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Consolidated Investment Analysis for Cliffs Natural Resources Inc.

Cliffs Natural Resources Inc. (NYSE: CLF) Company Description Cliffs Natural Resources Inc. (Cliffs), formerly Cleveland-Cliffs Inc, is an international mining and natural resources company. The Company is a producer of iron ore pellets in North America, a supplier of directshipping lump and fines iron ore out of Australia, and a producer of metallurgical coal. The Company's operations are organized according to product category and geographic location: North American Iron Ore, North American Coal, Asia Pacific Iron Ore, Asia Pacific Coal and Latin American Iron Ore. In North America, it operates six iron ore mines in Michigan, Minnesota and Eastern Canada, and two coking coal mining complexes located in West Virginia and Alabama. Its Asia Pacific operations are comprised of two iron ore mining complexes in Western Australia, serving the Asian iron ore markets with direct-shipping fines and lump ore, and a 45 % economic interest in a coking and thermal coal mine located in Queensland, Australia. Share Statistics Symbol Current Price 52wk Range Avg Vol (3m)

CLF 70.10 18.00- 76.17 6,110,820

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

1.63 9.48B 227.88% 42.98

Financial Summary On February 17, 2010, Cliffs Natural Resources Inc reported 4th quarter 2009 earnings of 0.75 per share. This result exceeded the 0.40 consensus of the 12 analysts covering the company and under-performed last year's 4th quarter results by -56.14%. The next earnings announcement is expected on April 28, 2010. Cliffs Natural Resources Inc reported annual 2009 earnings of 0.96 per share on February 17, 2010. CLF had 4th quarter 2009 revenues of 820.50m. This missed the 880.50m consensus estimate of the 7 analysts following the company. This was 23.12% above the prior year's 4th quarter results. CLF had revenues for the full year 2009 of 2.34k. This was -35.11% below the prior year's results.


Analyst Consensus Buy

Outperform

Hold

Underperform

Sell

No Opinion

This is the consensus forecast amongst 11 polled investment analysts. Against the Cliffs Natural Resources Inc company. Analyst Detail

Buy

Outperform

Hold

Underperform

Sell

No Opinion

Latest

5

3

3

0

0

0

4 weeks ago

6

2

3

0

0

0

2 months ago

6

2

3

0

0

0

3 months ago

7

2

3

0

0

0

Last year

4

2

2

0

0

0

The 9 analysts offering 12 month price targets for Cliffs Natural Resources Inc (CLF:NYQ) have a median target of 83.00, with a high estimate of 105.00 and a low estimate of 70.00. The median estimate represents a 20.80% increase from the last price of 68.71.

# of Estimates

Mean

High

Low

1 Year Ago

SALES (in millions)

Quarter Ending Jun-10

3

1,285.07

1,448.00

993.60

792.75

Quarter Ending Sep-10

3

1,251.10

1,346.00

1,174.20

862.08

Year Ending Dec-10

7

4,495.19

5,137.00

3,856.80

2,998.45

Year Ending Dec-11

6

5,244.14

6,630.00

4,425.40

3,090.83

Quarter Ending Jun-10

9

2.13

3.45

0.93

0.85

Quarter Ending Sep-10

9

2.11

2.88

1.23

1.03

Year Ending Dec-10

11

7.19

10.00

3.87

3.14

Year Ending Dec-11

10

8.94

13.50

4.58

2.98

LT Growth Rate (%)

2

14.00

18.00

10.00

--

Earnings (per share)


Technical Analysis Chart

NET SHARE PURCHASE ACTIVITY

Insider Purchases - Last 6 Months Shares Purchases

Trans N/A

0

48,956

7

(48,956)

7

Total Insider Shares Held

1.75M

N/A

% Net Shares Purchased (Sold)

(2.7%)

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

(11,584,300) (10.7%)


DIRECT COMPETITOR COMPARISON

CLF

CNX

MEE

BTU

Industry

Market Cap:

9B

9B

4B

12B

2B

Employ ees:

5,404

8,012

5,851

7,300

4K

-10.50%

-4.60%

-21.70%

-17.90%

15.40%

2B

5B

3B

6B

2B

20.00%

35.59%

21.03%

25.69%

11.51%

589M

1B

511M

1B

105M

15.06%

16.70%

8.44%

14.81%

5.55%

Net Income (ttm):

205M

540M

104M

440M

N/A

EPS (ttm):

1.631

2.952

1.22

1.665

0.02

P/E (ttm):

