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Consolidated Investment Analysis for Nokia Nokia (NYSE: NOK) Company Description Nokia Corporation (Nokia) is engaged in the manufacturing of mobile devices and in converging Internet and communications industries. The company is engaged in manufacturing a range of devices for all the consumer segments and offer Internet services that enable people to experience music, maps, media, messaging and games. Nokia is also engaged in providing digital map information through NAVTEQ and equipment, solutions and services for communications networks through Nokia Siemens Networks. The Company operates in three business segments: Devices and Services; NAVTEQ, and Nokia Siemens Networks. On July 10, 2008, the Company completed the acquisition of NAVTEQ Corporation. The Devices and Services group was formed on January 1, 2008, and combined the three former mobile device groups, Mobile Phones, Multimedia and Enterprise Solutions and the supporting horizontal groups into one integrated business group. In August 2009, Nokia acquired Cellity. Share Statistics Symbol NOK Current Price 13.35 52wk Range 8.47- 16.58 Avg Vol (3m) 21,039,400

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

N/A 49.51B 0.15% N/A

Financial Summary On July 17, 2008, Nokia Oyj reported semi annual 2008 earnings of 0.81 per share. The next earnings announcement is expected on April 22, 2010. Nokia Oyj reported annual 2008 earnings of 1.20 per share on January 22, 2009. NOK1V.HE had 4th quarter 2009 revenues of 11.99bn. This bettered the 11.21bn consensus of the 31 analysts covering the company. This was 22.20% above the prior year's 4th quarter results. NOK1V.HE had revenues for the full year 2009 of 40.98k. This was -19.18% below the prior year's results.


Analyst Consensus Buy

Outperform

Hold

Underperform

Sell

No Opinion

This is the consensus forecast amongst 56 polled investment analysts. Against the Nokia Oyj company. Analyst Detail

Buy

Outperform

Hold

Underperform

Sell

No Opinion

Latest

16

7

19

9

5

0

4 weeks ago

15

8

19

8

5

0

2 months ago

15

8

18

8

4

0

3 months ago

15

8

18

9

3

0

Last year

12

8

14

8

4

2

The 46 analysts offering 12 month price targets for Nokia Oyj (NOK:NYQ) have a median target of 10.64, with a high estimate of 16.00 and a low estimate of 8.00. The median estimate represents a 8.70% increase from the last price of 9.79.

# of Estimates

Mean

High

Low

1 Year Ago

SALES (in millions)

Quarter Ending Mar-10

16

13,449.60

14,247.00

9,587.00

14,232.40

Quarter Ending Jun-10

14

14,027.10

14,920.80

10,120.00

15,067.70

Year Ending Dec-10

22

59,405.90

62,824.20

42,435.00

60,368.10

Year Ending Dec-11

16

61,527.70

65,799.10

44,118.00

65,180.60

Quarter Ending Mar-10

17

0.20

0.24

0.15

0.23

Quarter Ending Jun-10

14

0.23

0.27

0.17

0.27

Year Ending Dec-10

24

1.05

1.17

0.86

1.40

Year Ending Dec-11

18

1.22

1.43

1.03

1.46

LT Growth Rate (%)

9

9.44

15.00

-6.00

11.80

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

148.33K

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

(64,235,000) (11.2%)


Comparative Analysis

DIRECT COMPETITOR COMPARISON

NOK

ERIC

MOT

Pvt1

Industry

Market Cap:

49.51B

N/A

15.12B

N/A

88.96M

Employ ees:

123,553

N/A

N/A

N/A

332

-5.30%

N/A

-19.80%

N/A

10.70%

N/A

N/A

22.04B

N/A

98.96M

32.74%

N/A

32.01%

N/A

36.87%

EBITDA (ttm):

N/A

N/A

966.00M

N/A

1.28M

Oper Margins (ttm):

N/A

N/A

0.98%

N/A

-1.93%

Net Income (ttm):

N/A

N/A

-111.00M

N/A

N/A

EPS (ttm):

N/A

N/A

-0.022

N/A

N/A

P/E (ttm):

N/A

N/A

N/A

N/A

21.13

PEG (5 yr expected):

1.22

1.25

4.97

N/A

1.48

P/S (ttm):

