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Consolidated Investment Analysis for Bank of America

Bank of America Corp. (NYSE: BAC) Company Description Bank of America Corporation (Bank of America) is a bank holding company and a financial holding company. Through its banking subsidiaries and various non-banking subsidiaries throughout the United States and in selected international markets, it provides a diversified range of banking and non-banking financial services and products through three business segments: Global Consumer and Small Business Banking, Global Corporate and Investment Banking and Global Wealth and Investment Management. Bank of America operates in 50 states, the District of Columbia and more than 40 foreign countries. Bank of America has 6,100 banking centers, approximately 18,700 automated teller machines (ATMs), nationwide call centers, and online and mobile banking platforms. On January 1, 2009, Bank of America announced the purchase of Merrill Lynch & Co., Inc. On July 1, 2008, Bank of America completed the acquisition of Countrywide Financial Corporation. Share Statistics Symbol Current Price 52wk Range Avg Vol (3m)

BAC 15.18 2.53- 19.10 212,313,000

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

-0.28 131.31B 130.70% N/A

Financial Summary On January 20, 2010, Bank of America Corp reported 4th quarter 2009 losses of -0.60 per share. This result under-performed the -0.53 loss expectation of the 21 analysts following the company but exceeded last year's 4th quarter results by 25.00%. The next earnings announcement is expected on April 19, 2010. Bank of America Corp reported annual 2009 losses of -0.29 per share on January 20, 2010. BAC had 4th quarter 2009 revenues of 25.08bn. This missed the 27.04bn consensus estimate of the 10 analysts following the company. This was -3.68% below the prior year's 4th quarter results. BAC had revenues for the full year 2009 of 119.64k. This was 61.72% above the prior year's results.


Analyst Consensus Buy

Outperform

Hold

Underperform

Sell

No Opinion

This is the consensus forecast amongst 25 polled investment analysts. Against the Bank of America Corp company. Analyst Detail

Buy

Outperform

Hold

Underperform

Sell

No Opinion

Latest

14

7

4

0

0

0

4 weeks ago

12

6

6

0

0

0

2 months ago

11

5

6

1

0

0

3 months ago

10

5

7

1

0

0

Last year

4

3

9

2

1

0

The 22 analysts offering 12 month price targets for Bank of America Corp (BAC:NYQ) have a median target of 21.50, with a high estimate of 28.00 and a low estimate of 16.00. The median estimate represents a 39.88% increase from the last price of 15.37.

# of Estimates

Mean

High

Low

1 Year Ago

SALES (in millions)

Quarter Ending Mar-10

12

27,425.70

29,304.00

25,952.00

26,749.00

Quarter Ending Jun-10

11

28,018.60

30,021.00

26,460.00

27,119.30

Year Ending Dec-10

16

115,680.00

130,719.00

105,727.00

110,543.00

Year Ending Dec-11

14

122,897.00

134,890.00

113,962.00

118,789.00

Quarter Ending Mar-10

17

0.09

0.28

-0.05

0.28

Quarter Ending Jun-10

16

0.18

0.42

0.05

0.32

Year Ending Dec-10

25

0.84

1.63

0.20

1.88

Year Ending Dec-11

24

1.99

2.90

0.90

3.13

LT Growth Rate (%)

5

6.50

15.00

-4.00

5.70

Earnings (per share)


Technical Analysis Chart

Insider Trading Activity

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

Trans

162,000

4

N/A

0

162,000

4

8.39M

N/A

2.0%

N/A

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

(114,827,000) (2.2%)


Comparative Analysis

DIRECT COMPETITOR COMPARISON

BAC

C

JPM

WFC

Industry

Market Cap:

131.31B

94.56B

153.45B

147.23B

25.61B

Employ ees:

283,717

265,000

220,861

267,300

49.76K

109.50%

N/A

98.60%

1,462.70%

9.70%

71.07B

51.63B

62.92B

67.02B

7.74B

Gross Margin (ttm):

N/A

N/A

N/A

N/A

0.00%

EBITDA (ttm):

N/A

N/A

N/A

N/A

N/A

12.75%

4.24%

20.77%

33.46%

29.23%

Net Income (ttm):

-2.20B

-7.51B

4.86B

7.99B

N/A

EPS (ttm):