42.98

14.51

35.82

27.93

37.58

PEG (5 yr expected):

0.71

1.48

2.42

1.57

1.55

P/S (ttm):

3.97

2.07

1.57

2.03

1.00

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


Consolidated Investment Analysis for Coca Cola Co. Coca Cola Co. (NYSE: KO) Company Description The Coca-Cola Company is the owner and marketer of nonalcoholic beverage brands. It also manufactures, distributes and markets concentrates and syrups used to produce nonalcoholic beverages. The Company owns or licenses and markets more than 500 nonalcoholic beverage brands, primarily sparkling beverages but also a variety of still beverages, such as waters, enhanced waters, juices and juice drinks, ready-to-drink teas and coffees, and energy and sports drinks. It also manufactures, or authorizes bottling partners to manufacture, fountain syrups, which it sells to fountain retailers, such as restaurants and convenience stores, which use the fountain syrups to produce finished beverages for immediate consumption, or to fountain wholesalers or bottlers, which in turn sell and distribute the fountain syrups to fountain retailers. In addition, the Company manufactures certain finished beverages, such as juices and juice drinks and water products. Share Statistics Symbol KO Current Price 54.47 52wk Range 42.00- 59.45 Avg Vol (3m) 11,245,700

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

2.93 125.56B 22.87% 18.59

Financial Summary On February 09, 2010, Coca-Cola Co reported 4th quarter 2009 earnings of 0.66 per share. This result was in line with the consensus of the 10 analysts following the company and exceeded last year's 4th quarter results by 3.13%. The next earnings announcement is expected on April 20, 2010. Coca-Cola Co reported annual 2009 earnings of 3.06 per share on February 09, 2010. KO had 4th quarter 2009 revenues of 7.51bn. This bettered the 7.25bn consensus of the 6 analysts covering the company. This was -6.64% below the prior year's 4th quarter results. KO had revenues for the full year 2009 of 30.99k. This was -2.99% below the prior year's results.


Analyst Consensus Buy

Outperform

Hold

Underperform

Sell

No Opinion

This is the consensus forecast amongst 13 polled investment analysts. Against the Coca-Cola Co company. Analyst Detail

Buy

Outperform

Hold

Underperform

Sell

No Opinion

Latest

7

4

2

0

0

1

4 weeks ago

7

4

2

0

0

1

2 months ago

6

4

3

0

0

0

3 months ago

6

4

3

0

0

0

Last year

4

5

3

0

0

0

The 12 analysts offering 12 month price targets for Coca-Cola Co (KO:NYQ) have a median target of 62.00, with a high estimate of 65.00 and a low estimate of 58.00. The median estimate represents a 12.08% increase from the last price of 55.32.

# of Estimates

Mean

High

Low

1 Year Ago

SALES (in millions)

Quarter Ending Jun-10

7

8,858.57

9,099.00

8,680.00

8,889.00

Quarter Ending Sep-10

7

8,520.65

8,645.00

8,441.00

8,388.00

Year Ending Dec-10

10

33,295.50

36,562.00

32,233.50

32,968.80

Year Ending Dec-11

8

38,108.20

50,015.00

34,371.00

34,671.60

Quarter Ending Jun-10

8

1.03

1.06

0.99

1.05

Quarter Ending Sep-10

8

0.90

0.95

0.87

0.88

Year Ending Dec-10

14

3.41

3.48

3.35

3.37

Year Ending Dec-11

13

3.73

3.81

3.69

3.61

LT Growth Rate (%)

2

8.50

9.00

8.00

7.74

Earnings (per share)


Technical Analysis Chart

NET SHARE PURCHASE ACTIVITY

Insider Purchases - Last 6 Months Shares

Trans

Purchases

667,705

4

Sales

116,979

6

550,726

10

115.28M

N/A

0.5%

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

(42,366,200) (2.9%)


DIRECT COMPETITOR COMPARISON

KO

DPS

NSRGY.PK

PEP

Industry

Market Cap:

126B

9B

N/A

103B

133M

Employ ees:

92,800

19,000

N/A

203,000

3K

Qtrly Rev Growth (yoy):

5.40%

-1.50%

N/A

4.50%

14.30%

31B

6B

N/A

43B

1B

64.22%

59.61%

N/A

53.51%

42.84%

10B

1B

N/A

10B

156M

27.57%

18.91%

N/A

18.69%

5.71%

7B

555M

N/A

6B

N/A

EPS (ttm):