N/A

N/A

0.69

N/A

1.14

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


Consolidated Investment Analysis for Oracle Corp. Oracle Corp. (NASDAQ: ORCL) Company Description Oracle Corporation (Oracle) is an enterprise software company. The Company develops, manufactures, markets, distributes and services database and middleware software, as well as applications software that help its customers manage their businesses. Oracle is organized into two businesses: software and services. These businesses are further divided into five operating segments. Its software business consists of two operating segments, new software licenses, and software license updates and product support. Its services business consists of three operating segments, consulting, On Demand and education. The Company's software and services businesses represented 81% and 19% of its total revenues, during the fiscal year ended May 31, 2009 (fiscal 2009). In January 2010, the Company announced that it has acquired Silver Creek Systems, Inc. (Silver Creek), a provider of product data quality solutions. In January 2010, the Company acquired Sun Microsystems, Inc. Share Statistics Symbol ORCL Current Price 23.51 52wk Range 13.80- 25.64 Avg Vol (3m) 28,084,100

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

1.15 117.81B 30.83% 20.48

Financial Summary On December 17, 2009, Oracle Corporation reported 2nd quarter 2010 earnings of 0.39 per share. This result exceeded the 0.36 consensus of the 27 analysts covering the company and exceeded last year's 2nd quarter results by 14.71%. The next earnings announcement is expected on March 15, 2010. Oracle Corporation reported annual 2009 earnings of 1.44 per share on June 23, 2009. ORCL.O had 2nd quarter 2010 revenues of 5.87bn. This bettered the 5.69bn consensus of the 24 analysts covering the company. This was 15.98% above the prior year's 2nd quarter results. ORCL.O had revenues for the full year 2009 of 23.50k. This was 3.92% above 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 Oracle Corporation company. Analyst Detail

Buy

Outperform

Hold

Underperform

Sell

No Opinion

Latest

11

13

7

0

0

0

4 weeks ago

11

12

8

0

0

0

2 months ago

11

12

8

0

0

0

3 months ago

11

12

8

0

0

0

Last year

10

8

9

0

0

0

The 22 analysts offering 12 month price targets for Oracle Corporation (ORCL:NSQ) have a median target of 29.50, with a high estimate of 32.00 and a low estimate of 24.00. The median estimate represents a 27.60% increase from the last price of 23.12.

# of Estimates

Mean

High

Low

1 Year Ago

SALES (in millions)

Quarter Ending Feb-10

25

6,173.32

6,570.20

5,600.00

5,990.57

Quarter Ending May-10

25

8,868.29

9,900.00

7,100.00

7,852.95

Year Ending May-10

28

25,893.20

27,237.00

23,741.00

25,111.40

Year Ending May-11

28

32,057.60

36,502.00

25,103.00

26,610.40

Quarter Ending Feb-10

26

0.37

0.39

0.35

0.36

Quarter Ending May-10

26

0.53

0.56

0.49

0.53

Year Ending May-10

30

1.58

1.64

1.43

1.55

Year Ending May-11

30

1.82

2.01

1.66

1.66

LT Growth Rate (%)

14

12.41

20.00

6.00

13.50

Earnings (per share)


Technical Analysis

Insider Trading Activity

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

Trans 3,000

1

2,441,400

22

(2,438,400)

23

1.16B

N/A

(0.2%)

N/A

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

(48,442,100) (1.6%)


Comparative Analysis DIRECT COMPETITOR COMPARISON

ORCL

IBM

MSFT

SAP

Industry

Market Cap:

117.81B

161.41B

245.66B

52.20B

193.72M

Employ ees:

86,000

N/A

93,000

47,578

359

Qtrly Rev Growth (yoy):

4.50%

0.80%

14.40%

-8.50%

21.90%

Revenue (ttm):

23.23B

95.76B

58.69B

N/A

96.26M

Gross Margin (ttm):

81.08%

45.72%

79.78%

68.83%

68.83%

EBITDA (ttm):

11.04B

23.16B

24.43B

N/A

10.97M

Oper Margins (ttm):

38.98%

19.00%

37.64%

N/A

9.27%

Net Income (ttm):

5.80B

13.43B

16.26B

N/A

N/A

EPS (ttm):

1.148

10.008

1.815

N/A

0.02

P/E (ttm):

20.48

12.31

15.43

N/A

22.45

PEG (5 yr expected):

1.06

1.1

1.21

1.25

1.17

P/S (ttm):