-0.285

-0.688

1.603

1.751

0.86

P/E (ttm):

N/A

N/A

24.29

16.24

15.35

PEG (5 yr expected):

3.12

N/A

1.6

1.25

1.16

P/S (ttm):

1.87

1.79

2.47

2.20

2.08

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

Oper Margins (ttm):


Consolidated Investment Analysis for American International Group American International Group (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 AIG Current Price 24.23 52wk Range 6.60- 55.90 Avg Vol (3m) 12,832,100

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

-484.10 3.26B -5.35% 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 1.33 consensus of the 2 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 6 polled investment analysts. Against the American International Group Inc company. Analyst Detail

Buy

Outperform

Hold

Underperform

Sell

No Opinion

Latest

0

0

4

2

0

1

4 weeks ago

0

0

4

3

0

1

2 months ago

0

0

4

3

0

1

3 months ago

0

0

5

3

0

1

Last year

0

1

12

0

0

0

The 4 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 50.00 and a low estimate of 15.00. The median estimate represents a 17.96% increase from the last price of 24.16.

# of Estimates

Mean

High

Low

1 Year Ago

SALES (in millions)

Quarter Ending Mar-10

1

23,238.00

23,238.00

23,238.00

--

Quarter Ending Jun-10

1

23,641.90

23,641.90

23,641.90

--

Year Ending Dec-10

3

90,134.70

123,370.00

52,049.00

123,370.00

Quarter Ending Mar-10

2

1.36

1.62

1.10

--

Quarter Ending Jun-10

3

1.36

1.66

1.18

--

Year Ending Dec-10

3

5.30

6.43

4.23

3.99

LT Growth Rate (%)

1

6.00

6.00

6.00

9.00

Earnings (per share)


Technical Analysis Chart

Insider Trading Activity

Insider Purchases - Last 6 Months Shares

Trans

Purchases

N/A

0

Sales

N/A

0

N/A

0

14.18M

N/A

0.0%

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

(14,786,900) (50.6%)


Comparative Analysis DIRECT COMPETITOR COMPARISON

AIG

AZSEY.PK

AXA

Pvt1

Industry

Market Cap:

3.26B

N/A

42.44B

N/A

876.86M

Employ ees:

116,000

N/A

109,304

60,0001

628

2,562.40%

N/A

40.00%

N/A

2.70%

52.54B

N/A

N/A

32.35B1

855.43M

Gross Margin (ttm):

-57.66%

N/A

15.88%

N/A

24.69%

EBITDA (ttm):

-32.76B

N/A

N/A

N/A

67.61M

Oper Margins (ttm):

-68.02%

N/A

N/A

N/A

16.28%

Net Income (ttm):

-65.43B

N/A

N/A

3.12B1

N/A

-484.101

N/A

N/A

N/A

1.72

P/E (ttm):

N/A

N/A

N/A

N/A

9.89

PEG (5 yr expected):

N/A

N/A

N/A

N/A

0.87

P/S (ttm):

0.06

N/A

N/A

N/A

1.00

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

EPS (ttm):


Consolidated Investment Analysis for Visa Inc. Visa Inc. (NYSE: V) Company Description Visa Inc. (Visa) operates the retail electronic payments network and manages a global payments brand. It facilitates global commerce through the transfer of value and information among financial institutions, merchants, consumers, businesses and government entities. Visa provides financial institutions with product platforms encompassing consumer credit, debit, prepaid and commercial payments. VisaNet, the centralized, global processing platform, enables to provide financial institutions and merchants with a range of product platforms, transaction processing and related services. Share Statistics Symbol V Current Price 82.03 52wk Range 46.86- 89.69 Avg Vol (3m) 6,338,530

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

3.16 63.82B 66.22% 25.96

Financial Summary On October 27, 2009, Visa Inc reported 4th quarter 2009 earnings of 0.74 per share. This result was in line with the consensus of the 24 analysts following the company and exceeded last year's 4th quarter results by 27.59%. The next earnings announcement is expected on February 03, 2010. Visa Inc reported annual 2009 earnings of 3.23 per share on October 27, 2009. V had 4th quarter 2009 revenues of 1.88bn. This bettered the 1.79bn consensus of the 22 analysts covering the company. This was 14.16% above the prior year's 4th quarter results. V had revenues for the full year 2009 of 6.91k. This was 10.35% above the prior year's results.


