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Consolidated Investment Analysis for American International Group, Inc.

American International Group, Inc. (NYSE: AIG) Company Description American International Group, Inc. (AIG), is a holding company, which through its subsidiaries, is engaged primarily in a range of insurance and insurance-related activities in the United States and abroad. AIG's four reportable segments include: General Insurance, Domestic Life Insurance & Retirement Services, Foreign Life Insurance & Retirement Services, and Financial Services. In March 2010, the Company closed the sale of a portion of its asset management business to Pacific Century Group. Share Statistics Symbol Current Price 52wk Range Avg Vol (3m)

AIG 34.74 8.22- 55.90 20,103,600

EPS Market Cap 52wk Change P/E (ttm)

-48.62 4.69B 2.12% N/A

Financial Summary On May 07, 2010, American International Group Inc reported 1st quarter 2010 earnings of 0.41 per share. This result under-performed the 0.47 consensus expectations of the 2 analysts following the company but under-performed last year's 1st quarter results by 19.81. American International Group Inc reported annual 2009 losses of -46.40 per share on February 26, 2010. AIG had 1st quarter 2010 revenues of 16.33bn. This missed the 22.38bn consensus estimate of the 2 analysts following the company. This was -18.24% below the prior year's 1st quarter results. AIG had revenues for the full year 2009 of 96.00bn. This was 0.86% above the prior year's results.


Analyst Consensus Buy

Outperform

Hold

Underperform

Sell

No Opinion

This is the consensus forecast amongst 6 polled investment analysts. Against the American International Group Inc company. Analyst Detail

Buy

Outperform

Hold

Underperform

Sell

No Opinion

Latest

0

1

2

3

0

1

4 weeks ago

0

1

2

3

0

1

2 months ago

0

1

3

2

0

1

3 months ago

0

1

3

2

0

1

Last year

0

0

10

0

0

0

The 3 analysts offering 12 month price targets for American International Group Inc (AIG:NYQ) have a median target of 28.50, with a high estimate of 40.00 and a low estimate of 6.00. The median estimate represents a -17.37% decrease from the last price of 34.49.

# of Estimates

Mean

High

Low

1 Year Ago

SALES (in millions)

Quarter Ending Jun-10

2

21,622.10

22,739.00

20,505.30

--

Quarter Ending Sep-10

2

21,565.90

22,585.00

20,546.80

--

Year Ending Dec-10

2

84,255.50

90,697.00

77,814.10

113,884.00

Year Ending Dec-11

2

86,572.30

89,182.00

83,962.50

--

Quarter Ending Jun-10

2

0.89

1.05

0.73

1.40

Quarter Ending Sep-10

2

0.61

1.05

0.17

1.40

Year Ending Dec-10

2

3.16

4.71

1.62

9.60

Year Ending Dec-11

2

3.87

5.71

2.02

18.25

LT Growth Rate (%)

3

6.00

12.00

0.00

11.00

Earnings (per share)


Technical Analysis Chart

NET SHARE PURCHASE ACTIVITY

Insider Purchases - Last 6 Months Shares

Trans

Purchases

N/A

0

Sales

N/A

0

Net Shares Purchased (Sold)

N/A

0

29.31M

N/A

0.0%

N/A

Total Insider Shares Held % Net Shares Purchased (Sold) Net Institutional Purchases - Prior Qtr to Latest Qtr

Shares Net Shares Purchased (Sold) % Change in Institutional Shares Held

(4,552,040) (11.5%)


DIRECT COMPETITOR COMPARISON

AIG

AZSEY.PK

AXAHY.PK

Pvt1

Industry

Market Cap:

4.60B

N/A

N/A

N/A

854.81M

Employ ees:

96,000

N/A

N/A

60,0001

682.00

25.20%

N/A

N/A

N/A

2.10%

100.62B

N/A

N/A

70.27B1

892.30M

Gross Margin (ttm):

21.60%

N/A

N/A

N/A

29.88%

EBITDA (ttm):

