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Consolidated Investment Analysis for AIG 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 in a range of insurance and insurance-related activities in the United States and abroad. AIG's primary activities include both General Insurance and Life Insurance & Retirement Services operations. Other significant activities include Financial Services and Asset Management. The Company operates in four segments: General Insurance, Life Insurance & Retirement Services, Financial Services and Asset Management. Through these operating segments, AIG provides insurance, financial and investment products and services to both businesses and individuals in more than 130 countries and jurisdictions. In December 2008, AIG's United States life insurance companies sold its residential mortgage-backed securities portfolio to Maiden Lane II LLC. On April 1, 2009, AIG completed the sale of AIG Life of Canada to BMO Financial Group, and Hartford Steam Boiler to the Munich Re Group. Share Statistics

Symbol Current Price 52wk Range Avg Vol (3m)

AIG 36.75 6.60- 55.90 41,260,300

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

-669.44 4.95B -19.41% N/A

Financial Summary On November 06, 2009, American International Group Inc reported 3rd quarter 2009 earnings of 2.85 per share. This result exceeded the 1.14 consensus of the 3 analysts covering the companyand underperformed last year's 3rd quarter results by 71.25. American International Group Inc reported annual 2008 losses of -398.20 per share on March 02, 2009. AIG had 1st quarter 2009 revenues of 20.46bn. The same period last year the company did not report revenues. AIG had revenues for the full year 2008 of 95.19k. This was -13.51% below the prior year's results.


Analyst Consensus

Buy

Outperform

Hold

Underperform

Sell

No Opinion

This is the consensus forecast amongst 9 polled investment analysts. Against the American International Group Inc company. Analyst Detail

Buy

Outperform

Hold

Underperform

Sell

No Opinion

Latest

0

1

5

3

0

1

4 weeks ago

0

1

5

3

0

1

2 months ago

0

1

4

3

0

1

3 months ago

0

1

8

0

0

0

Last year

1

1

10

0

0

1

The 5 analysts offering 12 month price targets for American International Group Inc (AIG:NYQ) have a median target of 25.00, with a high estimate of 50.00 and a low estimate of 15.00. The median estimate represents a -33.49% decrease from the last price of 37.59.

SALES (in millions) Year Ending Dec-09 Year Ending Dec-10 Earnings (per share) Quarter Ending Dec-09 Quarter Ending Mar-10 Year Ending Dec-09 Year Ending Dec-10 LT Growth Rate (%)

# of Estimates

Mean

High

Low

1 Year Ago

2 2

102,370.00 107,068.00

111,835.00 123,370.00

92,906.00 90,767.00

99,900.00 102,802.00

2 3 4 3 3

-0.31 0.59 -12.40 6.07 11.00

4.68 1.10 -6.22 6.79 15.00

-5.30 0.24 -16.54 5.25 6.00

9.60 -6.23 13.20 11.33


Technical Analysis Chart


Comparative Analysis

Company -NA NA

Industry 0.96 1.06 0.10

Sector 18.96 3.39 0.42

S&P 500 119.09 41.90 6.91

Beta

4.03

0.72

1.03

1.38

Price to Sales (TTM) Price to Book (MRQ) Price to Tangible Book (MRQ) Price to Cash Flow (TTM) Price to Free Cash Flow (TTM)

0.09 0.96 0.07 -0.57

0.07 0.85 0.94 1.25 1.20

2.68 1.25 1.40 7.53 3.33

2.01 2.63 6.15 13.29 16.38

P/E Ratio (TTM) P/E High - Last 5 Yrs. P/E Low - Last 5 Yrs.

Insider Trading Activity

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

Total Insider Shares Held

14.18M

N/A

% Net Shares Purchased (Sold)

0.0%

N/A

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

(21,095,600) (115.1%)