Analyst Consensus Buy

Outperform

Hold

Underperform

Sell

No Opinion

This is the consensus forecast amongst 32 polled investment analysts. Against the Visa Inc company. Analyst Detail

Buy

Outperform

Hold

Underperform

Sell

No Opinion

Latest

16

10

6

0

0

1

4 weeks ago

16

9

5

0

0

1

2 months ago

14

8

6

0

0

1

3 months ago

13

8

7

0

0

1

Last year

8

6

7

0

1

0

The 26 analysts offering 12 month price targets for Visa Inc (V:NYQ) have a median target of 96.00, with a high estimate of 120.00 and a low estimate of 83.00. The median estimate represents a 16.15% increase from the last price of 82.65.

# of Estimates

Mean

High

Low

1 Year Ago

SALES (in millions)

Quarter Ending Mar-10

23

1,864.74

1,957.00

1,823.00

1,779.21

Quarter Ending Jun-10

23

1,898.02

2,019.00

1,810.00

1,918.51

Year Ending Sep-10

26

7,721.66

8,021.00

7,595.00

7,515.45

Year Ending Sep-11

25

8,674.42

9,303.00

8,400.00

8,385.59

Quarter Ending Mar-10

26

0.88

0.94

0.82

0.75

Quarter Ending Jun-10

26

0.88

0.98

0.80

0.80

Year Ending Sep-10

33

3.59

3.80

3.35

3.11

Year Ending Sep-11

31

4.33

4.98

3.71

3.65

LT Growth Rate (%)

16

20.12

26.00

15.00

18.88

Earnings (per share)


Technical Analysis Chart

Insider Trading 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

17,958

2

(17,958)

2

1.02M

N/A

(1.7%)

N/A

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

1,163,320 0.2%


Comparative Analysis

DIRECT COMPETITOR COMPARISON

V

AXP

DFS

MA

Industry

Market Cap:

63.82B

44.89B

7.43B

32.43B

108.19M

Employ ees:

5,700

N/A

N/A

5,500

390

Qtrly Rev Growth (yoy):

9.90%

11.50%

75.50%

2.00%

15.80%

Revenue (ttm):

6.91B

19.21B

2.47B

5.03B

115.78M

83.46%

76.30%

100.00%

100.00%

41.53%

3.77B

N/A

N/A

2.49B

10.21M

51.22%

14.79%

10.11%

46.87%

5.02%

2.35B

1.81B

1.24B

1.40B

N/A

EPS (ttm):

3.16

1.539

2.425

10.745

N/A

P/E (ttm):

25.96

24.47

5.64

23.26

22.51

PEG (5 yr expected):

1.14

1.45

2.7

1.19

1.36

P/S (ttm):

9.30

2.32

2.97

6.44

1.54

Gross Margin (ttm): EBITDA (ttm): Oper Margins (ttm): Net Income (ttm):


Consolidated Investment Analysis for Google Inc. Google Inc. (NASDAQ: GOOG) Company Description Google Inc. maintains an index of Websites and other online content, and makes this information freely available through its search engine to anyone with an Internet connection. The Company's automated search technology helps people obtain nearly instant access to relevant information from its online index. The Company generates revenue primarily by delivering online advertising. Businesses use its AdWords program to promote their products and services with targeted advertising. In August 2008, the Company sold the search marketing business of Performics, a division of DoubleClick. In September 2008, Google Inc. bought Korea-based blogging software developer Tatter and Company. In September 2009, the Company acquired ReCAPTCHA Inc., a spin-off of Carnegie Mellon University's Computer Science Department. Share Statistics Symbol Current Price 52wk Range Avg Vol (3m)

GOOG 529.944 525.61-629.51 2,835,210

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

20.414 168.12B 56.54% 25.96

Financial Summary On January 21, 2010, Google Inc reported 4th quarter 2009 earnings of 6.79 per share. This result was in line with the consensus of the 32 analysts following the company and exceeded last year's 4th quarter results by 33.14%. Google Inc reported annual 2009 earnings of 23.22 per share on January 21, 2010. GOOG.O had 4th quarter 2009 revenues of 6.67bn. This bettered the 6.58bn consensus of the 25 analysts covering the company. This was 12.26% above the prior year's 4th quarter results. GOOG.O had revenues for the full year 2009 of 23.65k. This was 8.51% above the prior year's results.