27.39B

N/A

N/A

N/A

106.91M

Oper Margins (ttm):

13.20%

N/A

N/A

N/A

13.63%

-7.11B

N/A

N/A

3.24B1

N/A

-48.624

N/A

N/A

N/A

2.75

P/E (ttm):

N/A

N/A

N/A

N/A

7.71

PEG (5 yr expected):

1.8

N/A

0.08

N/A

1.11

0.05

N/A

N/A

N/A

0.89

Qtrly Rev Growth (yoy): Revenue (ttm):

Net Income (ttm): EPS (ttm):

P/S (ttm):


Consolidated Investment Analysis for Berkshire Hathaway Inc. Berkshire Hathaway Inc. (NYSE: BRK/A) Company Description Palm, Inc. (Palm) is a provider of mobile products for individual users and business customers worldwide. Palm's products for consumers, mobile professionals and businesses include Palm Pre, Treo and Centro smartphones, as well as software, services and accessories. The Company sells its products in two product lines: smartphones and handheld computers. The Company's smartphones provide a range of productivity tools, and personal and entertainment applications. Functionality and features found in all Palm smartphones include support for various mobile telecommunications standards used to transmit voice and data; wireless data applications, such as e-mail, messaging and Web browsing; wireless communication capabilities, such as Bluetooth and/or wireless fidelity (Wi-Fi); multi-media features and productivity software; instant-on, one-touch access, and non-volatile flash memory that protects stored data. Share Statistics Symbol BRK/a Current Price 105,330.00 52wk Range 8,600- 10,711 Avg Vol (3m) 139,244

EPS Market Cap 52wk Change P/E (ttm)

8,456.15 173.79B 15.04% 12.46

Financial Summary On May 07, 2010, Berkshire Hathaway Inc reported 1st quarter 2010 earnings of 1,390 per share. This result exceeded the 1,102 consensus of the 3 analysts covering the company and exceeded last year's 1st quarter results by 26.36%. The next earnings announcement is expected on August 02, 2010. Berkshire Hathaway Inc reported annual 2009 earnings of 4,880 per share on February 27, 2010. BRKa had 1st quarter 2010 revenues of 32.04bn. This bettered the 27.96bn consensus of the 2 analysts covering the company. This was 6.09% above the prior year's 1st quarter results. BRKa had revenues for the full year 2009 of 112.49bn. This was 340.72% above the prior year's results.


Analyst Consensus Buy

Outperform

Hold

Underperform

Sell

No Opinion

This is the consensus forecast amongst 4 polled investment analysts. Against the Berkshire Hathaway Inc company. Analyst Detail

Buy

Outperform

Hold

Underperform

Sell

No Opinion

Latest

0

0

4

0

0

0

4 weeks ago

0

0

4

0

0

0

2 months ago

0

0

3

0

0

0

3 months ago

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0

3

0

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Last year

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1

1

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The 3 analysts offering 12 month price targets for Berkshire Hathaway Inc (BRK.A:NYQ) have a median target of 125,000, with a high estimate of 132,000 and a low estimate of 115,000. The median estimate represents a 18.34% increase from the last price of 105,625.

# of Estimates

Mean

High

Low

1 Year Ago

SALES (in millions)

Quarter Ending Jun-10

2

31,312.00

33,660.00

28,964.00

--

Quarter Ending Sep-10

2

33,005.50

35,650.00

30,361.00

--

Year Ending Dec-10

2 127,726.00

133,870.00

121,583.00

26,220.00

Year Ending Dec-11

2 132,858.00

140,640.00

125,075.00

--

Earnings (per share)

Quarter Ending Sep-10

3

1,486.00

1,677.00

1,340.00

1,628.00

Year Ending Dec-10

4

5,789.77

6,293.00

5,440.00

6,246.67

Year Ending Dec-11

3

6,094.33

6,593.00

5,690.00

5,900.00

LT Growth Rate (%)

