Page 1

Consolidated Investment Analysis for Ivanhoe Mines Ltd.

Ivanhoe Mines Ltd. (NYSE: IVN) Company Description Ivanhoe Mines Ltd. (IVN) is an international mineral exploration and development company. The Company's principal mineral resource property is the Oyu Tolgoi Project, located in Mongolia. The Company also has two subsidiaries, through which it holds interests in coal resource properties in Mongolia, and molybdenum, rhenium, copper, gold and uranium resource properties in Australia. Its subsidiary, SouthGobi Energy Resources Ltd. (SGQ), owns and operates the Ovoot Tolgoi Coal Project located in Mongolia. The Company's subsidiary, Ivanhoe Australia Limited (Ivanhoe Australia), owns the Cloncurry Project located in Queensland, Australia. IVN also holds interests in several other mineral resource projects in Asia, including a 50% interest in the Kyzyl Shear Project, located in Kazakhstan, through a shareholding in Altynalmas Gold Ltd. (Altynalmas Gold). Share Statistics Symbol Current Price 52wk Range Avg Vol (3m)

IVN 13.45 4.91- 18.94 1,866,000

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

-0.73 5.93B 129.36% N/A

Financial Summary On April 01, 2010, Ivanhoe Mines Ltd reported 4th quarter 2009 losses of -0.24 per share. This result under-performed the -0.09 loss expectation of the 3 analysts following the company but underperformed last year's 4th quarter results by -36.84%. The next earnings announcement is expected on August 13, 2010. Ivanhoe Mines Ltd reported annual 2009 losses of -0.59 per share on April 01, 2010. IVN.TO had revenues for the full year 2009 of 36.00m. This was 1,061.29% 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 Ivanhoe Mines Ltd company. Analyst Detail

Buy

Outperform

Hold

Underperform

Sell

No Opinion

Latest

1

3

2

1

0

0

4 weeks ago

1

4

1

1

0

0

2 months ago

2

4

1

1

0

0

3 months ago

2

4

1

1

0

0

Last year

3

2

1

1

0

0

# of Estimates

Mean

High

Low

1 Year Ago

SALES (in millions)

Year Ending Dec-10

2

105.50

128.00

83.00

6.50

Year Ending Dec-11

2

220.00

313.00

127.00

13.00

Quarter Ending Jun-10

2

-0.08

-0.03

-0.13

--

Quarter Ending Sep-10

2

-0.06

-0.01

-0.12

--

Year Ending Dec-10

4

-0.29

-0.08

-0.51

-0.14

Year Ending Dec-11

2

-0.49

-0.49

-0.49

-0.06

Earnings (per share)


DIRECT COMPETITOR COMPARISON

IVN

Pvt1

Pvt2

Pvt3

Industry

Market Cap:

5.93B

N/A

N/A

N/A

48.79M

Employ ees:

1,091

1441

2,9392

19,4741

34.00

218.60%

N/A

N/A

N/A

19.70%

Revenue (ttm):

36.04M

60.10M1

685.50M1

3.07B1

88.04M

Gross Margin (ttm):

34.48%

N/A

N/A

N/A

28.00%

EBITDA (ttm):

-210.38M

N/A

N/A

N/A

-498.23K

Oper Margins (ttm):

-612.32%

N/A

N/A

N/A

-2.41%

Net Income (ttm):

-276.53M

-10.10M1

60.30M1

592.60M1

N/A

-0.725

N/A

N/A

N/A

N/A

P/E (ttm):

N/A

N/A

N/A

N/A

27.24

PEG (5 yr expected):

N/A

N/A

N/A

N/A

1.46

156.68

N/A

N/A

N/A

3.85

Qtrly Rev Growth (yoy):

EPS (ttm):

P/S (ttm):