Analyst Consensus Buy

Outperform

Hold

Underperform

Sell

No Opinion

This is the consensus forecast amongst 33 polled investment analysts. Against the Google Inc company. Analyst Detail

Buy

Outperform

Hold

Underperform

Sell

No Opinion

Latest

18

11

4

0

0

0

4 weeks ago

20

12

3

0

0

0

2 months ago

20

12

3

0

0

0

3 months ago

20

12

3

0

0

0

Last year

18

12

5

0

0

0

The 26 analysts offering 12 month price targets for Google Inc (GOOG:NSQ) have a median target of 697.50, with a high estimate of 810.00 and a low estimate of 540.00. The median estimate represents a 30.55% increase from the last price of 534.29.

# of Estimates

Mean

High

Low

1 Year Ago

SALES (in millions)

Quarter Ending Mar-10

26

6,617.42

6,928.20

6,338.36

6,300.84

Quarter Ending Jun-10

26

6,634.93

7,090.40

6,278.28

6,418.29

Year Ending Dec-10

28

27,912.10

29,162.90

26,507.50

27,115.10

Year Ending Dec-11

23

31,851.30

34,357.00

29,794.70

31,456.60

Quarter Ending Mar-10

30

6.52

6.91

6.05

5.64

Quarter Ending Jun-10

28

6.44

6.94

5.93

5.78

Year Ending Dec-10

34

27.32

28.87

25.84

24.67

Year Ending Dec-11

29

31.23

33.44

29.11

27.86

LT Growth Rate (%)

14

22.71

42.00

12.00

24.64

Earnings (per share)


Technical Analysis Chart

Insider Trading 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

301,854

70

(301,854)

70

1.53M

N/A

(16.5%)

N/A

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

(2,663,100) (1.0%)


Comparative Analysis

DIRECT COMPETITOR COMPARISON

GOOG

AOL

Pvt1

YHOO

Industry

Market Cap:

168.12B

2.53B

N/A

21.27B

84.35M

Employ ees:

19,835

7,000

N/A

N/A

206

Qtrly Rev Growth (yoy):

17.10%

-22.80%

N/A

-4.10%

15.40%

Revenue (ttm):

23.65B

3.42B

N/A

6.46B

60.27M

Gross Margin (ttm):

62.61%

45.17%

N/A

55.55%

65.64%

9.84B

1.25B

N/A

1.25B

3.79M

35.15%

24.82%

N/A

7.95%

2.41%

6.52B

-1.71B

N/A

597.99M

N/A

EPS (ttm):

20.414

-16.202

N/A

0.422

N/A

P/E (ttm):

25.96

N/A

N/A

35.57

25.96

PEG (5 yr expected):

0.88

N/A

N/A

1.69

1.46

P/S (ttm):

7.17

0.72

N/A

3.39

1.95

EBITDA (ttm): Oper Margins (ttm): Net Income (ttm):


Consolidated Investment Analysis for MGM Mirage MGM Mirage (NYSE: MGM) Company Description MGM MIRAGE is engaged in gaming and resort operations. The Company owns and operates casino resorts, which includes offering gaming, hotel, dining, entertainment, retail and other resort amenities. As of December 31, 2008, the Company's operations consisted of 17 wholly owned casino resorts and 50% investments in four other casino resorts. The Company owns and operates casino resorts in Las Vegas, Nevada, which include Bellagio, MGM Grand Las Vegas, Mandalay Bay, The Mirage, Luxor, Treasure Island (TI), New York-New York, Excalibur, Monte Carlo, Circus Circus Las Vegas and Slots-AFun. Other operations include Circus Circus Reno and Silver Legacy (50% owned) in Reno, Nevada; Gold Strike in Jean, Nevada; Railroad Pass in Henderson, Nevada; MGM Grand Detroit; Beau Rivage in Biloxi, Mississippi and Gold Strike Tunica in Tunica, Mississippi; Borgata (50% owned) in Atlantic City, New Jersey; Grand Victoria (50% owned) in Elgin, Illinois, and MGM Grand Macau (50% owned). Share Statistics Symbol Current Price 52wk Range Avg Vol (3m)