1

5.00

5.00

5.00

--


Technical Analysis

NET SHARE PURCHASE ACTIVITY

Insider Purchases - Last 6 Months Shares Purchases

Trans N/A

0

1,161,130

79

(1,161,130)

79

Total Insider Shares Held

276.77K

N/A

% Net Shares Purchased (Sold)

(80.7%)

N/A

Sales Net Shares Purchased(Sold)

Net Institutional Purchases - Prior Qtr to Latest Qtr Shares Net Shares Purchased (Sold) % Change in Institutional Shares Held

(732) (0.2%)


DIRECT COMPETITOR COMPARISON

BRK-A

BX

Pvt1

Pvt2

Industry

Market Cap:

174.92B

3.75B

N/A

N/A

854.81M

Employ ees:

222,000

1,295

N/A

6681

682.00

Qtrly Rev Growth (yoy):

40.60%

1,411.80%

N/A

N/A

2.10%

121.75B

2.42B

N/A

8.09B1

892.30M

Gross Margin (ttm):

22.45%

-63.20%

N/A

N/A

29.88%

EBITDA (ttm):

22.63B

-1.80B

N/A

N/A

106.91M

Oper Margins (ttm):

15.89%

-81.52%

N/A

N/A

13.63%

Net Income (ttm):

13.22B

-590.90M

N/A

6.85B1

N/A

8456.154

-1.972

N/A

N/A

2.75

12.54

N/A

N/A

N/A

7.71

3.9

0.68

N/A

N/A

1.11

1.43

1.52

N/A

N/A

0.89

Revenue (ttm):

EPS (ttm): P/E (ttm): PEG (5 yr expected): P/S (ttm):


Consolidated Investment Analysis for Chevron Corp. Chevron Corp. (NYSE: CVX) Company Description Chevron Corporation (Chevron) manages its investments in subsidiaries and affiliates, and provides administrative, financial, management and technology support to United States and international subsidiaries that engage in fully integrated petroleum operations, chemicals operations, mining operations, power generation and energy services. Exploration and production (upstream) operations consist of exploring for, developing and producing crude oil and natural gas, and also marketing natural gas. Refining, marketing and transportation (downstream) operations relate to refining crude oil and converting natural gas into finished petroleum products; marketing crude oil and the many products derived from petroleum, and transporting crude oil, natural gas and petroleum products by pipeline, marine vessel, motor equipment and rail car. Chemicals operations include the manufacture and marketing of commodity petrochemicals, plastics for industrial uses, and fuel and lubricant oil additives. Share Statistics Symbol Current Price 52wk Range Avg Vol (3m)

CVX 71.82 60.88- 83.41 11,026,500

EPS Market Cap 52wk Change P/E (ttm)

6.59 144.26B 9.55% 10.90

Financial Summary On April 30, 2010, Chevron Corp reported 1st quarter 2010 earnings of 2.36 per share. This result exceeded the 1.95 consensus of the 17 analysts covering the company and exceeded last year's 1st quarter results by 1.64. The next earnings announcement is expected on July 30, 2010. Chevron Corp reported annual 2009 earnings of 4.84 per share on January 29, 2010. CVX had 1st quarter 2010 revenues of 48.18bn. This missed the 57.22bn consensus estimate of the 3 analysts following the company. This was -1.02% below the prior year's 1st quarter results. CVX had revenues for the full year 2009 of 171.64bn. This was -37.13% below the prior year's results.


Analyst Consensus Buy

Outperform

Hold

Underperform

Sell

No Opinion

This is the consensus forecast amongst 20 polled investment analysts. Against the Chevron Corp company. Analyst Detail

Buy

Outperform

Hold

Underperform

Sell

No Opinion

Latest

7

7

6

0

0

0

4 weeks ago

7

7

6

0

0

0

2 months ago

6

7

6

0

0

0

3 months ago

7

7

5

0

0

0

Last year

5

4

6

0

0

1

The 17 analysts offering 12 month price targets for Chevron Corp (CVX:NYQ) have a median target of 93.00, with a high estimate of 105.00 and a low estimate of 80.00. The median estimate represents a 28.15% increase from the last price of 72.57.