2.93

2.175

N/A

3.77

0.66

P/E (ttm):

18.59

15.64

N/A

17.48

17.28

1.9

1.85

2.34

1.42

1.90

4.11

1.57

N/A

2.40

1.09

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

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


Consolidated Investment Analysis for PepsiCo Inc. PepsiCo Inc. (NYSE: PEP) Company Description PepsiCo, Inc. is a global food, snack and beverage company. The Company's portfolio includes oat, rice and grain-based snacks, as well as carbonated and non-carbonated beverages, in over 200 countries. Its operations are in North America (United States and Canada), Mexico and the United Kingdom. It is organized into three business units: PepsiCo Americas Foods (PAF), which includes Frito-Lay North America (FLNA), Quaker Foods North America (QFNA) and all of its Latin American food and snack businesses (LAF), including its Sabritas and Gamesa businesses in Mexico; PepsiCo Americas Beverages (PAB), which includes PepsiCo Beverages North America and all of its Latin American beverage businesses, and PepsiCo International (PI), which includes all PepsiCo businesses in Europe and all PepsiCo businesses in Asia, Middle East and Africa (AMEA). PepsiCo's three business units are comprised of six reportable segments: FLNA, QFNA, LAF, PAB, Europe, and AMEA. Share Statistics Symbol PEP Current Price 65.90 52wk Range 47.50- 67.00 Avg Vol (3m) 7,195,940

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

3.77 103.46B 32.17% 17.48

Financial Summary On February 11, 2010, Pepsico Inc reported 4th quarter 2009 earnings of 0.90 per share. This result was in line with the consensus of the 11 analysts following the company and exceeded last year's 4th quarter results by 2.27%. The next earnings announcement is expected on April 22, 2010. Pepsico Inc reported annual 2009 earnings of 3.71 per share on February 11, 2010. PEP had 4th quarter 2009 revenues of 13.30bn. This bettered the 13.24bn consensus of the 8 analysts covering the company. This was 20.01% above the prior year's 4th quarter results. PEP had revenues for the full year 2009 of 43.23k. This was -0.04% below the prior year's results.


Analyst Consensus Buy

Outperform

Hold

Underperform

Sell

No Opinion

This is the consensus forecast amongst 13 polled investment analysts. Against the Pepsico Inc company. Analyst Detail

Buy

Outperform

Hold

Underperform

Sell

No Opinion

Latest

6

5

1

1

0

0

4 weeks ago

6

5

1

1

0

0

2 months ago

6

4

1

1

0

1

3 months ago

6

4

1

1

0

1

Last year

5

4

3

0

0

0

The 12 analysts offering 12 month price targets for Pepsico Inc (PEP:NYQ) have a median target of 74.00, with a high estimate of 76.00 and a low estimate of 68.00. The median estimate represents a 11.92% increase from the last price of 66.12.

# of Estimates

Mean

High

Low

1 Year Ago

SALES (in millions)

Quarter Ending Jun-10

6

14,343.40

16,097.00

11,275.00

11,599.20

Quarter Ending Sep-10

6

14,940.40

16,803.00

11,600.00

11,979.80

Year Ending Dec-10

10

57,396.20

62,051.00

45,945.00

45,897.30

Year Ending Dec-11

9

63,166.40

66,029.20

60,990.90

48,808.70

Quarter Ending Jun-10

11

1.11

1.14

1.06

1.10

Quarter Ending Sep-10

11

1.23

1.29

1.18

1.14

Year Ending Dec-10

14

4.17

4.24

4.06

4.01

Year Ending Dec-11

13

4.65

4.82

4.51

4.38

LT Growth Rate (%)

2

10.00

10.00

10.00

9.40

Earnings (per share)


Technical Analysis Chart

NET SHARE PURCHASE ACTIVITY

Insider Purchases - Last 6 Months Shares Purchases

Trans N/A

0

608,130

8

(608,130)

8

Total Insider Shares Held

989.04K

N/A

% Net Shares Purchased (Sold)

(38.1%)

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

8,833,500 0.9%


DIRECT COMPETITOR COMPARISON

PEP

KO

DPS

KFT

Industry

Market Cap:

103B

126B

9B

45B

408M

Employ ees:

203,000

92,800

19,000

97,000

2K

4.50%

5.40%

-1.50%

3.20%

10.50%

43B

31B

6B

40B

431M

53.51%

64.22%

59.61%

36.15%

30.03%

10B

10B

1B

7B

44M

18.69%

27.57%

18.91%

13.80%

7.94%

6B

7B

555M

3B

N/A

EPS (ttm):