MGM 11.06 1.81- 14.25 26,482,300

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

-5.95 4.88B 38.25% N/A

Financial Summary On November 05, 2009, MGM Mirage reported 3rd quarter 2009 earnings of 0.02 per share. This result exceeded the -0.07 consensus loss of the 15 analysts covering the company and under-performed last year's 3rd quarter results by -93.55%. The next earnings announcement is expected on March 17, 2010. MGM Mirage reported annual 2008 earnings of 1.04 per share on March 17, 2009. The next earnings announcement from MGM Mirage is expected the week of March 17, 2010. MGM had 3rd quarter 2009 revenues of 1.71bn. This bettered the 1.47bn consensus of the 14 analysts covering the company. This was 14.14% above the prior year's 3rd quarter results. MGM had revenues for the full year 2008 of 7.21k. This was -6.28% below the prior year's results.


Analyst Consensus Buy

Outperform

Hold

Underperform

Sell

No Opinion

This is the consensus forecast amongst 21 polled investment analysts. Against the MGM Mirage company. Analyst Detail

Buy

Outperform

Hold

Underperform

Sell

No Opinion

Latest

2

2

12

2

3

0

4 weeks ago

2

1

13

2

3

0

2 months ago

2

1

13

2

3

0

3 months ago

2

1

12

2

3

0

Last year

4

1

11

1

1

0

The 19 analysts offering 12 month price targets for MGM Mirage (MGM:NYQ) have a median target of 10.00, with a high estimate of 16.00 and a low estimate of 5.50. The median estimate represents a -14.97% decrease from the last price of 11.76.

# of Estimates

Mean

High

Low

1 Year Ago

SALES (in millions)

Quarter Ending Mar-10

8

1,425.39

1,502.10

1,319.60

1,834.97

Quarter Ending Jun-10

8

1,471.28

1,532.41

1,439.00

1,872.52

17

5,892.88

6,121.90

5,625.40

6,795.68

Quarter Ending Mar-10

9

-0.13

-0.10

-0.20

0.35

Quarter Ending Jun-10

9

-0.12

-0.07

-0.18

0.36

Year Ending Dec-10

21

-0.57

-0.28

-1.32

1.03

LT Growth Rate (%)

1

14.00

14.00

14.00

14.67

Year Ending Dec-10

Earnings (per share)


Technical Analysis Chart

Insider Trading Activity

Insider Purchases - Last 6 Months Shares

Trans

Purchases

N/A

0

Sales

N/A

0

N/A

0

189.60M

N/A

0.0%

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

(13,662,100) (8.8%)


Comparative Analysis

DIRECT COMPETITOR COMPARISON

MGM

Pvt1

LVS

TRMPQ.PK

Industry

Market Cap:

4.88B

N/A

10.23B

2.44M

261.15M

Employ ees:

46,000

80,0001

28,500

6,400

2.65K

-14.10%

N/A

3.20%

-9.40%

8.60%

6.15B

10.13B1

4.37B

617.77M

730.80M

41.26%

N/A

36.23%

39.45%

43.93%

EBITDA (ttm):

1.23B

N/A

729.24M

55.11M

56.02M

Oper Margins (ttm):

8.52%

N/A

2.96%

-0.08%

5.78%

Net Income (ttm):

-2.01B

-5.20B1

-562.66M

-504.67M

N/A

EPS (ttm):

-5.950

N/A

-0.911

-17.435

-0.35

P/E (ttm):

N/A

N/A

N/A

N/A

20.67

PEG (5 yr expected):

N/A

N/A

2.25

N/A

2.25

P/S (ttm):