# of Estimates

Mean

High

Low

1 Year Ago

SALES (in millions)

Quarter Ending Jun-10

4

54,990.60

61,761.10

47,915.10

--

Quarter Ending Sep-10

4

55,827.70

65,963.70

44,023.40

--

Year Ending Dec-10

5

217,250.00

255,061.00

189,029.00

248,906.00

Year Ending Dec-11

5

290,996.00

394,961.00

233,963.00

284,114.00

Quarter Ending Jun-10

13

2.20

2.53

1.80

1.61

Quarter Ending Sep-10

12

2.29

2.64

1.87

1.71

Year Ending Dec-10

21

8.57

10.00

6.89

6.96

Year Ending Dec-11

19

10.06

13.00

5.84

9.31

LT Growth Rate (%)

3

19.60

38.30

5.00

8.00

Earnings (per share)


Technical Analysis Chart

NET SHARE PURCHASE ACTIVITY

Insider Purchases - Last 6 Months Shares

Trans

Purchases

11,400

1

Sales

43,605

3

(32,205)

4

361.56K

N/A

(8.0%)

N/A

Net Shares Purchased (Sold) Total Insider Shares Held % Net Shares Purchased (Sold) Net Institutional Purchases - Prior Qtr to Latest Qtr

Shares Net Shares Purchased (Sold) % Change in Institutional Shares Held

3,774,950 0.3%


DIRECT COMPETITOR COMPARISON

CVX

BP

XOM

RDS

Industry

Market Cap:

144.18B

133.02B

279.02B

N/A

66.36B

Employ ees:

64,000

80,300

102,700

N/A

78.42K

33.60%

54.50%

42.80%

N/A

20.30%

171.05B

265.58B

301.27B

N/A

148.30B

Gross Margin (ttm):

32.07%

20.16%

32.53%

N/A

32.53%

EBITDA (ttm):

31.08B

38.78B

43.20B

N/A

27.99B

Oper Margins (ttm):

10.97%

9.80%

10.22%

N/A

11.85%

Net Income (ttm):

13.20B

20.09B

21.03B

N/A

N/A

EPS (ttm):

6.592

6.36

4.388

N/A

3.20

P/E (ttm):

10.89

6.68

13.53

N/A

11.36

PEG (5 yr expected):

0.77

1.32

0.65

N/A

1.42

P/S (ttm):

0.85

0.50

0.93

N/A

0.69

Qtrly Rev Growth (yoy): Revenue (ttm):


Consolidated Investment Analysis for Ambac Financial Group. Ambac Financial Group. (NYSE: ABK) Company Description Ambac Financial Group, Inc. is a primarily a holding company. The Company, through its subsidiaries, provides financial guarantees and financial services to clients in both the public and private sectors worldwide. Ambac's activities are divided into two business segments. The Financial Guarantee segment provides financial guarantees (including credit derivatives) for public finance, structured finance and other obligations. The Financial Services segment provided investment agreements, funding conduits, interest rate, total return and currency swaps, principally to clients of the financial guarantee business. During the year ended December 31, 2008, the Company discontinued writing new investment agreements and derivative products in its Financial Services segment. Its existing investment agreement and derivative product portfolios are in active runoff, which may include transaction terminations, settlements, restructuring, transfers and natural attrition as contracts mature. Share Statistics Symbol ABK Current Price 0.92 52wk Range 0.51- 3.39 Avg Vol (3m) 53,811,800

EPS Market Cap 52wk Change P/E (ttm)

-0.05 265.31M 30.31% N/A

Financial Summary On April 08, 2010, Ambac Financial Group Inc reported 4th quarter 2009 losses of -3.93 per share. This result under-performed the -3.34 loss expectation of the one analyst following the company but underperformed last year's 4th quarter results by -42.12%. Ambac Financial Group Inc reported annual 2009 losses of -11.65 per share on April 08, 2010. ABK had 2nd quarter 2009 revenues of 353.88m. This bettered the 295.62m estimate of the one analyst covering the company. This was -68.67% below the prior year's 2nd quarter results.