Consolidated Investment Analysis for Ford Motor Company. Ford Motor Company (NYSE:F) Company Description Ford Motor Company (NYSE:F) is a producer of cars and trucks. The Company and its subsidiaries also engage in other businesses, including financing vehicles. Ford operates in two sectors: Automotive and Financial Services. The Automotive sector includes the operations of Ford North America, Ford South America, Ford Europe, Volvo, and Ford Asia Pacific Africa segments. The Financial Services sector includes the operations of Ford Motor Credit Company and Other Financial Services. During the year ended December 31, 2008, the Company sold the ACH glass business to Zeledyne, LLC. The sale included the Nashville, Tulsa, and VidrioCar plants. In 2008, Ford and its subsidiary, Volvo Car Corporation, completed the sale of Thai-Swedish Assembly Group to Volvo Holding Sverige, AB. In March 2008, the Company acquired 72.4% of the shares of S.C. Automobile Craiova SA. In June 2008, the Company completed the sale of its Jaguar and Land Rover operations to Tata Motors Limited. Share Statistics

Symbol Current Price 52wk Range Avg Vol (3m)

F 8.33 1.01- 886 78,241,400

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

-2.07 26.83B 331.61% N/A

Financial Summary On November 02, 2009, Ford Motor Co reported 3rd quarter 2009 earnings of 0.26 per share. This result exceeded the -0.12 consensus loss of the 12 analysts covering the companyand under-performed last year's 3rd quarter results by 1.57. Ford Motor Co reported annual 2008 losses of -3.13 per share on January 29, 2009. F had 3rd quarter 2009 revenues of 27.90bn. This bettered the 27.62bn consensus of the 8 analysts covering the company. This was 16.30% above the prior year's 3rd quarter results. F had revenues for the full year 2008 of 122.20k. This was -21.57% below the prior year's results.


Analyst Consensus Buy

Outperform

Hold

Underperform

Sell

No Opinion

This is the consensus forecast amongst 15 polled investment analysts. Against the Ford Motor Co company. Analyst Detail

Buy

Outperform

Hold

Underperform

Sell

No Opinion

Latest

5

2

5

1

2

0

4 weeks ago

4

2

4

2

3

0

2 months ago

4

2

4

2

3

0

3 months ago

3

3

4

2

3

0

Last year

1

0

7

0

2

0

The 12 analysts offering 12 month price targets for Ford Motor Co (F:NYQ) have a median target of 9.50, with a high estimate of 15.00 and a low estimate of 4.00. The median estimate represents a 15.29% increase from the last price of 8.24.

SALES (in millions) Quarter Ending Dec-09 Quarter Ending Mar-10 Year Ending Dec-09 Year Ending Dec-10 Earnings (per share) Quarter Ending Dec-09 Quarter Ending Mar-10 Year Ending Dec-09 Year Ending Dec-10 LT Growth Rate (%)

# of Estimates

Mean

High

Low

1 Year Ago

8 5 10 10

30,417.60 26,303.30 106,197.00 112,292.00

32,500.00 27,319.00 115,359.00 119,909.00

26,530.00 23,288.00 99,630.00 99,645.00

35,300.00 -134,740.00 138,500.00

6 6 11 13 3

0.07 0.10 -0.89 0.41 7.67

0.21 0.15 -0.30 0.75 15.00

-0.28 0.03 -2.20 -0.23 3.00

-0.43 --1.65 0.10 5.00


Technical Analysis


Comparative Analysis Company -NA NA

Industry 0.24 0.01 0.00

Sector 0.36 0.10 0.02

S&P 500 119.09 41.90 6.91

Beta

2.58

0.92

0.80

1.38

Price to Sales (TTM) Price to Book (MRQ) Price to Tangible Book (MRQ) Price to Cash Flow (TTM) Price to Free Cash Flow (TTM)

0.24 --7.27 4.27

0.28 0.54 0.55 7.25 0.19

0.13 0.43 0.50 2.65 2.52

2.01 2.63 6.15 13.29 16.38

P/E Ratio (TTM) P/E High - Last 5 Yrs. P/E Low - Last 5 Yrs.