Technical Analysis Chart


Consolidated Investment Analysis for Zoltek Companies Inc. Zoltek Companies Inc. (NASDAQ: ZOLT) Company Description Zoltek Companies, Inc. is engaged in the commercialization of carbon fiber through its development of reinforcement for composites used in a range of commercial products, which it sells under the Panex trade name. In addition to manufacturing carbon fiber, the Company produces an intermediate product, a stabilized and oxidized acrylic fiber used in flame- and heat-resistant applications, which it sells under the Pyron trade name. The Company operates in three separate business segments: carbon fiber segment, technical fiber segment and corporate/other segment, which consists of ancillary activities not directly related to the carbon fiber or technical fiber segments. Share Statistics Symbol ZOLT Current Price 9.77 52wk Range 7.10- 12.63 Avg Vol (3m) 298,780

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

-0.31 336.17M 11.40% N/A

Financial Summary On May 10, 2010, Zoltek Companies Inc reported 2nd quarter 2010 losses of -0.15 per share. This result under-performed the -0.06 loss expectation of the 6 analysts following the company but underperformed last year's 2nd quarter results by -0.16. The next earnings announcement is expected on August 09, 2010. Zoltek Companies Inc reported annual 2009 losses of -0.12 per share on December 01, 2009. ZOLT.O had 2nd quarter 2010 revenues of 26.03m. This missed the 29.40m consensus estimate of the 4 analysts following the company. This was -9.83% below the prior year's 2nd quarter results. ZOLT.O had revenues for the full year 2009 of 138.76m. This was -25.25% 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 Zoltek Companies Inc company. Analyst Detail

Buy

Outperform

Hold

Underperform

Sell

No Opinion

Latest

1

0

4

1

0

0

4 weeks ago

0

1

4

1

0

0

2 months ago

0

1

4

1

0

0

3 months ago

0

1

4

1

0

0

Last year

0

0

4

1

0

0

The 6 analysts offering 12 month price targets for Zoltek Companies Inc (ZOLT:NSQ) have a median target of 9.50, with a high estimate of 15.00 and a low estimate of 5.00. The median estimate represents a -2.76% decrease from the last price of 9.77.

# of Estimates

Mean

High

Low

1 Year Ago

SALES (in millions)

Quarter Ending Jun-10

4

35.10

40.00

31.85

44.20

Quarter Ending Sep-10

4

39.96

48.04

34.80

46.56

Year Ending Sep-10

5

126.76

138.98

114.00

177.08

Year Ending Sep-11

5

154.44

180.00

124.00

--

Quarter Ending Jun-10

6

-0.04

0.03

-0.08

0.10

Quarter Ending Sep-10

6

0.00

0.05

-0.04

0.13

Year Ending Sep-10

6

-0.21

-0.08

-0.29

0.42

Year Ending Sep-11

5

0.19

0.35

-0.11

--

LT Growth Rate (%)

2

21.00

25.00

17.00

12.50

Earnings (per share)


Technical Analysis

NET SHARE PURCHASE ACTIVITY

Insider Purchases - Last 6 Months Shares Purchases

Trans 10,000

1

N/A

0

Net Shares Purchased (Sold)

10,000

1

Total Insider Shares Held

6.58M

N/A

0.2%

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

(1,550,600) (10.9%)


DIRECT COMPETITOR COMPARISON

ZOLT

HXL

SGGGY

TRYIY.PK

Industry

Market Cap:

336.17M

1.48B

N/A

N/A

224.96M

Employ ees:

1,136

3,734

N/A

N/A

1.07K

Qtrly Rev Growth (yoy):

-27.70%

-14.40%

N/A

N/A

25.90%

Revenue (ttm):

119.02M

1.06B

N/A

N/A

119.02M

14.01%

22.33%

N/A

N/A

26.99%

6.85M

141.10M

N/A

N/A

6.96M

-8.31%

8.78%

N/A

N/A

5.22%

-10.68M

48.70M

N/A

N/A

N/A

-0.31

0.494

N/A

N/A

0.01

P/E (ttm):

N/A

30.93

N/A

N/A

21.39

PEG (5 yr expected):

N/A

2.46

N/A

N/A

1.01

P/S (ttm):

