click to get this free report AT&T Inc. (T): Free Stock Analysis Report Sprint Corporation (S): Free Stock Analysis Report T-Mobile US, Inc. (TMUS): Free Stock Analysis Report United States Cellular Corporation (USM): Free Stock Analysis Report To read this article on Zacks.com click here. Article Title: AT&T Is the Best Name Among Wireless’ New Big Three Article Text: InvestorPlace - Stock Market News, Stock Advice & Trading Tips With its massive 5G network ready to launch, AT&T (NYSE: T ) will play a critical role in the latest tech revolution. Furthermore, the stock's 7.2%+ dividend yield and forward PE of 8.2 give both income and growth investors incentives to buy T stock. More From InvestorPlace 2 Toxic Pot Stocks You Should Avoid 7 Downtrodden Stocks to Fish From the Bottom 8 Cheap Value Stocks That Just Got More Enticing 5 Apple Suppliers Hurt by the Guidance Cut Compare Brokers The post AT&T Is the Best Name Among Wireless' New Big Three appeared first on InvestorPlace . Article Title: 8 Cheap Value Stocks That Just Got More Enticing Article Text: Cheap Value Stocks to Buy: Microsoft (MSFT) Source: Shutterstock Given the dramatic declines in the consumer electronics sphere, several growth names turned cheap value stocks are available for contrarians. Cheap Value Stocks to Buy: FedEx (FDX) With the last pick on my list of cheap value stocks, I'm going speculative with FedEx (NYSE: FDX ). More From InvestorPlace 2 Toxic Pot Stocks You Should Avoid 10 Stocks to Pull From the Bear Market Bargain Bin 7 Reasons Tesla Stock Will Win in 2019 7 Bargain-Bin ETFs For Frugal Investors Compare Brokers The post 8 Cheap Value Stocks That Just Got More Enticing appeared first on InvestorPlace . Article Title: Insiders Bullish on Certain Holdings of DLN Article Text: A look at the weighted underlying holdings of the WisdomTree U.S. LargeCap Dividend Fund ( DLN ) shows an impressive 12.3% of holdings on a weighted basis have experienced insider buying within the past six months. The table below details the recent insider buying activity observed at T: T - last trade: $29.54 - Recent Insider Buys: And Home Depot Inc (Symbol: HD), the #23 largest holding among components of the WisdomTree U.S. LargeCap Dividend Fund ( DLN ), shows 3 directors and officers as recently filing Form 4's indicating purchases. The recent insider buying activity observed at HD is detailed in the table below: HD - last trade: $172.41 - Recent Insider Buys: 10 ETFs With Stocks That Insiders Are Buying » The views and opinions expressed herein are the views and opinions of the author and do not necessarily reflect those of Nasdaq, Inc. Article Title: Thursday’s Vital Data: JPMorgan, Cisco, AT&T Article Text: InvestorPlace - Stock Market News, Stock Advice & Trading Tips U.S. stock futures are sinking after Apple (NASDAQ: AAPL ) unexpectedly lowered its revenue guidance for Q1 by almost $9 billion from the former high end. 10 Top Stock Picks From the Street's Best Analysts The most likely reason for today's jump in options trading is traders jockeying for positions ahead of tomorrow's quarterly dividend of 80 cents. At its current perch, Cisco trades with an annual dividend yield of 3.1% On the options trading front, calls outpaced puts by a large margin. Article Title: The Zacks Analyst Blog Highlights: Facebook, Wells Fargo, AT&T, Intel and Glaxo Article Text: Here are highlights from Wednesday's Analyst Blog: Top Research Reports for Facebook, Wells Fargo and AT&T The Zacks Research Daily presents the best research output of our analyst team. Today's Research Daily features new research reports on 16 major stocks, including Facebook, Wells Fargo and AT&T. Click to get this free report Wells Fargo & Company (WFC): Free Stock Analysis Report Facebook, Inc. (FB): Free Stock Analysis Report GlaxoSmithKline plc (GSK): Free Stock Analysis Report AT&T Inc. (T): Free Stock Analysis Report Intel Corporation (INTC): Free Stock Analysis Report To read this article on Zacks.com click here. Article Title: 3 Top Dividend Stocks With Yields Over 5% Article Text: A solid business trading at a