Insider Trading Activity

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

Total Insider Shares Held

121.64M

N/A

% Net Shares Purchased (Sold)

0.0%

N/A

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

61,738,100 4.0%


Consolidated Investment Analysis for Citigroup Inc. Citigroup Inc. (NYSE:C)

Company Description Citigroup Inc. (NYSE:C) is a global diversified financial services holding company. The Company is engaged in providing a range of financial services to consumers and corporate customers. As of May 4, 2009, Citigroup had more than 200 million customer accounts and did business in more than 140 countries. Through its two operating units, Citicorp and Citi Holdings, Citigroup provides consumers, corporations, governments and institutions with a range of financial products and services, including consumer banking and credit, corporate and investment banking, securities brokerage, and wealth management.In August 2009, the Company sold three credit card portfolios.In September 2009, Citigroup Inc. completed the sale of Nikko Cordial Securities to Sumitomo Mitsui Financial Group, Inc.'s subsidiary, Sumitomo Mitsui Banking Corporation. In October 2009, the Company sold its Nikko Asset Management Co. to The Sumitomo Trust & Banking Co., Ltd. Share Statistics Symbol Current Price 52wk Range Avg Vol (3m)

C 4.16 0.97- 11.06 675,444,000

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

-2.78 95.11B -62.89% N/A

Financial Summary On October 15, 2009, Citigroup Inc reported 3rd quarter 2009 losses of -0.27 per share. This result exceeded the -0.37 consensus loss of the 9 analysts covering the company and under-performed last year's 3rd quarter results by -61.97%. Citigroup Inc reported annual 2008 losses of -4.79 per share on January 16, 2009. C had 3rd quarter 2009 revenues of 20.39bn. This bettered the 19.83bn consensus of the 9 analysts covering the company. This was -31.96% below the prior year's 3rd quarter results. C had revenues for the full year 2008 of 52.79k. This was -35.38% below the prior year's results.


Analyst Consensus Buy

Outperform

Hold

Underperform

Sell

No Opinion

This is the consensus forecast amongst 15 polled investment analysts. Against the Citigroup Inc company. Analyst Detail

Buy

Outperform

Hold

Underperform

Sell

No Opinion

Latest

2

3

8

1

1

1

4 weeks ago

2

3

8

1

1

1

2 months ago

1

2

7

1

1

1

3 months ago

1

2

7

1

1

1

Last year

3

2

8

1

1

0

The 13 analysts offering 12 month price targets for Citigroup Inc (C:NYQ) have a median target of 5.00, with a high estimate of 6.00 and a low estimate of 3.00. The median estimate represents a 19.62% increase from the last price of 4.18.

SALES (in millions) Quarter Ending Dec-09 Quarter Ending Mar-10 Year Ending Dec-09 Year Ending Dec-10 Earnings (per share) Quarter Ending Dec-09 Quarter Ending Mar-10 Year Ending Dec-09 Year Ending Dec-10 LT Growth Rate (%)

# of Estimates

Mean

High

Low

1 Year Ago

8 2 10 11

19,778.30 21,377.80 92,243.40 83,836.90

22,319.60 22,951.70 98,793.40 97,101.70

17,982.00 19,804.00 80,793.00 72,567.00

24,287.00 -102,922.00 101,188.00

15 5 8 15 4

-0.06 -0.01 -0.24 0.06 3.25

0.03 0.05 0.00 0.30 11.00

-0.13 -0.13 -0.36 -0.35 -8.00

0.30 0.68 1.09 2.84 10.33


Technical Analysis


Comparative Analysis Company -NA NA

Industry 32.92 5.95 0.43

Sector 18.96 3.39 0.42

S&P 500 119.09 41.90 6.91

Beta

2.79

1.08

1.03

1.38

Price to Sales (TTM) Price to Book (MRQ) Price to Tangible Book (MRQ) Price to Cash Flow (TTM) Price to Free Cash Flow (TTM)

1.19 6.82 0.96 ---

1.71 1.33 1.44 5.94 1.04

2.68 1.25 1.40 7.53 3.33

2.01 2.63 6.15 13.29 16.38

P/E Ratio (TTM) P/E High - Last 5 Yrs. P/E Low - Last 5 Yrs.