3.77

2.93

2.175

2.033

0.54

P/E (ttm):

17.48

18.59

15.64

14.98

17.51

PEG (5 yr expected):

1.42

1.9

1.85

1.97

1.59

P/S (ttm):

2.40

4.11

1.57

1.13

0.90

Qtrly Rev Growth (yoy): Revenue (ttm): Gross Margin (ttm): EBITDA (ttm): Oper Margins (ttm): Net Income (ttm):


Consolidated Investment Analysis for Charles Schwab Corp. Charles Schwab Corp. (NASDAQ: SCHW) Company Description The Charles Schwab Corporation (CSC) is a financial holding company. Through its subsidiaries, the Company engages in securities brokerage, banking and related financial services. As of December 31, 2009, CSC provided financial services to individuals and institutional clients through two segments: Investor Services and Institutional Services. As of December 31, 2009, the Company had $1.42 trillion in client assets, 7.7 million active brokerage accounts, 1.5 million corporate retirement plan participants and 722,000 banking accounts. The Investor Services segment includes the Company's retail brokerage and banking operations. The Institutional Services segment provides custodial, trading, and support services to independent investment advisors (IAs), as well as retirement plan, equity compensation plan, and other financial services to corporations and their employees. Share Statistics Symbol Current Price 52wk Range Avg Vol (3m)

SCHW 19.29 16.25- 19.87 13,532,000

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

0.59 22.92B 9.54% 32.75

Financial Summary On April 15, 2010, Charles Schwab Corp reported 1st quarter 2010 earnings of 0.10 per share. This result under-performed the 0.11 consensus expectations of the 19 analysts following the company but underperformed last year's 1st quarter results by -52.38%. The next earnings announcement is expected on July 15, 2010. Charles Schwab Corp reported annual 2009 earnings of 0.68 per share on January 19, 2010. SCHW.K had 1st quarter 2010 revenues of 978.00m. This missed the 991.90m consensus estimate of the 13 analysts following the company. This was -0.81% below the prior year's 1st quarter results. SCHW.K had revenues for the full year 2009 of 4.19k. This was -18.58% 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 Charles Schwab Corp company. Analyst Detail

Buy

Outperform

Hold

Underperform

Sell

No Opinion

Latest

6

4

10

0

0

0

4 weeks ago

5

4

10

0

0

0

2 months ago

5

4

10

0

0

0

3 months ago

4

4

10

1

0

0

Last year

3

2

8

0

0

0

The 17 analysts offering 12 month price targets for Charles Schwab Corp (SCHW:NYQ) have a median target of 20.00, with a high estimate of 24.00 and a low estimate of 16.00. The median estimate represents a 4.93% increase from the last price of 19.06.

# of Estimates

Mean

High

Low

1 Year Ago

SALES (in millions)

Quarter Ending Jun-10

12

1,050.09

1,108.00

1,016.00

1,162.50

Quarter Ending Sep-10

11

1,101.54

1,180.00

1,045.00

1,199.00

Year Ending Dec-10

16

4,304.39

4,587.00

4,111.00

4,792.58

Year Ending Dec-11

15

5,431.96

5,880.11

4,840.82

5,656.49

Quarter Ending Jun-10

18

0.15

0.17

0.13

0.22

Quarter Ending Sep-10

17

0.18

0.23

0.14

0.23

Year Ending Dec-10

20

0.64

0.83

0.53

0.96

Year Ending Dec-11

20

1.09

1.28

0.80

1.25

LT Growth Rate (%)

4

16.75

20.00

12.00

12.75

Earnings (per share)


Technical Analysis Chart

NET SHARE PURCHASE ACTIVITY

Insider Purchases - Last 6 Months Shares Purchases

Trans N/A

0

27,422

1

Net Shares Purchased (Sold)

(27,422)

1

Total Insider Shares Held

206.65M

N/A

0.0%

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

(6,275,640) (0.8%)


DIRECT COMPETITOR COMPARISON

SCHW

ETFC

Pvt1

Pvt2

Industry

Market Cap:

23B

3B

N/A

N/A

528M

Employ ees:

12,400

3,084

40,0001

40,5002

580

Qtrly Rev Growth (yoy):

-9.90%

N/A

N/A

N/A

17.90%

4B

436M

13B1

4B2

233M

100.00%

60.87%

N/A

N/A

87.08%

N/A

N/A

N/A

N/A

8M

35.46%

-180.29%

N/A

N/A

14.72%

Net Income (ttm):