recession-level yield Tyler Crowe (Magellan Midstream Partners): Magellan Midstream Partners is one of those stocks that rarely goes on sale. A hated dividend stock Tim Green(AT&T): Not only is telecom giant AT&T's dividend yield over 5%, it's now nearly 7% after a multi-year slump for the stock and a recent dividend increase . A diamond in the rough Sean Williams (Alliance Resource Partners): With the stock market in meltdown mode, high-yield dividend stocks with staying power will be more attractive than ever. Article Title: AT&T (T) Gains As Market Dips: What You Should Know Article Text: The PEG ratio is similar to the widely-used P/E ratio, but this metric also takes the company's expected earnings growth rate into account. This group has a Zacks Industry Rank of 32, putting it in the top 13% of all 250+ industries. The Zacks Industry Rank gauges the strength of our individual industry groups by measuring the average Zacks Rank of the individual stocks within the groups. Article Title: 5 Easy Ways to Make Money in 2019 Article Text: Buy dividend stocks One thing you'll notice about this list is that it's weighted toward the idea of investing into the stock market over a long period of time. Dividend stocks usually have time-tested business models, can help hedge against the inevitable downside in the stock market, and almost always allow for a reinvestment plan to be set up. Consider value stocks Another potentially easy way to make money in 2019 is by investing in value stocks. Article Title: AT&T Named Top Dividend Stock With Insider Buying and 7.15% Yield (T) Article Text: The officers and directors of a company tend to have a unique insider's view of the business, and presumably the only reason an insider would choose to take their hard-earned cash and use it to buy stock in the open market, is that they expect to make money - maybe they find the stock very undervalued, or maybe they see exciting progress within the company, or maybe both. In trading on Wednesday, bargain hunters could buy shares of AT&T Inc (Symbol: T) and achieve a cost basis 2.9% cheaper than McCallister, with shares changing hands as low as $28.30 per share. For example, the recent T share price of $28.54 represents a price-to-book ratio of 1.1 and an annual dividend yield of 7.15% - by comparison, the average company in Dividend Channel's coverage universe yields 4.5% and trades at a price-to-book ratio of 2.1. Article Title: 3 Reasons Why I Bought Stocks on Monday Article Text: You have to go back more than 16 years to find the last time the market wasn't higher a year after a double-digit drop. It's easy to fathom why Facebook wouldn't be a market darling, but to see the stock shed more than a quarter of its value in a year in which it continues to grow its social app empire is amazing. It's highly likely to boost its payout again by the end of this year, and that means that either the stock moves higher or it doesn't and its yield a year from now will be a lot higher than 7.1%. Article Title: The Fire Within Netflix Stock Still Burns Despite the Panic Article Text: InvestorPlace - Stock Market News, Stock Advice & Trading Tips When people think of Netflix (NASDAQ: NFLX ) all they want to talk about is the sickening fall Netflix stock experienced during the bear market - a drop of one-third in just six months. NFLX Is a Global Brand Netflix remains two steps ahead of all its rivals, and that's a great advantage for Netflix stock in the longer run. More From InvestorPlace 2 Toxic Pot Stocks You Should Avoid 10 Small-Cap Stocks That Look Like Bargains 7 Stocks to Buy and Hold Through Any Market Selloff 5 Blue-Chip Stocks That Could Break Their Bull Trend Compare Brokers The post The Fire Within Netflix Stock Still Burns Despite the Panic appeared first on InvestorPlace . Article Title: Top Research Reports for Facebook, Wells Fargo & AT&T Article Text: If you want an email notification each time Sheraz publishes a new article, please click here>>> Today's Must Read Facebook's (FB) Efforts to Boost Ad Dollars to Aid Top Line Rising Loans, Rates Aid Wells Fargo (WFC), Legal Issues Ail AT&T (T) Aims to Capitalize on 5G Despite Legacy Service Woes Featured Reports Enterprise (EPD) Buoyed by Mont Belvieu Expansion Projects Per the Zacks analyst, Enterprise Products' expansion projects in the Mont Belvieu and Permian help it to capitalize the growing feedstock demand. New Upgrades Marcellus & Utica Shale Production Aid CNX Resources (CNX) Per the Zacks analyst, CNX Resources' strong production from its Marcellus and Utica Shale assets and ability to lower cost of production is going to further boost performance of the company. Click to get this free report Wells Fargo & Company (WFC): Free Stock Analysis Report AT&T Inc. (T): Free Stock Analysis Report Intel Corporation (INTC): Free Stock Analysis Report GlaxoSmithKline plc (GSK): Free Stock Analysis Report Facebook, Inc. (FB): Free Stock Analysis Report Enterprise Products Partners L.P. (EPD): Free Stock Analysis Report To read this article on Zacks.com click here.Closing Price on the final date - 14.02
NKE
2019-01-02_2019-01-05
2019-01-05
68.573479
70.355537
BUY
<|im_start|>user You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: 4 Reasons Why Walmart (WMT) Appears to Be a Solid Pick Now Article Text: The company's plans to venture into the subscription-based video streaming arena, improve its website, conclude the deal with PayPal, launch Bonobos and Nike NKE on Jet.com, enhance check-out process, and focus on Walmart2World money transfer service along with Walmart Pay mobile payment system and Mobile Express Returns program further highlight the company's initiatives to accelerate online business. Click to get this free report Amazon.com, Inc. (AMZN): Free Stock Analysis Report Microsoft Corporation (MSFT): Free Stock Analysis Report Walmart Inc. (WMT): Free Stock Analysis Report J. Sainsbury PLC (JSAIY): Free Stock Analysis Report NIKE, Inc. (NKE): Free Stock Analysis Report To read this article on Zacks.com click here. In an earlier development, Walmart inked a deal with Postmates to extend its online grocery delivery service to cover more than 40% of the families in the United States. Article Title: These 4 Quotes Tell You Everything You Need to Know About Nike’s Latest Results Article Text: For Nike (NYSE: NKE), the run-up to the holiday season was a strong period for sales. Nike 's (NYSE: NKE) total revenue in its fiscal second quarter grew 14% on a currency-neutral basis -- a significant improvement over the single-digit growth in previous quarters. This is very evident with the Jordan Brand, an approximately $3 billion annual business, which includes sales of retro versions of every Air Jordan ever made going back to the original Air Jordan basketball shoe released in 1985. Article Title: The 3 Top Retail Stocks to Own in 2019 Article Text: However, the sell-off also dragged down shares of healthy footwear and apparel makers such as Nike (NYSE: NKE) , American Eagle Outfitters (NYSE: AEO) , and Abercrombie & Fitch (NYSE: ANF) . American Eagle Outfitters American Eagle Outfitters generated positive comps growth for 15 straight quarters, as its namesake apparel brand won back shoppers and its Aerie lingerie and activewear brand continued to gain ground against L Brands ' Victoria's Secret. Last quarter , AEO's revenue rose 5% annually to $1 billion, its comps rose 8% (5% growth at AE and 32% growth at Aerie), its gross margin expanded 80 basis points to 39.8%, and its earnings surged 33%.Closing Price on the final date - 70.36<|im_end|> <|im_start|>assistant BUY<|im_end|> <|im_start|>assistant