4.99

1.67

4.14

N/A

2.47


Consolidated Investment Analysis For Pepsi Co. Pepsi Co. (NYSE: PEP) Company Description PepsiCo, Inc. (PepsiCo) is a global beverage, snack and food company. The Company manufactures, markets and sells a range of salty, convenient, sweet and grain-based snacks, carbonated and noncarbonated beverages and foods approximately 200 countries, with its operations in North America, Mexico and the United Kingdom. The Company is organized into three business units: PepsiCo Americas Foods, which includes Frito-Lay North America, Quaker Foods North America and all of its Latin American food and snack businesses, including its Sabritas and Gamesa businesses in Mexico; PepsiCo Americas Beverages, which includes PepsiCo Beverages North America and all of its Latin American beverage businesses, and PepsiCo International, which includes all PepsiCo businesses in the United Kingdom, Europe, Asia, Middle East and Africa. The Company's three business units were organized in six segments: FLNA, QFNA, LAF, PAB, United Kingdom & Europe, and Middle East, Africa & Asia. Share Statistics Symbol Current Price 52wk Range Avg Vol (3m)

PEP 60.05 45.39- 64.48 6,869,090

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

3.33 93.70B 12.18% 18.05

Financial Summary On October 08, 2009, Pepsico Inc reported 3rd quarter 2009 earnings of 1.08 per share. This result was in line with the consensus of the 11 analysts following the company and exceeded last year's 3rd quarter results by 1.89%. The next earnings announcement is expected on February 11, 2010. Pepsico Inc reported annual 2008 earnings of 3.68 per share on February 13, 2009. The next earnings announcement from Pepsico Inc is expected the week of February 11, 2010. PEP had 3rd quarter 2009 revenues of 11.08bn. This missed the 11.25bn consensus estimate of the 8 analysts following the company. This was 4.61% above the prior year's 3rd quarter results. PEP had revenues for the full year 2008 of 43.25k. This was 9.57% above the prior year's results.


Analyst Consensus Buy

Outperform

Hold

Underperform

Sell

No Opinion

This is the consensus forecast amongst 12 polled investment analysts. Against the Pepsico Inc company. Analyst Detail

Buy

Outperform

Hold

Underperform

Sell

No Opinion

Latest

6

4

1

1

0

1

4 weeks ago

6

4

1

1

0

1

2 months ago

6

4

1

1

0

1

3 months ago

6

4

1

0

0

1

Last year

4

4

4

0

0

0

The 11 analysts offering 12 month price targets for Pepsico Inc (PEP:NYQ) have a median target of 70.00, with a high estimate of 76.00 and a low estimate of 61.00. The median estimate represents a 18.72% increase from the last price of 58.96.

# of Estimates

Mean

High

Low

1 Year Ago

SALES (in millions)

Quarter Ending Mar-10

4

9,554.54

11,472.00

8,680.20

8,616.00

Quarter Ending Jun-10

4

12,188.70

14,801.00

11,155.70

11,326.00

Year Ending Dec-10

9

51,225.30

63,190.00

45,074.00

44,597.30

Quarter Ending Mar-10

6

0.79

0.83

0.74

0.79

Quarter Ending Jun-10

6

1.13

1.17

1.10

1.14

Year Ending Dec-10

13

4.17

4.30

4.03

4.13

LT Growth Rate (%)

2

10.00

10.00

10.00

9.89

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

441,460

7

(441,460)

7

967.48K

N/A

(31.4%)

N/A

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

8,146,770 0.8%


DIRECT COMPETITOR COMPARISON

PEP

KO

DPS

KFT

Industry

Market Cap:

93.70B

125.15B

6.82B

42.65B

295.99M

Employ ees:

198,000

92,400

12,000

98,000

1.35K

Qtrly Rev Growth (yoy):

-1.50%

-4.20%

-4.00%

-5.70%

11.90%

Revenue (ttm):

42.66B

30.61B

5.55B

40.31B

387.33M

Gross Margin (ttm):

53.38%

64.04%

58.06%

34.85%

29.35%

9.36B

9.61B

1.20B

6.27B

43.97M

18.25%

27.52%

18.25%

13.41%

8.11%

Net Income (ttm):

5.22B

6.28B

-180.00M

2.42B

N/A

EPS (ttm):

3.326

2.701

-0.708

1.695

0.41

P/E (ttm):