Analyst Consensus Buy

Outperform

Hold

Underperform

Sell

No Opinion

This is the consensus forecast amongst 2 polled investment analysts. Against the Ambac Financial Group Inc company. Analyst Detail

Buy

Outperform

Hold

Underperform

Sell

No Opinion

Latest

0

0

1

1

0

0

4 weeks ago

0

0

1

1

0

0

2 months ago

0

0

1

1

0

0

3 months ago

0

0

2

1

0

0

Last year

0

0

2

1

0

0

Technical Analysis


NET SHARE PURCHASE ACTIVITY

Insider Purchases - Last 6 Months Shares Purchases Sales Net Shares Purchased (Sold) Total Insider Shares Held % Net Shares Purchased (Sold)

Trans N/A

0

1,500

1

(1,500)

1

10.62M

N/A

0.0%

N/A

Net Institutional Purchases - Prior Qtr to Latest Qtr Shares Net Shares Purchased (Sold)

(17,201,900)

% Change in Institutional Shares Held

(22.7%)

DIRECT COMPETITOR COMPARISON

ABK Market Cap:

AGO

Pvt1

MBI

Industry

264.44M

2.91B

N/A

1.37B

320.42M

N/A

194.20%

N/A

N/A

0.30%

3.53B

1.35B

N/A

-1.09B

1.35B

14.42%

65.27%

N/A

N/A

41.72%

480.08M

N/A

N/A

-1.84B

-754.20K

Oper Margins (ttm):

13.50%

49.52%

N/A

169.71%

3.03%

Net Income (ttm):

-14.61M

333.36M

N/A

-1.55B

N/A

-0.051

2.165

N/A

-7.496

N/A

PEG (5 yr expected):

N/A

0.59

N/A

N/A

1.97

P/S (ttm):

0.07

2.06

N/A

N/A

0.57

Qtrly Rev Growth (yoy): Revenue (ttm): Gross Margin (ttm): EBITDA (ttm):

EPS (ttm):


Consolidated Investment Analysis for ConocoPhillips ConocoPhillips (NYSE: COP) Company Description ConocoPhillips (ConocoPhillips) is an international, integrated energy company. The Company operates in six segments: Exploration and Production (E&P), Midstream, Refining and Marketing (R&M), LUKOIL Investment, Chemicals, and Emerging Businesses. Its E&P segment primarily explores for, produces, transports and markets crude oil, natural gas, natural gas liquids and bitumen on a worldwide basis. The Midstream segment gathers, processes and markets natural gas produced by ConocoPhillips and others, and fractionates and markets natural gas liquids, predominantly in the United States and Trinidad. Its R&M segment purchases, refines, markets and transports crude oil and petroleum products. The LUKOIL Investment segment consists of its equity investment in the ordinary shares of OAO LUKOIL, an international, integrated oil and gas company. Its emerging businesses segment represents its investment in new technologies or businesses outside its scope of operations. Share Statistics Symbol COP Current Price 49.53 52wk Range 38.62- 60.53 Avg Vol (3m) 12,252,600

EPS Market Cap 52wk Change P/E (ttm)

4.11 73.72B 9.99% 12.07

Financial Summary On April 29, 2010, ConocoPhillips reported 1st quarter 2010 earnings of 1.47 per share. This result exceeded the 1.38 consensus of the 16 analysts covering the company and exceeded last year's 1st quarter results by 0.97. The next earnings announcement is expected on July 26, 2010. ConocoPhillips reported annual 2009 earnings of 3.58 per share on January 27, 2010. COP had 1st quarter 2010 revenues of 44.82bn. This bettered the 43.08bn consensus of the 4 analysts covering the company. This was 4.29% above the prior year's 1st quarter results. COP had revenues for the full year 2009 of 149.34bn. This was -39.34% below the prior year's results.