Insider Trading Activity NET SHARE PURCHASE ACTIVITY

Insider Purchases - Last 6 Months Shares Purchases

Trans

2,132,820

5

N/A

0

2,132,820

5

Total Insider Shares Held

71.79M

N/A

% Net Shares Purchased (Sold)

3.1%

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

(404,373,000) (21.2%)


Consolidated Investment Analysis for Walt Disney Co. Walt Disney Co. (NYSE:DIS)

Company Description The Walt Disney Company, together with its subsidiaries, is a global entertainment company. The business segments of the Company are Media Networks, Parks and Resorts, Studio Entertainment, and Consumer Products. The Media Networks segment consists of domestic broadcast television network, television production and distribution operations, domestic television stations, cable networks, domestic broadcast radio networks and stations, and Internet and mobile operations. The Studio Entertainment segment produces and acquires live-action and animated motion pictures, direct-tovideo programming, musical recordings and live stage plays. The Consumer Products segment engages with licensees, manufacturers, publishers and retailers globally to design, develop, publish, promote and sell a range of products based on Disney characters. During the fiscal year ended September 27, 2008 (fiscal 2008), the Company completed the acquisition of UTV Software Communications Limited. Share Statistics Symbol Current Price 52wk Range Avg Vol (3m)

DIS 29.29 15.14- 29.98 12,066,900

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

1.69 54.44B 34.48% 17.35

Financial Summary On July 30, 2009, The Walt Disney Co reported 3rd quarter 2009 earnings of 0.52 per share. This result was in line with the consensus of the 21 analysts following the company and under-performed last year's 3rd quarter results by -16.13%. The next earnings announcement is expected on November 12, 2009. The Walt Disney Co reported annual 2008 earnings of 2.27 per share on November 06, 2008. The next earnings announcement from The Walt Disney Co is expected the week of November 12, 2009.


DIS had 3rd quarter 2009 revenues of 8.60bn. This missed the 8.83bn consensus estimate of the 18 analysts following the company. This was 6.29% above the prior year's 3rd quarter results. DIS had revenues for the full year 2008 of 37.84k. This was 6.57% above the prior year's results. Analyst Consensus Buy

Outperform

Hold

Underperform

Sell

No Opinion

This is the consensus forecast amongst 27 polled investment analysts. Against the The Walt Disney Co company. Analyst Detail

Buy

Outperform

Hold

Underperform

Sell

No Opinion

Latest

6

8

9

1

3

0

4 weeks ago

6

8

10

1

3

0

2 months ago

6

7

11

2

3

0

3 months ago

6

7

9

2

4

0

Last year

6

7

9

2

1

1

The 20 analysts offering 12 month price targets for The Walt Disney Co (DIS:NYQ) have a median target of 31.50, with a high estimate of 36.00 and a low estimate of 21.00. The median estimate represents a 8.17% increase from the last price of 29.12.

SALES (in millions) Quarter Ending Dec-09 Quarter Ending Mar-10 Year Ending Sep-09 Year Ending Sep-10 Earnings (per share) Quarter Ending Dec-09 Quarter Ending Mar-10 Year Ending Sep-09 Year Ending Sep-10 LT Growth Rate (%)

# of Estimates

Mean

High

Low

1 Year Ago

8 8 22 18

9,715.97 8,389.02 35,494.59 36,411.07

10,391.00 9,066.54 36,072.00 37,325.00

9,066.54 8,115.00 34,926.00 35,446.00

--37,700.00 39,380.92

8 8 24 24 10

0.41 0.47 1.76 1.86 8.99

0.47 0.48 1.82 2.01 14.90

0.37 0.44 1.71 1.71 5.00

0.59 0.56 2.18 2.40 11.02


Technical Analysis


Comparative Analysis

P/E Ratio (TTM) P/E High - Last 5 Yrs. P/E Low - Last 5 Yrs. Beta Price to Sales (TTM) Price to Book (MRQ) Price to Tangible Book (MRQ) Price to Cash Flow (TTM) Price to Free Cash Flow (TTM)

Company 17.17 25.72 8.01

Industry 18.82 14.12 2.48

Sector 0.36 0.10 0.02

S&P 500 119.09 41.90 6.91

1.07

1.27

0.80

1.38

1.51 1.54 12.48 10.69 19.15

1.98 1.87 23.53 8.08 22.53

0.13 0.43 0.50 2.65 2.52

2.01 2.63 6.15 13.29 16.38

Insider Trading Activity NET SHARE PURCHASE ACTIVITY

Insider Purchases - Last 6 Months Shares Purchases

Trans 3,000

1

910,000

5

(907,000)

6

Total Insider Shares Held

139.19M

N/A

% Net Shares Purchased (Sold)

(0.6%)

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

(29,304,300) (2.4%)


