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Aegis Capital Corporation
Ameriprise Financial
Argus Research A6/Quantitative
Argus Research Co
Atlantic Equities LLP
B. Riley Securities, Inc.
Barclays Bank PLC
Barrington Research Associates, Inc
Benchmark Capital
Berenberg Capital Markets, LLC
BMO Capital Markets
BTIG LLC
BWS Financial Inc
Canaccord Genuity
Cantor Fitzgerald
Capital One Securities, Inc.
CFRA Research
Chardan Capital Markets, LLC
CIBC
Citigroup Investment Research
CJS Securities
CL King & Associates
Clarksons Platou Securities
CLSA
Colliers Securities
Columbine Capital Services, Inc.
Compass Point Research & Trading, LLC
Cormark Securities Inc.
Cowen Securities LLC
Craig-Hallum Capital Group LLC
Credit Suisse
DA Davidson & Co
Desjardins Securities
Deutsche Bank
Evercore Partners
Exane BNP Paribas
FBN Securities Inc.
Ford Equity Research
Fundamental Research Corp
Goldman Sachs
Griffin Securities, Inc.
Guggenheim Securities
Haugen Equity Signals, LLC
HC Wainwright & Co
HSBC
Imperial Capital, LLC
Janney Montgomery Scott LLC
Jefferies
JMP Securities
Johnson Rice & Co
JP Morgan
Keefe Bruyette & Woods
KeyBanc Capital Markets
Lake Street Capital Markets
Liberum Capital Limited
Longbow
Macquarie Group
Market Edge
Maxim Group LLC
McLean Capital Management
Merrill Lynch
Mizuho Bank, Ltd
MKM Partners
Monness Crespi, Hardt & Co. Inc.
Morgan Stanley
Needham & Company, LLC
New Constructs
Noble Capital Markets
Nomura Securities
Northcoast Research Holdings LLC
Northland Capital Markets
Oppenheimer & Company
Piper Sandler
Raymond James
RBC Capital Markets
Robert W. Baird & Co.
Roth Capital Partners
SADIF Investment Analytics
Scotia Capital
Seaport Global Securities LLC
Sidoti & Co
Societe Generale
Standpoint Research, Inc.
Stephens Inc
Stifel Nicolaus
Susquehanna Financial
SVB Securities LLC
Tactical Analytics
Taglich Brothers
TD Securities
Telsey Advisory Group
TheStreet.com Ratings, Inc
Tigress Financial Partners
Truist Securities, Inc
Tudor, Pickering, Holt & Co.
UBS
ValuEngine
Vertical Research Partners, LLC
WBB Securities
Wedbush Securities Inc.
Wells Fargo Securities
William Blair & Company
Williams Capital
WLDI Systems
Wolfe Research, LLC
Zacks Investment Research, Inc.
Buy
Sell
3 months (trailing)
6 months (trailing)
1 year (trailing)
2 years (trailing)
3 years (trailing)
4 years (trailing)
5 years (trailing)
6 years (trailing)
All Components
Communication Services
Consumer Discretionary
Consumer Staples
Energy
Financials
Health Care
Industrials
Information Technology
Materials
Real Estate
S&P 500 Components
Utilities
Performance Summary
Methodology
Peer Rank:
1 out of 13
Number of Stocks in Option Selected:
240
Number of Stocks in Total Coverage:
12489
Selected Period Return:
23.06%
S&P 500 Return:
21.90%
Average Market Cap (Mil.):
$29,083,637,114.94
Period Range:
$78,110.70 - $104,715.41
Turnover:
989.00%
Price change
Last Price:
$39,505.91
Previous Close:
$97,940.49
Change Today:
($58,434.57) (-59.66%)
Zacks Investment Research, Inc.
Our recommendation for each stock is closely linked to the Zacks Rank, which results from a proprietary quantitative model using trends in earnings estimate revisions. This model is proven most effective for judging the timeliness of a stock over the next 1 to 3 months. The model assigns each stock a rank from 1 through 5. Zacks Rank 1 = Strong Buy. Zacks Rank 2 = Buy. Zacks Rank 3 = Hold. Zacks Rank 4 = Sell. Zacks Rank 5 = Strong Sell. We also provide a Zacks Industry Rank for each company which provides an idea of the near-term attractiveness of a company s industry group. We have 264 industry groups in total. Thus, the Zacks Industry Rank is a number between 1 and 264. In terms of investment attractiveness, the higher the rank the better. Historically, the top half of the industries has outperformed the general market. In determining Risk Level, we rely on a proprietary quantitative model that divides the entire universe of stocks into five groups, based on each stock s historical price volatility. The first group has stocks with the lowest values and are deemed Low Risk, while the 5th group has the highest values and are designated High Risk. Designations of Below-Average Risk, Average Risk, and Above-Average Risk correspond to the second, third, and fourth groups of stocks, respectively.
Zacks Investment Research, Inc. Profile (Quantitative)
Cumulative Return, %
Price, $
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Ratings Distribution
Number of Stocks : 2761
Buy 240 (8.7%)
Neutral 2272 (82.3%)
Sell 249 (9.0%)
Coverage Components