18.05

20.00

N/A

17.05

16.42

PEG (5 yr expected):

1.59

1.91

1.51

2.24

1.42

P/S (ttm):

2.16

3.99

1.23

1.04

0.78

EBITDA (ttm): Oper Margins (ttm):


Consolidated Investment Analysis for Alcoa Inc. Alcoa Inc. (NYSE: AA) Company Description Alcoa Inc. (Alcoa) is engaged in the production and management of primary aluminum, fabricated aluminum, and alumina combined. It's products are used worldwide in aircraft, automobiles, commercial transportation, packaging, building and construction, oil and gas, defense, and industrial applications. Alcoa is a global company operating in 35 countries. North America and Europe generated 54% and 26%, respectively, of Alcoa's sales during the year ended December 31, 2008. In addition, Alcoa has investments and activities in Australia, Brazil, China, Iceland, Guinea and Russia. In June 2009, Platinum Equity Holdings completed the acquisition of the wire harness and electrical distribution business of Alcoa. Share Statistics

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

AA 13.28 4.97- 17.60 36,798,500

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

-1.23 12.94B 58.10% N/A

Financial Summary On January 11, 2010, Alcoa Inc reported 4th quarter 2009 earnings of 0.01 per share. This result underperformed the 0.06 consensus expectations of the 15 analysts following the company but underperformed last year's 4th quarter results by 0.29. The next earnings announcement is expected on April 12, 2010. Alcoa Inc reported annual 2009 losses of -0.81 per share on January 11, 2010. The next earnings announcement from Alcoa Inc is expected the week of January 10, 2011 AA had 4th quarter 2009 revenues of 5.43bn. This bettered the 4.97bn consensus of the 5 analysts covering the company. This was 17.72% above the prior year's 4th quarter results. AA had revenues for the full year 2009 of 18.44k. This was -31.46% below the prior year's results.


Analyst Consensus Buy

Outperform

Hold

Underperform

Sell

No Opinion

This is the consensus forecast amongst 18 polled investment analysts. Against the Alcoa Inc company. Analyst Detail

Buy

Outperform

Hold

Underperform

Sell

No Opinion

Latest

3

5

7

1

2

0

4 weeks ago

1

5

7

3

2

0

2 months ago

2

4

8

2

2

0

3 months ago

2

4

8

2

2

0

Last year

0

3

8

3

1

0

The 16 analysts offering 12 month price targets for Alcoa Inc (AA:NYQ) have a median target of 18.00, with a high estimate of 65.00 and a low estimate of 13.00. The median estimate represents a 37.83% increase from the last price of 13.06.

# of Estimates

Mean

High

Low

1 Year Ago

SALES (in millions)

Quarter Ending Mar-10

5

5,377.06

5,626.00

5,187.00

4,889.35

Quarter Ending Jun-10

5

5,752.82

6,078.00

5,263.00

5,087.55

Year Ending Dec-10

11

21,716.00

24,013.40

18,195.20

20,898.10

Year Ending Dec-11

10

23,247.20

25,940.80

18,967.20

24,256.40

Quarter Ending Mar-10

14

0.19

0.34

0.10

0.01

Quarter Ending Jun-10

11

0.26

0.58

0.10

0.09

Year Ending Dec-10

18

0.90

1.54

0.41

0.61

Year Ending Dec-11

17

1.23

2.20

0.34

1.17

LT Growth Rate (%)

2

7.51

15.00

0.01

1.67

Earnings (per share)


Technical Analysis

Insider Trading Activity

Insider Purchases - Last 6 Months Shares

Trans

Purchases

N/A

0

Sales

N/A

0

N/A

0

3.21M

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

(101,565,000) (18.3%)


DIRECT COMPETITOR COMPARISON

AA

Pvt1

Pvt2

Pvt3

Industry

Market Cap:

12.94B

N/A

N/A

N/A

3.03B

Employ ees:

60,000

3,0631

64,7001

N/A

60.00K

Qtrly Rev Growth (yoy):

16.30%

N/A

N/A

N/A

10.80%

Revenue (ttm):