688M

-1B

N/A

164M2

N/A

EPS (ttm):

0.589

-1.185

N/A

N/A

N/A

P/E (ttm):

32.75

N/A

N/A

N/A

19.74

PEG (5 yr expected):

2.98

N/A

N/A

N/A

1.30

P/S (ttm):

5.58

7.61

N/A

N/A

2.23

Revenue (ttm): Gross Margin (ttm): EBITDA (ttm): Oper Margins (ttm):


Consolidated Investment Analysis for Yahoo Inc. Yahoo Inc. (NASDAQ: YHOO) Company Description Yahoo! Inc. (Yahoo!)together with its subsidiaries, is an online media company. The Company attracts users every month through its technology and engaging content and services. To users, it provides online properties and services (Yahoo! Properties or its Owned and Operated sites). To advertisers, it provides a range of marketing services designed to reach and connect with users of its Owned and Operated sites, as well as with Internet users beyond Yahoo! Properties, through a distribution network of third-party entities (its Affiliates). Its offerings to users on Yahoo! Properties fall into four categories: Integrated Consumer Experiences, Applications (Communications and Communities), Search, and Media Products and Solutions. In November 11, 2009, it acquired Maktoob.com, an online portal in the Middle East with users from the United Arab Emirates, Jordan, Kuwait, Egypt, Saudi Arabia and Dubai. Share Statistics Symbol Current Price 52wk Range Avg Vol (3m)

YHOO 18.38 13.60- 19.12 24,655,400

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

0.42 25.74B 34.55% 43.55

Financial Summary On January 26, 2010, Yahoo! Inc reported 4th quarter 2009 earnings of 0.11 per share. The next earnings announcement is expected on April 20, 2010. Yahoo! Inc reported annual 2009 earnings of 0.42 per share on January 26, 2010. YHOO.O had 4th quarter 2009 revenues of 1.26bn. This bettered the 1.23bn consensus of the 28 analysts covering the company. This was 11.23% above the prior year's 4th quarter results. YHOO.O had revenues for the full year 2009 of 4.68k. This was -13.26% below the prior year's results.


Analyst Consensus Buy

Outperform

Hold

Underperform

Sell

No Opinion

This is the consensus forecast amongst 31 polled investment analysts. Against the Yahoo! Inc company. Analyst Detail

Buy

Outperform

Hold

Underperform

Sell

No Opinion

Latest

7

6

17

1

0

1

4 weeks ago

8

7

16

1

0

1

2 months ago

9

6

17

1

0

1

3 months ago

9

6

17

1

0

1

Last year

4

3

20

2

0

2

# of Estimates

Mean

High

Low

1 Year Ago

SALES (in millions)

Quarter Ending Jun-10

26

1,183.92

1,221.00

1,143.00

1,256.22

Quarter Ending Sep-10

25

1,196.53

1,246.00

1,108.10

1,287.19

Year Ending Dec-10

29

4,886.24

5,102.60

4,651.00

5,239.17

Year Ending Dec-11

24

5,176.84

7,058.00

4,666.80

5,976.92

Quarter Ending Jun-10

25

0.11

0.13

0.08

0.12

Quarter Ending Sep-10

25

0.12

0.14

0.08

0.12

Year Ending Dec-10

27

0.48

0.55

0.34

0.44

Year Ending Dec-11

24

0.61

0.78

0.48

0.52

LT Growth Rate (%)

13

14.02

26.00

-12.00

18.54

Earnings (per share)


Technical Analysis Chart

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

119,114

4

(119,114)

4

131.95M

N/A

(0.1%)

N/A

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

(133,490,000) (15.0%)


DIRECT COMPETITOR COMPARISON

YHOO

AOL

GOOG

Pvt1

Industry

Market Cap:

26B

3B

176B

N/A

107M

Employ ees:

13,900

6,700

19,835

N/A

209

Qtrly Rev Growth (yoy):

-4.10%

-16.90%

23.00%

N/A

15.40%

6B

3B

25B

N/A

56M

55.55%

42.43%

63.10%

N/A

69.87%

1B

1B

10B

N/A

6M

7.95%

21.47%

35.78%

N/A

6.04%

Net Income (ttm):

597M

249M

7B

N/A

N/A

EPS (ttm):

0.422

2.352

21.986

N/A

N/A

P/E (ttm):