You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: 4 Reasons Why Walmart (WMT) Appears to Be a Solid Pick Now Article Text: The company's plans to venture into the subscription-based video streaming arena, improve its website, conclude the deal with PayPal, launch Bonobos and Nike NKE on Jet.com, enhance check-out process, and focus on Walmart2World money transfer service along with Walmart Pay mobile payment system and Mobile Express Returns program further highlight the company's initiatives to accelerate online business. Click to get this free report Amazon.com, Inc. (AMZN): Free Stock Analysis Report Microsoft Corporation (MSFT): Free Stock Analysis Report Walmart Inc. (WMT): Free Stock Analysis Report J. Sainsbury PLC (JSAIY): Free Stock Analysis Report NIKE, Inc. (NKE): Free Stock Analysis Report To read this article on Zacks.com click here. In an earlier development, Walmart inked a deal with Postmates to extend its online grocery delivery service to cover more than 40% of the families in the United States. Article Title: These 4 Quotes Tell You Everything You Need to Know About Nike’s Latest Results Article Text: For Nike (NYSE: NKE), the run-up to the holiday season was a strong period for sales. Nike 's (NYSE: NKE) total revenue in its fiscal second quarter grew 14% on a currency-neutral basis -- a significant improvement over the single-digit growth in previous quarters. This is very evident with the Jordan Brand, an approximately $3 billion annual business, which includes sales of retro versions of every Air Jordan ever made going back to the original Air Jordan basketball shoe released in 1985. Article Title: The 3 Top Retail Stocks to Own in 2019 Article Text: However, the sell-off also dragged down shares of healthy footwear and apparel makers such as Nike (NYSE: NKE) , American Eagle Outfitters (NYSE: AEO) , and Abercrombie & Fitch (NYSE: ANF) . American Eagle Outfitters American Eagle Outfitters generated positive comps growth for 15 straight quarters, as its namesake apparel brand won back shoppers and its Aerie lingerie and activewear brand continued to gain ground against L Brands ' Victoria's Secret. Last quarter , AEO's revenue rose 5% annually to $1 billion, its comps rose 8% (5% growth at AE and 32% growth at Aerie), its gross margin expanded 80 basis points to 39.8%, and its earnings surged 33%.Closing Price on the final date - 70.36
COP
2019-01-02_2019-01-05
2019-01-05
50.536205
52.676571
BUY
<|im_start|>user You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: Here's Why ConocoPhillips (COP) is a Strong Sell Right Now Article Text: Click to get this free report TC PipeLines, LP (TCP): Free Stock Analysis Report Unit Corporation (UNT): Free Stock Analysis Report Bonanza Creek Energy, Inc. (BCEI): Free Stock Analysis Report ConocoPhillips (COP): Free Stock Analysis Report To read this article on Zacks.com click here. On Jan 3, ConocoPhillipsCOP was downgraded to a Zacks Rank #5 (Strong Sell). Since liquids contribute to more than 63% of ConocoPhillips' production, the unfavorable oil pricing scenario will continue to affect the company's upstream operations in the near term. Article Title: Energy Sector Update for 01/04/2019: PBR, PTEN, XOM, CVX, COP, SLB, OXY Article Text: Copyright (C) 2016 MTNewswires.com. OXY: Flat Energy stocks were gaining in pre-market trading Friday. The global benchmark Brent crude March contract gained $1.41 to $57.36 per barrel and February natural gas futures were 7 cents higher at $3.01 per 1 million BTU. Article Title: Moving Average Crossover Alert: ConocoPhillips Article Text: ConocoPhillipsCOP could be a stock to avoid from a technical perspective, as the firm is seeing unfavorable trends on the moving average crossover front. Recently, the 50 Day Moving Average for COP broke out below the 200 Day Simple Moving Average, suggesting short-term bearishness. And with the recent moving average crossover, investors have to think that more unfavorable trading is ahead for COP stock. Article Title: Energy Sector Update for 01/03/2019: E, UPL, XOM, CVX, COP, SLB, OXY Article Text: Copyright (C) 2016 MTNewswires.com. The global benchmark Brent crude March contract gained $1.02 to $55.93 per barrel and February natural gas futures were 6 cents lower at $2.90 per 1 million BTU. In other sector news: (+) Eni ( E ) was slightly higher after it agreed to acquire 70% and operatorship of the Oooguruk oil field in Alaska from Caelus Natural Resources Alaska.Closing Price on the final date - 52.68<|im_end|> <|im_start|>assistant BUY<|im_end|> <|im_start|>assistant