2.77

1.35

N/A

N/A

1.76

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


Consolidated Investment Analysis for United States Steel Corp. United States Steel Corp. (NYSE: X) Company Description United States Steel Corporation (U. S. Steel) is an integrated steel producer of flat-rolled and tubular products with production operations in North America and Europe. The Company has an annual raw steel production capability of 31.7 million net tons (tons) (24.3 million tons in North America and 7.4 million tons in Europe). U. S. Steel is also engaged in other business activities, which are related to steelmaking operations, including the production of coke and iron ore pellets, and transportation services (railroad and barge operations), real estate operations, and engineering consulting services. It operates in three segments: Flat-rolled Products (Flat-rolled), U. S. Steel Europe (USSE) and Tubular Products (Tubular). On January 31, 2009, the Company completed the sale of a majority of the operating assets of Elgin, Joliet and Eastern Railway Company (EJ&E) to a subsidiary of Canadian National Railway Company. Share Statistics Symbol X Current Price 47.10 52wk Range 28.62- 70.95 Avg Vol (3m) 17,869,900

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

-7.92 6.75B 57.00% N/A

Financial Summary On April 27, 2010, United States Steel Corp reported 1st quarter 2010 losses of -1.12 per share. This result exceeded the -1.39 consensus loss of the 12 analysts covering the company and under-performed last year's 1st quarter results by -70.83%. The next earnings announcement is expected on July 26, 2010. United States Steel Corp reported annual 2009 losses of -11.06 per share on January 26, 2010. X had 1st quarter 2010 revenues of 3.90bn. This bettered the 3.83bn consensus of the 5 analysts covering the company. This was 16.16% above the prior year's 1st quarter results. X had revenues for the full year 2009 of 11.05bn. This was -53.61% 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 United States Steel Corp company. Analyst Detail

Buy

Outperform

Hold

Underperform

Sell

No Opinion

Latest

4

5

2

0

2

0

4 weeks ago

4

4

3

0

2

0

2 months ago

4

4

3

0

2

0

3 months ago

3

3

5

0

2

0

Last year

1

1

7

2

2

0

The 12 analysts offering 12 month price targets for United States Steel Corp (X:NYQ) have a median target of 71.00, with a high estimate of 86.00 and a low estimate of 40.00. The median estimate represents a 50.74% increase from the last price of 47.10.

# of Estimates

Mean

High

Low

1 Year Ago

SALES (in millions)

Quarter Ending Jun-10

5

4,653.29

4,944.34

4,386.00

3,564.50

Quarter Ending Sep-10

4

4,994.00

5,060.85

4,818.13

3,558.00

Year Ending Dec-10

8

18,138.30

18,597.00

17,304.00

15,048.70

Year Ending Dec-11

8

20,840.40

22,469.00

19,322.60

16,459.80

Quarter Ending Jun-10

12

0.60

0.83

0.32

0.76

Quarter Ending Sep-10

8

1.35

1.78

0.82

0.73

Year Ending Dec-10

13

1.98

3.65

0.60

1.80

Year Ending Dec-11

13

6.15

10.00

2.75

3.30

LT Growth Rate (%)

2

17.50

30.00

5.00

4.00

Earnings (per share)


Technical Analysis Chart

NET SHARE PURCHASE ACTIVITY

Insider Purchases - Last 6 Months Shares Purchases

Trans N/A

0

18,770

1

Net Shares Purchased (Sold)

(18,770)

1

Total Insider Shares Held

433.02K

N/A

(4.2%)

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

(16,204,400) (14.1%)


DIRECT COMPETITOR COMPARISON

X

AKS

MT

NUE

Industry

Market Cap:

6.75B

1.51B

46.22B

13.53B

572.57M

Employ ees:

43,000

6,500

282,000

20,400

2.95K

Qtrly Rev Growth (yoy):

41.70%

52.40%

23.30%

37.70%

17.10%

Revenue (ttm):

12.23B

4.56B

68.64B

12.19B

711.50M

Gross Margin (ttm):

-0.29%

10.75%

8.55%

4.03%

27.30%

-636.00M

305.70M

7.24B

712.19M

99.30M

-10.66%

1.92%

3.30%

1.13%

7.80%

-1.12B

1.10M

1.86B

-75.09M

N/A

-7.92

0.01

1.242

-0.238

0.94

P/E (ttm):