43.55

11.94

25.25

N/A

25.02

PEG (5 yr expected):

2.19

N/A

1.01

N/A

1.69

P/S (ttm):

3.99

0.89

7.02

N/A

2.15

Revenue (ttm): Gross Margin (ttm): EBITDA (ttm): Oper Margins (ttm):


Consolidated Investment Analysis for Sirius XM Radio Inc. Sirius XM Radio Inc. (NASDAQ: SIRI) Company Description Sirius XM Radio Inc. has two principal wholly owned subsidiaries, XM Satellite Radio Holdings Inc. and Satellite CD Radio Inc. The Company is engaged in broadcasting its music, sports, news, talk, entertainment, traffic and weather channels in the United States for a subscription fee through its satellite radio systems, the SIRIUS system and the XM system. The SIRIUS system consists of four in-orbit satellites, approximately 125 terrestrial repeaters that receive and retransmit signals, satellite uplink facilities and studios. The XM system consists of four in-orbit satellites, over 650 terrestrial repeaters that receive and retransmit signals, satellite uplink facilities and studios. Subscribers can also receive certain of its music and other channels over the Internet. Share Statistics Symbol Current Price 52wk Range Avg Vol (3m)

SIRI 1.13 0.30- 1.18 146,226,000

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

-0.15 4.39B 126.00% N/A

Financial Summary On February 25, 2010, Sirius XM Radio Inc reported 4th quarter 2009 losses of -0.01 per share. This result was in line with the consensus of the 5 analysts following the company and under-performed last year's 4th quarter results by -66.67%. The next earnings announcement is expected on May 03, 2010. Sirius XM Radio Inc reported annual 2009 losses of -0.12 per share on February 25, 2010. SIRI.O had 4th quarter 2009 revenues of 676.17m. This bettered the 662.86m consensus of the 5 analysts covering the company. This was 7.40% above the prior year's 4th quarter results. SIRI.O had revenues for the full year 2009 of 2.47k. This was 48.60% 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 Sirius XM Radio Inc company. Analyst Detail

Buy

Outperform

Hold

Underperform

Sell

No Opinion

Latest

2

1

3

0

0

0

4 weeks ago

1

2

3

0

0

0

2 months ago

1

2

3

0

0

0

3 months ago

1

2

3

0

0

0

Last year

0

0

6

0

1

1

The 5 analysts offering 12 month price targets for Sirius XM Radio Inc (SIRI:NSQ) have a median target of 1.25, with a high estimate of 1.35 and a low estimate of 0.75. The median estimate represents a 15.74% increase from the last price of 1.08.

# of Estimates

Mean

High

Low

1 Year Ago

SALES (in millions)

Quarter Ending Jun-10

5

680.82

689.00

664.00

--

Quarter Ending Sep-10

5

690.51

705.30

677.00

--

Year Ending Dec-10

5

2,755.81

2,795.10

2,679.20

2,778.30

Year Ending Dec-11

4

2,966.26

3,031.40

2,826.10

2,966.73

Quarter Ending Jun-10

6

-0.00

0.00

-0.01

--

Quarter Ending Sep-10

6

0.00

0.01

0.00

--

Year Ending Dec-10

6

0.00

0.01

-0.01

-0.08

Year Ending Dec-11

5

0.02

0.04

0.01

0.00

LT Growth Rate (%)

1

30.00

30.00

30.00

--

Earnings (per share)


Technical Analysis Chart

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

4,289,200

21

(4,289,200)

21

63.48M

N/A

(6.3%)

N/A

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

(316,218,000) (59.6%)


DIRECT COMPETITOR COMPARISON

SIRI

Pvt1

CMLS

WWON

Industry

Market Cap:

4B

N/A

206M

191M

124M

Employ ees:

1,514

22,1001

2,255

N/A

1K

8.70%

N/A

-7.30%

-8.70%

6.90%

2B

7B1

256M

340M

256M

56.97%

N/A

35.30%

4.96%

41.77%

571M

N/A

68M

5M

52M

10.56%

N/A

22.19%

-5.61%

21.22%

Net Income (ttm):

-529M

-4B1

-127M

-167M

N/A

EPS (ttm):

-0.148

N/A

-3.134

-19.252

-0.35

P/E (ttm):

N/A

N/A

N/A

N/A

31.21

PEG (5 yr expected):

N/A

N/A

N/A

N/A

2.90

P/S (ttm):

1.70

N/A

0.78

0.58

0.83

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


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