You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: Here's Why ConocoPhillips (COP) is a Strong Sell Right Now Article Text: Click to get this free report TC PipeLines, LP (TCP): Free Stock Analysis Report Unit Corporation (UNT): Free Stock Analysis Report Bonanza Creek Energy, Inc. (BCEI): Free Stock Analysis Report ConocoPhillips (COP): Free Stock Analysis Report To read this article on Zacks.com click here. On Jan 3, ConocoPhillipsCOP was downgraded to a Zacks Rank #5 (Strong Sell). Since liquids contribute to more than 63% of ConocoPhillips' production, the unfavorable oil pricing scenario will continue to affect the company's upstream operations in the near term. Article Title: Energy Sector Update for 01/04/2019: PBR, PTEN, XOM, CVX, COP, SLB, OXY Article Text: Copyright (C) 2016 MTNewswires.com. OXY: Flat Energy stocks were gaining in pre-market trading Friday. The global benchmark Brent crude March contract gained $1.41 to $57.36 per barrel and February natural gas futures were 7 cents higher at $3.01 per 1 million BTU. Article Title: Moving Average Crossover Alert: ConocoPhillips Article Text: ConocoPhillipsCOP could be a stock to avoid from a technical perspective, as the firm is seeing unfavorable trends on the moving average crossover front. Recently, the 50 Day Moving Average for COP broke out below the 200 Day Simple Moving Average, suggesting short-term bearishness. And with the recent moving average crossover, investors have to think that more unfavorable trading is ahead for COP stock. Article Title: Energy Sector Update for 01/03/2019: E, UPL, XOM, CVX, COP, SLB, OXY Article Text: Copyright (C) 2016 MTNewswires.com. The global benchmark Brent crude March contract gained $1.02 to $55.93 per barrel and February natural gas futures were 6 cents lower at $2.90 per 1 million BTU. In other sector news: (+) Eni ( E ) was slightly higher after it agreed to acquire 70% and operatorship of the Oooguruk oil field in Alaska from Caelus Natural Resources Alaska.Closing Price on the final date - 52.68
ABBV
2019-01-02_2019-01-05
2019-01-05
65.734451
64.80455
SELL
<|im_start|>user You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: Pharma Stock Roundup: BMY to Buy CELG for $74B, MRK Gets Rights to NASH Candidate Article Text: Click to get this free report Bristol-Myers Squibb Company (BMY): Free Stock Analysis Report Merck & Co., Inc. (MRK): Free Stock Analysis Report Eli Lilly and Company (LLY): Free Stock Analysis Report AbbVie Inc. (ABBV): Free Stock Analysis Report Pfizer Inc. (PFE): Free Stock Analysis Report AstraZeneca PLC (AZN): Free Stock Analysis Report Celgene Corporation (CELG): Free Stock Analysis Report To read this article on Zacks.com click here. AbbVie Inks New Immunotherapy Deal: AbbVie ABBV signed a strategic collaboration with private cancer biotech, Tizona Therapeutics, to develop and commercialize immunotherapies targeting the CD39-enzyme including pre-clinical candidate TTX-030. AbbVie plans to begin clinical studies on TTX-030 in the first quarter of 2019. Article Title: Pfizer Begins Pivotal Study on Alopecia Areata Candidate Article Text: Click to get this free report Merck & Co., Inc. (MRK): Free Stock Analysis Report Pfizer Inc. (PFE): Free Stock Analysis Report Johnson & Johnson (JNJ): Free Stock Analysis Report AbbVie Inc. (ABBV): Free Stock Analysis Report To read this article on Zacks.com click here. Pfizer already markets biosimilar version of Merck MRK /J&J's JNJ Remicade, while biosimilar of AbbVie's ABBV Humira is in late stage development. Successful development of kinase inhibitors and Humira biosimilar along with approved drugs, will create a strong portfolio of inflammatory drugs going forward. Article Title: AbbVie (ABBV) Inks Immunotherapy Deal with Private Biotech Article Text: Tizona will take care of clinical development until the completion of phase Ib studies, after which AbbVie will have an exclusive option to conduct global development and commercial activities. AbbVie Inc. Price AbbVie Inc. Price | AbbVie Inc. Quote Zacks Rank AbbVie currently carries a Zacks Rank #3 (Hold). Click to get this free report Johnson & Johnson (JNJ): Free Stock Analysis Report