Analyst Consensus Buy

Outperform

Hold

Underperform

Sell

No Opinion

This is the consensus forecast amongst 17 polled investment analysts. Against the ConocoPhillips company. Analyst Detail

Buy

Outperform

Hold

Underperform

Sell

No Opinion

Latest

4

4

6

2

1

0

4 weeks ago

2

4

8

2

1

0

2 months ago

2

2

11

2

0

0

3 months ago

2

2

11

2

0

0

Last year

0

4

8

1

1

0

The 14 analysts offering 12 month price targets for ConocoPhillips (COP:NYQ) have a median target of 60.50, with a high estimate of 70.00 and a low estimate of 43.00. The median estimate represents a 21.19% increase from the last price of 49.92.

# of Estimates

Mean

High

Low

1 Year Ago

SALES (in millions)

Quarter Ending Sep-10

3

45,957.90

48,532.40

42,736.10

40,362.60

Year Ending Dec-10

5 197,486.00 221,026.00

170,705.00

151,260.00

Year Ending Dec-11

4 238,849.00 324,029.00

187,247.00

196,191.00

Earnings (per share)

Quarter Ending Jun-10

14

1.55

1.76

1.24

1.35

Quarter Ending Sep-10

13

1.64

1.89

1.34

1.40

Year Ending Dec-10

19

6.16

7.10

3.61

5.81

Year Ending Dec-11

17

7.44

10.00

2.40

7.79

LT Growth Rate (%)

3

17.93

35.30

8.00

9.00


Technical Analysis

NET SHARE PURCHASE ACTIVITY

Insider Purchases - Last 6 Months Shares Purchases

Trans N/A

0

10,414

3

(10,414)

3

Total Insider Shares Held

1.35M

N/A

% Net Shares Purchased (Sold)

(0.8%)

N/A

Sales Net Shares Purchased (Sold)

Net Institutional Purchases - Prior Qtr to Latest Qtr Shares Net Shares Purchased (Sold) % Change in Institutional Shares Held

8,380,890 0.8%


DIRECT COMPETITOR COMPARISON

COP

BP

CVX

XOM

Industry

Market Cap:

73.78B

132.77B

143.72B

278.64B

66.36B

Employ ees:

30,000

80,300

64,000

102,700

78.42K

50.30%

54.50%

33.60%

42.80%

20.30%

149.94B

265.58B

171.05B

301.27B

148.30B

Gross Margin (ttm):

25.95%

20.16%

32.07%

32.53%

32.53%

EBITDA (ttm):

19.82B

38.78B

31.08B

43.20B

27.99B

Oper Margins (ttm):

6.93%

9.80%

10.97%

10.22%

11.85%

Net Income (ttm):

6.16B

20.09B

13.20B

21.03B

N/A

EPS (ttm):

4.105

6.36

6.592

4.388

3.20

P/E (ttm):

12.08

6.67

10.85

13.52

11.36

PEG (5 yr expected):

0.56

1.32

0.77

0.65

1.42

P/S (ttm):

0.50

0.50

0.85

0.93

0.69

Qtrly Rev Growth (yoy): Revenue (ttm):


Consolidated Investment Analysis for Teva Pharmaceutical Industries Ltd. Teva Pharmaceutical Industries Ltd. (NASDAQ: TEVA) Company Description Teva Pharmaceutical Industries Limited (Teva) is a global pharmaceutical company that develops, produces and markets generic drugs covering all treatment categories. The Company has a pharmaceutical business, whose principal products are Copaxone for multiple sclerosis and Azilect for Parkinson's disease, respiratory products and women's health products. Teva's active pharmaceutical ingredient (API) business provides vertical integration to Teva's own pharmaceutical production. The Company's global operations are conducted in North America, Europe, Latin America, Asia and Israel. Teva has operations in more than 60 countries, including 38 finished dosage pharmaceutical manufacturing sites in 17 countries, 15 generic research and development (R&D) centers operating mostly within certain manufacturing sites and 21 API manufacturing sites around the world. On January 29, 2009, the Company sold its Israeli animal health product line to Phibro Animal Health Corporation. Share Statistics Symbol TEVA Current Price 54.30 52wk Range 45.13- 64.95 Avg Vol (3m) 6,411,740