N/A

1376.00

24.65

N/A

18.22

PEG (5 yr expected):

0.69

1.53

1.33

1.7

1.51

P/S (ttm):

0.54

0.32

0.64

1.10

0.96

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


Consolidated Investment Analysis for Pfizer Inc. Pfizer Inc. (NYSE: PFE) Company Description Pfizer Inc. (Pfizer) is a research-based, global biopharmaceutical company. The Company applies science and its global resources to improve health and well-being at every stage of life. Pfizer's diversified global health care portfolio includes human and animal biologic and small molecule medicines and vaccines, as well as nutritional products and many consumer health care products. The Company operates in two business segments: Biopharmaceutical and Diversified. Biopharmaceutical includes the Primary Care, Specialty Care, Established Products, Emerging Markets and Oncology customer-focused units. Diversified includes Animal Health products that prevent and treat diseases in livestock and companion animals, and Consumer Healthcare products. On October 15, 2009, the Company completed its acquisition of Wyeth. In December 2009, Durata Therapeutics, Inc. acquired Vicuron Pharmaceuticals from Pfizer. Share Statistics Symbol PFE Current Price 15.40 52wk Range 13.94- 20.36 Avg Vol (3m) 69,897,700

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

1.08 124.14B 3.84% 14.33

Financial Summary On May 04, 2010, Pfizer Inc reported 1st quarter 2010 earnings of 0.60 per share. This result exceeded the 0.53 consensus of the 14 analysts covering the company and exceeded last year's 1st quarter results by 11.11%. The next earnings announcement is expected on July 19, 2010. Pfizer Inc reported annual 2009 earnings of 2.02 per share on February 03, 2010. PFE had 1st quarter 2010 revenues of 16.74bn. This bettered the 16.56bn consensus of the 11 analysts covering the company. This was 1.25% above the prior year's 1st quarter results. PFE had revenues for the full year 2009 of 50.01bn. This was 3.45% above 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 Pfizer Inc company. Analyst Detail

Buy

Outperform

Hold

Underperform

Sell

No Opinion

Latest

9

6

5

0

1

0

4 weeks ago

8

6

5

0

1

0

2 months ago

8

6

5

0

1

0

3 months ago

8

6

6

0

1

0

Last year

7

3

7

0

0

1

The 17 analysts offering 12 month price targets for Pfizer Inc (PFE:NYQ) have a median target of 21.00, with a high estimate of 30.00 and a low estimate of 17.00. The median estimate represents a 36.36% increase from the last price of 15.40.

# of Estimates

Mean

High

Low

1 Year Ago

SALES (in millions)

Quarter Ending Jun-10

12

16,769.10

17,018.00

16,189.70

11,435.00

Quarter Ending Sep-10

12

16,859.10

17,375.00

16,373.20

11,720.00

Year Ending Dec-10

17

67,667.90

68,965.00

66,534.10

55,684.90

Year Ending Dec-11

16

66,315.20

68,598.00

63,400.00

56,340.60

Quarter Ending Jun-10

15

0.53

0.57

0.50

0.50

Quarter Ending Sep-10

13

0.54

0.57

0.50

0.58

Year Ending Dec-10

20

2.17

2.30

2.07

2.23

Year Ending Dec-11

20

2.27

2.37

2.10

2.35

LT Growth Rate (%)

8

2.47

5.60

-1.00

-1.40

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

3.79M

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

591,317,000 9.3%


DIRECT COMPETITOR COMPARISON

PFE

BAYRY.PK

MRK

NVS

Industry

Market Cap:

124.14B

N/A

99.91B

103.23B

115.86M

Employ ees:

116,500

N/A

100,000

100,000

142.00

Qtrly Rev Growth (yoy):

54.10%

N/A

112.10%

24.50%

10.50%

Revenue (ttm):

55.89B

N/A

33.47B

47.50B

33.78M

Gross Margin (ttm):

80.30%

N/A

65.48%

72.98%

73.29%

EBITDA (ttm):