18.44B

9.94B1

14.17B1

N/A

1.08B

8.34%

N/A

N/A

N/A

6.53%

359.00M

N/A

N/A

N/A

3.40M

-5.16%

N/A

N/A

N/A

4.57%

-985.00M

N/A

N/A

N/A

N/A

-1.230

N/A

N/A

N/A

-3.16

N/A

N/A

N/A

N/A

N/A

1

N/A

N/A

N/A

10.33

0.69

N/A

N/A

N/A

0.69

Gross Margin (ttm): EBITDA (ttm): Oper Margins (ttm): Net Income (ttm): EPS (ttm): P/E (ttm): PEG (5 yr expected): P/S (ttm):


Consolidated Investment Analysis for Research in Motion Research in Motion (NASDAQ: RIMM)

Company Description Research In Motion Limited (RIM) is a designer, manufacturer and marketer of wireless solutions for the worldwide mobile communications market. Through the development of integrated hardware, software and services that support multiple wireless network standards, RIM provides platforms and solutions for access to information, including e-mail, phone, short message service (SMS), Internet and intranetbased applications. RIM's portfolio of products, services and embedded technologies are used by organizations worldwide and include the BlackBerry wireless solution, the RIM Wireless Handheld product line, software development tools and software. RIM operates offices in North America, Europe and Asia Pacific. In January 2009, the Company completed the acquisition of Chalk Media Corp. In March 2009, RIM completed the acquisition of Certicom Corp. Share Statistics Symbol Current Price 52wk Range Avg Vol (3m)

RIMM 66.15 35.05- 88.08 16,265,500

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

N/A N/A 11.80% N/A

Financial Summary On December 17, 2009, Research In Motion Ltd reported 3rd quarter 2010 earnings of 1.10 per share. This result exceeded the 1.04 consensus of the 39 analysts covering the company and exceeded last year's 3rd quarter results by 32.53%. The next earnings announcement is expected on March 31, 2010. Research In Motion Ltd reported annual 2009 earnings of 3.43 per share on April 02, 2009. The next earnings announcement from Research In Motion Ltd is expected the week of March 31, 2010. RIM.TO had 3rd quarter 2010 revenues of 3.92bn. This bettered the 3.78bn consensus of the 34 analysts covering the company. This was 11.31% above the prior year's 3rd quarter results. RIM.TO had revenues for the full year 2009 of 11.07k. This was 84.13% above the prior year's results.


Analyst Consensus Buy

Outperform

Hold

Underperform

Sell

No Opinion

This is the consensus forecast amongst 42 polled investment analysts. Against the Research In Motion Ltd company. Analyst Detail

Buy

Outperform

Hold

Underperform

Sell

No Opinion

Latest

13

10

16

2

1

1

4 weeks ago

13

10

17

2

1

1

2 months ago

13

11

14

2

3

1

3 months ago

14

11

13

2

3

1

Last year

9

11

14

0

3

1

# of Estimates

Mean

High

Low

1 Year Ago

SALES (in millions)

Quarter Ending Feb-10

33

4,290.66

4,361.00

4,230.20

3,929.59

Quarter Ending May-10

23

4,263.64

4,703.30

3,752.60

4,112.13

Year Ending Feb-10

42

15,165.90

15,270.00

15,089.20

14,469.60

Year Ending Feb-11

42

18,502.00

21,020.00

16,106.80

17,755.20

Quarter Ending Feb-10

40

1.27

1.31

1.23

1.01

Quarter Ending May-10

29

1.21

1.36

1.06

1.02

Year Ending Feb-10

42

4.36

4.54

3.65

3.69

Year Ending Feb-11

43

5.09

6.24

3.95

4.51

LT Growth Rate (%)

14

18.69

30.00

9.70

24.25

Earnings (per share)


Technical Analysis Chart


DIRECT COMPETITOR COMPARISON

RIMM

AAPL

MSFT

NOK

Industry

Market Cap:

N/A

177.90B

245.66B

49.51B

N/A

Employ ees:

N/A

34,300

93,000

123,553

N/A

Qtrly Rev Growth (yoy):

N/A

32.00%

14.40%

-5.30%

N/A

Revenue (ttm):

N/A

46.71B

58.69B

N/A

N/A

Gross Margin (ttm):

N/A

40.95%

79.78%

32.74%

N/A

EBITDA (ttm):

N/A

14.11B

24.43B

N/A

N/A

Oper Margins (ttm):

N/A

28.61%

37.64%

N/A

N/A

Net Income (ttm):

N/A

9.36B

16.26B

N/A

N/A

EPS (ttm):