Consolidated Investment Analysis For Hewlett Packard Co. Hewlett Packard Company (NYSE:HPQ) Company Description Hewlett-Packard Company is a provider of products, technologies, software, solutions and services to individual consumers, small- and medium-sized businesses (SMBs) and large enterprises, including the public and education sectors. Its offerings span personal computing and other access devices; imaging and printing-related products and services; enterprise information technology infrastructure, including enterprise storage and server technology and software that optimizes business technology investments, and multi-vendor customer services, including technology support and maintenance, consulting and integration and outsourcing services, as well as application services and business process outsourcing. During the fiscal year ended October 31, 2008, its operations were organized into seven business segments: Enterprise Storage and Servers, HP Services, HP Software, the Personal Systems Group, the Imaging and Printing Group, HP Financial Services and Corporate Investments. Share Statistics Symbol Current Price 52wk Range Avg Vol (3m)

HPQ 50.00 25.39- 50.00 14,438,000

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

2.97 118.55B 46.33% 16.84

Financial Summary On August 18, 2009, Hewlett-Packard Co reported 3rd quarter 2009 earnings of 0.91 per share. This result was in line with the consensus of the 27 analysts following the company and exceeded last year's 3rd quarter results by 5.81%. The next earnings announcement is expected on November 23, 2009. Hewlett-Packard Co reported annual 2008 earnings of 3.62 per share on November 24, 2008. The next earnings announcement from Hewlett-Packard Co is expected the week of November 23, 2009.


HPQ had 3rd quarter 2009 revenues of 27.45bn. This bettered the 27.25bn consensus of the 25 analysts covering the company. This was 0.37% above the prior year's 3rd quarter results. HPQ had revenues for the full year 2008 of 118.36k. This was 13.50% above the prior year's results. Analyst Consensus Buy

Outperform

Hold

Underperform

Sell

No Opinion

This is the consensus forecast amongst 30 polled investment analysts. Against the Hewlett-Packard Co company. Analyst Detail

Buy

Outperform

Hold

Underperform

Sell

No Opinion

Latest

17

8

5

0

0

0

4 weeks ago

17

8

5

0

0

0

2 months ago

17

7

5

0

0

0

3 months ago

17

7

5

0

0

0

Last year

14

4

7

1

0

0

The 25 analysts offering 12 month price targets for Hewlett-Packard Co (HPQ:NYQ) have a median target of 55.00, with a high estimate of 62.00 and a low estimate of 44.00. The median estimate represents a 10.09% increase from the last price of 49.96.

SALES (in millions) Year Ending Oct-09 Year Ending Oct-10 Earnings (per share) Year Ending Oct-09 Year Ending Oct-10 LT Growth Rate (%)

# of Estimates

Mean

High

Low

1 Year Ago

26 27

113,415.55 118,155.27

113,852.00 120,624.00

113,117.00 116,600.00

137,627.56 142,979.45

29 29 10

3.72 4.28 12.20

3.84 4.42 18.00

1.12 4.18 4.00

4.04 4.53 13.86


Technical Analysis Chart


Comparative Analysis

P/E Ratio (TTM) P/E High - Last 5 Yrs. P/E Low - Last 5 Yrs. Beta Price to Sales (TTM) Price to Book (MRQ) Price to Tangible Book (MRQ) Price to Cash Flow (TTM) Price to Free Cash Flow (TTM)

Company 16.83 39.96 8.94

Industry 22.61 8.52 1.39

Sector 16.27 2.48 0.45

S&P 500 119.09 41.90 6.91

1.04

1.19

1.14

1.38

1.01 2.87 87.41 9.91 13.66

0.77 2.58 4.61 11.87 39.17

0.98 1.92 2.92 5.50 26.56

2.01 2.63 6.15 13.29 16.38

Insider Trading Actvivty

NET SHARE PURCHASE ACTIVITY

Insider Purchases - Last 6 Months Shares Purchases

Trans 7,500

1

1,309,150

20

(1,301,650)

21

Total Insider Shares Held

1.64M

N/A

% Net Shares Purchased (Sold)

(44.4%)

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

(4,708,970) (0.3%)