21.44B

N/A

9.37B

13.78B

-917.00K

Oper Margins (ttm):

29.53%

N/A

17.62%

23.89%

21.63%

Net Income (ttm):

7.92B

N/A

11.73B

9.37B

N/A

EPS (ttm):

1.075

N/A

4.634

4.113

N/A

P/E (ttm):

14.33

N/A

6.91

10.97

10.97

PEG (5 yr expected):

2.53

1.8

1.65

2.11

1.80

P/S (ttm):

2.20

N/A

2.96

2.15

4.10


Consolidated Investment Analysis for Verizon Communications Inc. Verizon Communications Inc. (NYSE: VZ) Company Description Verizon Communications Inc. (Verizon) is a provider of communications services. Verizon operates in two segments: Domestic Wireless and Wireline. Its Domestic Wireless's products and services include wireless voice and data services and equipment sales across the United States. Wireline's communications products and services include voice, Internet access, broadband video and data, next generation Internet protocol (IP) network services, network access, long distance and other services. It provides these products and services to consumers in the United States, as well as to carriers, businesses and government customers both in the United States and in 150 other countries worldwide. On January 9, 2009, the Company acquired Alltel Corporation (Alltel). Share Statistics Symbol VZ Current Price 27.96 52wk Range 26.49- 34.13 Avg Vol (3m) 20,360,300

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

0.85 79.04B -4.12% 32.89

Financial Summary On April 22, 2010, Verizon Communications Inc reported 1st quarter 2010 earnings of 0.56 per share. This result was in line with the consensus of the 28 analysts following the company and underperformed last year's 1st quarter results by -11.11%. The next earnings announcement is expected on July 23, 2010. Verizon Communications Inc reported annual 2009 earnings of 2.40 per share on January 26, 2010. The next earnings announcement from Verizon Communications Inc is expected the week of January 24, 2011. VZ had 1st quarter 2010 revenues of 26.91bn. This missed the 26.93bn consensus estimate of the 23 analysts following the company. This was -0.66% below the prior year's 1st quarter results. VZ had revenues for the full year 2009 of 107.81bn. This was 11.03% 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 Verizon Communications Inc company. Analyst Detail

Buy

Outperform

Hold

Underperform

Sell

No Opinion

Latest

10

4

19

0

0

0

4 weeks ago

10

4

18

0

0

0

2 months ago

9

6

16

0

0

0

3 months ago

9

6

16

0

0

0

Last year

7

5

11

1

0

0

The 26 analysts offering 12 month price targets for Verizon Communications Inc (VZ:NYQ) have a median target of 33.00, with a high estimate of 36.00 and a low estimate of 27.00. The median estimate represents a 18.03% increase from the last price of 27.96.

# of Estimates

Mean

High

Low

1 Year Ago

SALES (in millions)

Quarter Ending Jun-10

23

27,073.60

27,595.00

26,691.00

27,163.90

Quarter Ending Sep-10

22

27,034.80

28,015.00

26,189.00

27,531.00

Year Ending Dec-10

30

108,366.00

110,395.00

106,286.00

109,556.00

Year Ending Dec-11

28

110,051.00

113,713.00

105,935.00

111,227.00

Quarter Ending Jun-10

30

0.56

0.59

0.41

0.66

Quarter Ending Sep-10

28

0.56

0.63

0.46

0.68

Year Ending Dec-10

33

2.20

2.46

1.15

2.68

Year Ending Dec-11

32

2.42

2.67

2.06

2.77

LT Growth Rate (%)

8

4.06

8.00

2.00

5.89

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 43,000

4

N/A

0

43,000

4

367.48K

N/A

13.9%

N/A

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

(64,465,000) (4.1%)


DIRECT COMPETITOR COMPARISON

VZ

T

Q

S

Industry

Market Cap:

79.04B

146.84B

8.70B

13.15B

643.64M

Employ ees:

222,900

281,000

30,138

40,000

2.87K

1.20%

0.30%

-6.50%

-1.50%

8.50%

108.13B

123.10B

12.10B

32.14B

931.93M

Gross Margin (ttm):