EPS Market Cap 52wk Change P/E (ttm)

2.52 48.49B 15.97% 21.56

Financial Summary On May 04, 2010, Teva Pharmaceutical Industries Ltd reported 1st quarter 2010 earnings of 0.91 per share. This result was in line with the expectation of the one analyst following the company and exceeded last year's 1st quarter results by 28.17%. The next earnings announcement is expected on July 26, 2010. Teva Pharmaceutical Industries Ltd reported annual 2009 earnings of 3.37 per share on February 16, 2010. TEVA.TA had 1st quarter 2010 revenues of 3.65bn. This missed the 3.80bn estimate of the one analyst following the company. This was -3.92% below the prior year's 1st quarter results. TEVA.TA had revenues for the full year 2009 of 13.90bn. This was 25.39% above the prior year's results.


Analyst Consensus Buy

Outperform

Hold

Underperform

Sell

No Opinion

This is the consensus forecast amongst 7 polled investment analysts. Against the Teva Pharmaceutical Industries Ltd company. Analyst Detail

Buy

Outperform

Hold

Underperform

Sell

No Opinion

Latest

3

2

2

0

0

0

4 weeks ago

3

2

2

0

0

0

2 months ago

3

2

2

0

0

0

3 months ago

3

2

2

0

0

1

Last year

4

3

1

0

0

0

# of Estimates

Mean

High

Low

1 Year Ago

SALES (in millions)

Quarter Ending Jun-10

15

3,838.72

3,992.70

3,694.90

3,945.93

Quarter Ending Sep-10

15

4,186.79

4,485.40

3,960.00

4,123.57

Year Ending Dec-10

20 15,987.50

16,353.40 15,607.30

15,937.50

Year Ending Dec-11

18 17,974.50

20,623.60 16,717.10

16,794.10

Earnings (per share)

Quarter Ending Jun-10

18

1.05

1.15

0.99

1.00

Quarter Ending Sep-10

16

1.26

1.37

1.17

1.09

Year Ending Dec-10

22

4.54

4.69

4.45

4.23

Year Ending Dec-11

20

5.14

5.69

4.79

4.65

LT Growth Rate (%)

6

15.10

20.00

7.00

17.21


Technical Analysis


DIRECT COMPETITOR COMPARISON

TEVA

Pvt1

Pvt2

WPI

Industry

Market Cap:

48.49B

N/A

N/A

5.42B

200.08M

Employ ees:

35,089

12,1741

1501

5,830

90.00

Qtrly Rev Growth (yoy):

16.10%

N/A

N/A

28.30%

20.50%

Revenue (ttm):

14.40B

943.60M1

200.00K1

2.98B

44.26M

Gross Margin (ttm):

54.78%

N/A

N/A

44.59%

64.11%

4.45B

N/A

N/A

682.80M

-5.49M

24.08%

N/A

N/A

15.93%

-16.43%

Net Income (ttm):

2.26B

N/A

N/A

242.70M

N/A

EPS (ttm):

2.518

N/A

N/A

2.093

-0.20

P/E (ttm):

21.56

N/A

N/A

20.80

15.95

PEG (5 yr expected):

0.94

N/A

N/A

1.21

0.94

P/S (ttm):

3.50

N/A

N/A

1.78

4.90

EBITDA (ttm): Oper Margins (ttm):


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AIG, BRK.a, CVX, ABK, COP, TEVA