Consolidated Investment Analysis for Motorola Inc. Motorola Inc. (NYSE:MOT) Company Description Motorola, Inc. (Motorola) is engaged in providing technologies, products and services for mobile phones. The Company's portfolio includes wireless handsets, wireless accessories, digital entertainment devices, wireless access systems, voice and data communications systems, and enterprise mobility products. The segments of the Company include Mobile Devices Segment (Mobile Devices), Home and Networks Mobility Segment (Home and Networks Mobility) and Enterprise Mobility Solutions Segment (Enterprise Mobility Solutions). In November 2008, Satyam Computer Services Ltd. announced the take over of the Company's software development centre in Malaysia. In April 2009, the Company completed the sale of its biometric business unit, including the Printrak trademark, to Safran SA, through its wholly owned subsidiary, Sagem Securite. Share Statistics Symbol Current Price 52wk Range Avg Vol (3m)

MOT 8.77 2.98- 9.45 36,034,800

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

-1.68 20.27B 94.89% N/A

Financial Summary On October 29, 2009, Motorola Inc reported 3rd quarter 2009 earnings of 0.02 per share. This result was in line with the consensus of the 23 analysts following the company and under-performed last year's 3rd quarter results by -60.00%. The next earnings announcement is expected on February 01, 2010. Motorola Inc reported annual 2008 earnings of 0.02 per share on February 03, 2009. The next earnings announcement from Motorola Inc is expected the week of February 01, 2010. MOT had 3rd quarter 2009 revenues of 5.45bn. This missed the 5.54bn consensus estimate of the 22 analysts following the company. This was -0.80% below the prior year's 3rd quarter results.


MOT had revenues for the full year 2008 of 30.15k. This was -17.68% below the prior year's results.

Analyst Consensus

Buy

Outperform

Hold

Underperform

Sell

No Opinion

This is the consensus forecast amongst 29 polled investment analysts. Against the Motorola Inc company. Analyst Detail

Buy

Outperform

Hold

Underperform

Sell

No Opinion

Latest

10

4

13

1

1

2

4 weeks ago

9

2

15

1

1

3

2 months ago

10

1

15

1

1

3

3 months ago

9

0

17

1

2

2

Last year

4

3

19

2

1

3

The 20 analysts offering 12 month price targets for Motorola Inc (MOT:NYQ) have a median target of 10.25, with a high estimate of 12.00 and a low estimate of 6.50. The median estimate represents a 15.82% increase from the last price of 8.85.

SALES (in millions) Quarter Ending Dec-09 Quarter Ending Mar-10 Year Ending Dec-09 Year Ending Dec-10 Earnings (per share) Quarter Ending Dec-09 Quarter Ending Mar-10 Year Ending Dec-09 Year Ending Dec-10 LT Growth Rate (%)

# of Estimates

Mean

High

Low

1 Year Ago

22 18 25 25

5,956.81 5,444.89 22,277.50 24,092.10

6,585.52 5,883.00 23,133.30 26,648.00

5,579.00 4,901.00 21,900.00 21,531.00

8,016.84 6,895.00 28,670.40 30,820.80

26 20 27 29 9

0.08 0.04 0.01 0.34 8.33

0.10 0.06 0.04 0.48 15.00

0.01 -0.01 -0.07 0.21 2.00

0.10 0.02 0.17 0.42 10.90


Technical Analysis Chart


Comparative Analysis

Company -NA NA

Industry 22.69 5.07 1.30

Sector 16.27 2.48 0.45

S&P 500 119.09 41.90 6.91

Beta

1.85

1.00

1.14

1.38

Price to Sales (TTM) Price to Book (MRQ) Price to Tangible Book (MRQ) Price to Cash Flow (TTM) Price to Free Cash Flow (TTM)

0.88 2.12 3.28 ---

1.40 1.89 3.26 10.85 22.17

0.98 1.92 2.92 5.50 26.56

2.01 2.63 6.15 13.29 16.38

P/E Ratio (TTM) P/E High - Last 5 Yrs. P/E Low - Last 5 Yrs.

Insider Trading Activity

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

Total Insider Shares Held

1.85M

N/A

% Net Shares Purchased (Sold)

0.0%

N/A

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

(30,785,100) (1.7%)


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AIG, F, C, DIS, HPQ, MOT  

Consolidated Investment Analysis for AIG, F, C, DIS, HPQ, MOT