60.28%

58.94%

69.89%

48.32%

60.28%

EBITDA (ttm):

35.76B

41.42B

3.97B

6.15B

377.23M

Oper Margins (ttm):

17.69%

17.68%

16.99%

-3.29%

19.35%

2.42B

11.88B

489.00M

-2.71B

N/A

EPS (ttm):

0.85

2.007

0.284

-0.93

0.73

P/E (ttm):

32.89

12.38

17.64

N/A

17.64

PEG (5 yr expected):

2.02

1.67

3.98

N/A

3.03

P/S (ttm):

0.73

1.20

0.72

0.40

1.23

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

Net Income (ttm):


Consolidated Investment Analysis for Cliffs Natural Resources Inc. Cliff 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. Cliffs is 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 include full ownership of Portman, which is 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 Sonoma, a coking and thermal coal mine located in Queensland, Australia. Share Statistics Symbol Current Price 52wk Range Avg Vol (3m)

CLF 50.47 19.44.76.17 7,758,550

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

2.33 6.84B 114.67% 21.68

Financial Summary On April 28, 2010, Cliffs Natural Resources Inc reported 1st quarter 2010 earnings of 0.56 per share. This result exceeded the 0.49 consensus of the 9 analysts covering the companyand under-performed last year's 1st quarter results by 0.63. The next earnings announcement is expected on July 26, 2010. Cliffs Natural Resources Inc reported annual 2009 earnings of 0.96 per share on February 17, 2010. CLF had 1st quarter 2010 revenues of 727.70m. This bettered the 716.84m consensus of the 5 analysts covering the company. This was -11.31% below the prior year's 1st quarter results. CLF had revenues for the full year 2009 of 2.34bn. 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

5

3

3

0

0

0

2 months ago

6

2

3

0

0

0

3 months ago

6

2

3

0

0

0

Last year

4

1

4

0

0

0

The 8 analysts offering 12 month price targets for Cliffs Natural Resources Inc (CLF:NYQ) have a median target of 90.00, with a high estimate of 105.00 and a low estimate of 76.00. The median estimate represents a 76.78% increase from the last price of 50.91.

# of Estimates

Mean

High

Low

1 Year Ago

SALES (in millions)

Quarter Ending Jun-10

4

1,224.45

1,408.90

993.60

784.59

Quarter Ending Sep-10

4

1,343.25

1,483.00

1,174.20

857.23

Year Ending Dec-10

9

4,754.68

5,247.52

3,965.00

2,960.60

Year Ending Dec-11

8

5,513.42

6,351.00

4,897.00

3,291.93

Quarter Ending Jun-10

11

2.16

2.62

1.37

0.61

Quarter Ending Sep-10

9

2.69

3.19

1.86

0.77

Year Ending Dec-10

11

8.32

9.80

5.33

2.36

Year Ending Dec-11

10

10.09

12.30

8.00

3.12

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 Sales Net Shares Purchased (Sold) Total Insider Shares Held % Net Shares Purchased (Sold)

Trans N/A

0

48,956

7

(48,956)

7

1.75M

N/A

(2.7%)

N/A

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

(8,722,440) (7.8%)


DIRECT COMPETITOR COMPARISON

CLF

CNX

MEE

BTU

Industry

Market Cap:

6.46B

7.64B

3.10B

9.75B

1.57B

Employ ees:

5,404

8,012

5,851

7,300

4.32K

56.60%

1.80%

-9.60%

4.30%

15.60%

2.60B

4.57B

2.62B

6.08B

1.98B

22.53%

34.10%

20.53%

26.00%

12.59%

708.90M

1.14B

505.15M

1.32B

105.35M

17.70%

14.94%

8.73%

14.93%

5.55%

306.00M

444.17M

94.60M

438.60M

N/A

EPS (ttm):

2.328

2.422

1.098

1.529

0.24

P/E (ttm):

20.50

13.97

27.42

23.71

24.76

PEG (5 yr expected):

0.46

0.9

2.24

1.84

1.22

P/S (ttm):

2.65

1.78

1.23

1.70

0.79

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


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