Bristol-Myers Squibb Company (BMY): Free Stock Analysis Report AbbVie Inc. (ABBV): Free Stock Analysis Report Roche Holding AG (RHHBY): Free Stock Analysis Report To read this article on Zacks.com click here. Article Title: Abbvie to record $4 bln impairment charges on Stemcentrx assets Article Text: Jan 4 - Abbvie Inc on Friday it will record an estimated $4 billion in impairment charges related to the scrapping of its development program of Rova-T, an investigational cancer therapy (graphic). In December, Abbvie halted enrollment for a late-stage trial of Rova-T as a second-line therapy for advanced small-cell lung cancer, following recommendations made by an independent data monitoring committee. The views and opinions expressed herein are the views and opinions of the author and do not necessarily reflect those of Nasdaq, Inc. Article Title: 3 Biopharma Stocks to Buy for Their Robust Dividend Yields Article Text: InvestorPlace - Stock Market News, Stock Advice & Trading Tips I expect 2019 to be a good year for many biopharma stocks, including GlaxoSmithKline (NYSE: GSK ), AbbVie (NYSE: ABBV ) and Gilead Sciences (NASDAQ: GILD ). AbbVie (ABBV) Source: Shutterstock Through 2023, Illinois-based AbbVie owns the U.S. patent protection for Humira, the world's bestselling drug that treats rheumatoid arthritis and Crohn's disease. ABBV's earnings release on Nov. 2 showed robust top-line growth, a strong pipeline of existing and new drugs and gave a positive outlook for early 2019. Article Title: Will Pfizer's (PFE) Stock Keep Up the Momentum in 2019? Article Text: Click to get this free report AbbVie Inc. (ABBV): Free Stock Analysis Report Pfizer Inc. (PFE): Free Stock Analysis Report Novartis AG (NVS): Free Stock Analysis Report Amgen Inc. (AMGN): Free Stock Analysis Report To read this article on Zacks.com click here. Pfizer is evaluating 13 biosimilar molecules in various stages of development including that of AbbVie's ABBV Humira in late-stage development. Pfizer expects approximately 25 to 30 drug approvals through 2022, including approval for 15 products that have blockbuster potential. Article Title: Drug companies greet 2019 with U.S. price hikes Article Text: It raised list prices on more than 50 drugs, and more than half of those by 9.5 percent, according to the Rx Savings data AbbVie Inc increased by 6.2 percent the list price of its blockbuster rheumatoid arthritis treatment Humira, which is on pace to record about $20 billion in sales in 2018. AbbVie did not immediately respond to request for comment. By Michael Erman NEW YORK, Jan 2 () - Drugmakers kicked off 2019 with price increases in the United States on more than 250 prescription drugs, including the world's top-selling medicine, Humira, although the pace of price hikes was slower than last year.Closing Price on the final date - 64.80<|im_end|> <|im_start|>assistant SELL<|im_end|> <|im_start|>assistant
You are an expert financial analyst and market reasoning model. Task: Given the following news titles and summaries about a single stock from the past 7 days, decide whether an investor should **buy**, **sell**, or **hold** the stock in the next 3 days. Use overall sentiment, event type (earnings, innovation, controversy, etc.), and market psychology to decide. News and titles: Article Title: Pharma Stock Roundup: BMY to Buy CELG for $74B, MRK Gets Rights to NASH Candidate Article Text: Click to get this free report Bristol-Myers Squibb Company (BMY): Free Stock Analysis Report Merck & Co., Inc. (MRK): Free Stock Analysis Report Eli Lilly and Company (LLY): Free Stock Analysis Report AbbVie Inc. (ABBV): Free Stock Analysis Report Pfizer Inc. (PFE): Free Stock Analysis Report AstraZeneca PLC (AZN): Free Stock Analysis Report Celgene Corporation (CELG): Free Stock Analysis Report To read this article on Zacks.com click here. AbbVie Inks New Immunotherapy Deal: AbbVie ABBV signed a strategic collaboration with private cancer biotech, Tizona Therapeutics, to develop and commercialize immunotherapies targeting the CD39-enzyme including pre-clinical candidate TTX-030. AbbVie plans