0.84

N/A

2.40

N/A

0.89

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


Consolidated Investment Analysis for Las Vegas Sands Las Vegas Sands (NYSE: LVS) Company Description Las Vegas Sands Corp (LVSC) owns and operates The Venetian Resort Hotel Casino (The Venetian Las Vegas), The Palazzo Resort Hotel Casino (The Palazzo) and The Sands Expo and Convention Center (the Sands Expo Center) in Las Vegas, Nevada, and the Sands Macao, The Venetian Macao Resort Hotel (The Venetian Macao) and the Four Seasons Hotel Macao, Cotai Strip (the Four Seasons Macao) in Macao, People's Republic of China (China). The Company is creating a master-planned development of integrated resort properties, anchored by The Venetian Macao. In addition, the Company is developing Marina Bay Sands, an integrated resort in Singapore, and Sands Casino Resort Bethlehem (the Sands Bethlehem), an integrated resort in Bethlehem, Pennsylvania. Share Statistics Symbol Current Price 52wk Range Avg Vol (3m)

LVS 15.50 1.38- 20.73 26,471,200

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

-0.91 10.23B 200.97% N/A

Financial Summary On October 29, 2009, Las Vegas Sands Corp reported 3rd quarter 2009 earnings of 0.03 per share. This result was in line with the consensus of the 15 analysts following the company and exceeded last year's 3rd quarter results by 50.00%. Las Vegas Sands Corp reported annual 2008 earnings of 0.11 per share on February 11, 2009. LVS had 3rd quarter 2009 revenues of 1.14bn. This missed the 1.17bn consensus estimate of the 12 analysts following the company. This was 7.79% above the prior year's 3rd quarter results. LVS had revenues for the full year 2008 of 4.39k. This was 48.78% above the prior year's results.


Analyst Consensus Buy

Outperform

Hold

Underperform

Sell

No Opinion

This is the consensus forecast amongst 19 polled investment analysts. Against the Las Vegas Sands Corp company. Analyst Detail

Buy

Outperform

Hold

Underperform

Sell

No Opinion

Latest

9

2

5

1

2

0

4 weeks ago

8

1

6

1

2

0

2 months ago

8

1

6

1

1

0

3 months ago

7

1

6

1

1

0

Last year

2

2

8

2

1

0

The 17 analysts offering 12 month price targets for Las Vegas Sands Corp (LVS:NYQ) have a median target of 20.00, with a high estimate of 24.50 and a low estimate of 8.00. The median estimate represents a 26.10% increase from the last price of 15.86.

# of Estimates

Mean

High

Low

1 Year Ago

SALES (in millions)

Quarter Ending Mar-10

10

1,260.22

1,478.10

1,167.80

1,784.10

Quarter Ending Jun-10

10

1,506.71

1,860.58

1,351.00

1,846.48

Year Ending Dec-10

15

6,106.56

7,180.57

5,550.40

6,658.30

Quarter Ending Mar-10

12

0.02

0.09

-0.09

0.10

Quarter Ending Jun-10

12

0.06

0.12

0.01

0.12

Year Ending Dec-10

18

0.29

0.72

-0.57

0.22

LT Growth Rate (%)

2

53.06

86.12

20.00

17.67

Earnings (per share)


Technical Analysis Chart

Insider Trading Activity

Insider Purchases - Last 6 Months Shares

Trans

Purchases

N/A

0

Sales

N/A

0

N/A

0

345.20M

N/A

0.0%

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

(94,877,000) (80.1%)


Competitive Comparison DIRECT COMPETITOR COMPARISON

LVS

BYD

Pvt1

MGM

Industry

Market Cap:

10.23B

671.75M

N/A

4.88B

261.15M

Employ ees:

28,500

16,000

80,0001

46,000

2.65K

Qtrly Rev Growth (yoy):

3.20%

-6.60%

N/A

-14.10%

8.60%

Revenue (ttm):

4.37B

1.68B

10.13B1

6.15B

730.80M

36.23%

39.55%

N/A

41.26%

43.93%

729.24M

310.68M

N/A

1.23B

56.02M

2.96%

8.56%

N/A

8.52%

5.78%

-562.66M

-215.51M

-5.20B1

-2.01B

N/A

-0.911

-2.482

N/A

-5.950

-0.35

P/E (ttm):

N/A

N/A

N/A

N/A

20.67

PEG (5 yr expected):

2.25

N/A

N/A

N/A

2.25

P/S (ttm):

2.40

0.41

N/A

0.84

0.89

Gross Margin (ttm): EBITDA (ttm): Oper Margins (ttm): Net Income (ttm): EPS (ttm):


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