N/A

10.266

1.815

N/A

N/A

P/E (ttm):

N/A

19.11

15.43

N/A

N/A

PEG (5 yr expected):

0.82

N/A

1.21

1.22

N/A

P/S (ttm):

N/A

3.77

4.14

N/A

N/A


Consolidated Investment Analysis For ArcelorMittal ArcelorMittal (NYSE:MT) Company Description ArcelorMittal is a global steel producer. The Company has steel-making operations in 20 countries on four continents, including 66 integrated, mini-mill and integrated mini-mill steel-making facilities. ArcelorMittal operates its business in six operating segments: Flat Carbon Americas; Flat Carbon Europe; Long Carbon Americas and Europe; Asia, Africa and Commonwealth of Independent States (CIS) (AACIS); Stainless Steel; and Arcelor Mittal Steel Solutions and Services. ArcelorMittal's steel-making operations have a high degree of geographic diversification. Approximately 36% of its steel is produced in the Americas, approximately 49% is produced in Europe and approximately 15% is produced in other countries, such as Kazakhstan, South Africa and Ukraine. ArcelorMittal produces a range of finished, semi-finished carbon steel products and stainless steel products. In July 2009, the Company completed the acquisition of Noble European Holdings B.V. Share Statistics Symbol MT Current Price 39.46 52wk Range 16.28- 49.41 Avg Vol (3m) 4,480,600

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

-2.54 59.51B 29.40% N/A

Financial Summary On July 29, 2009, ArcelorMittal reported semi annual 2009 earnings of 0.41 per share. This result exceeded the -0.89 consensus loss of the one analyst covering the company and under-performed last year's results for the same period by -93.33%. The next earnings announcement is expected on February 10, 2010. ArcelorMittal reported annual 2008 earnings of 11.21 per share on February 11, 2009. The next earnings announcement from ArcelorMittal is expected the week of February 10, 2010. ISPA.AS reported semi annual 2009 revenues of 30.30bn. This missed the 30.61bn consensus estimate of the 2 analysts following the company. This was -55.21% below the prior year's period results. ISPA.AS had revenues for the full year 2008 of 124.94k. This was 18.74% 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 ArcelorMittal company. Analyst Detail

Buy

Outperform

Hold

Underperform

Sell

No Opinion

Latest

10

9

8

3

2

0

4 weeks ago

12

9

6

3

2

0

2 months ago

12

8

7

3

2

0

3 months ago

10

9

7

3

3

0

Last year

9

6

7

1

6

1

# of Estimates

Mean

High

Low

1 Year Ago

SALES (in millions)

Quarter Ending Mar-10

1

20,254.00

20,254.00

20,254.00

18,618.00

Quarter Ending Jun-10

1

21,531.00

21,531.00

21,531.00

18,637.00

Year Ending Dec-10

8

85,454.50

97,235.60

78,260.00

97,311.30

Quarter Ending Mar-10

2

0.47

0.54

0.39

1.10

Quarter Ending Jun-10

2

0.76

0.77

0.75

1.09

Year Ending Dec-10

9

2.73

3.40

1.64

5.18

LT Growth Rate (%)

1

-12.37

-12.37

-12.37

--

Earnings (per share)


Technical Analysis Chart


Comparative Analysis DIRECT COMPETITOR COMPARISON

MT

JFEEF.PK

Pvt1

X

Industry

Market Cap:

59.51B

N/A

N/A

6.60B

1.17B

Employ ees:

287,000

N/A

82,7001

N/A

4.47K

Qtrly Rev Growth (yoy):

-54.10%

N/A

N/A

-25.50%

15.40%

68.56B

N/A

4.93B1

11.05B

1.84B

2.78%

N/A

N/A

-4.97%

10.22%

359.00M

N/A

N/A

-1.12B

125.20M

Oper Margins (ttm):

-6.49%

N/A

N/A

-16.10%

6.03%

Net Income (ttm):

-3.58B

N/A

1.17B1

-1.40B

N/A

EPS (ttm):

-2.543

N/A

N/A

-10.419

N/A

P/E (ttm):

N/A

N/A

N/A

N/A

14.04

PEG (5 yr expected):

N/A

N/A

N/A

N/A

1.36

P/S (ttm):

0.83

N/A

N/A

0.57

0.81

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


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NOK, ORCL, RIMM, AA, PEP, MT