to begin clinical studies on TTX-030 in the first quarter of 2019. Article Title: Pfizer Begins Pivotal Study on Alopecia Areata Candidate Article Text: Click to get this free report Merck & Co., Inc. (MRK): Free Stock Analysis Report Pfizer Inc. (PFE): Free Stock Analysis Report Johnson & Johnson (JNJ): Free Stock Analysis Report AbbVie Inc. (ABBV): Free Stock Analysis Report To read this article on Zacks.com click here. Pfizer already markets biosimilar version of Merck MRK /J&J's JNJ Remicade, while biosimilar of AbbVie's ABBV Humira is in late stage development. Successful development of kinase inhibitors and Humira biosimilar along with approved drugs, will create a strong portfolio of inflammatory drugs going forward. Article Title: AbbVie (ABBV) Inks Immunotherapy Deal with Private Biotech Article Text: Tizona will take care of clinical development until the completion of phase Ib studies, after which AbbVie will have an exclusive option to conduct global development and commercial activities. AbbVie Inc. Price AbbVie Inc. Price | AbbVie Inc. Quote Zacks Rank AbbVie currently carries a Zacks Rank #3 (Hold). Click to get this free report Johnson & Johnson (JNJ): Free Stock Analysis Report Bristol-Myers Squibb Company (BMY): Free Stock Analysis Report AbbVie Inc. (ABBV): Free Stock Analysis Report Roche Holding AG (RHHBY): Free Stock Analysis Report To read this article on Zacks.com click here. Article Title: Abbvie to record $4 bln impairment charges on Stemcentrx assets Article Text: Jan 4 - Abbvie Inc on Friday it will record an estimated $4 billion in impairment charges related to the scrapping of its development program of Rova-T, an investigational cancer therapy (graphic). In December, Abbvie halted enrollment for a late-stage trial of Rova-T as a second-line therapy for advanced small-cell lung cancer, following recommendations made by an independent data monitoring committee. The views and opinions expressed herein are the views and opinions of the author and do not necessarily reflect those of Nasdaq, Inc. Article Title: 3 Biopharma Stocks to Buy for Their Robust Dividend Yields Article Text: InvestorPlace - Stock Market News, Stock Advice & Trading Tips I expect 2019 to be a good year for many biopharma stocks, including GlaxoSmithKline (NYSE: GSK ), AbbVie (NYSE: ABBV ) and Gilead Sciences (NASDAQ: GILD ). AbbVie (ABBV) Source: Shutterstock Through 2023, Illinois-based AbbVie owns the U.S. patent protection for Humira, the world's bestselling drug that treats rheumatoid arthritis and Crohn's disease. ABBV's earnings release on Nov. 2 showed robust top-line growth, a strong pipeline of existing and new drugs and gave a positive outlook for early 2019. Article Title: Will Pfizer's (PFE) Stock Keep Up the Momentum in 2019? Article Text: Click to get this free report AbbVie Inc. (ABBV): Free Stock Analysis Report Pfizer Inc. (PFE): Free Stock Analysis Report Novartis AG (NVS): Free Stock Analysis Report Amgen Inc. (AMGN): Free Stock Analysis Report To read this article on Zacks.com click here. Pfizer is evaluating 13 biosimilar molecules in various stages of development including that of AbbVie's ABBV Humira in late-stage development. Pfizer expects approximately 25 to 30 drug approvals through 2022, including approval for 15 products that have blockbuster potential. Article Title: Drug companies greet 2019 with U.S. price hikes Article Text: It raised list prices on more than 50 drugs, and more than half of those by 9.5 percent, according to the Rx Savings data AbbVie Inc increased by 6.2 percent the list price of its blockbuster rheumatoid arthritis treatment Humira, which is on pace to record about $20 billion in sales in 2018. AbbVie did not immediately respond to request for comment. By Michael Erman NEW YORK, Jan 2 () - Drugmakers kicked off 2019 with price increases in the United States on more than 250 prescription drugs, including the world's top-selling medicine, Humira, although the pace of price hikes was slower than last year.Closing Price on the final date - 64.80
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