You Can Fool Some of  the People Some of  the Time

by David Brown, Chief Market Strategist, Sabrient Systems

But apparently, you can't fool Standard & Poor's.

david / Tag: BIDU, JAZZ, PDC, VIV / 0 Comments

Q1 Earnings Season Begins

by David Brown, Chief Market Strategist, Sabrient Systems

david / Tag: AA, BAC, BAS, GOOG, ISTA, JPM, PANL, SSRI / 0 Comments

Sleeping Well Whether the Bulls Run or Retreat

by David Brown, Chief Market Strategist, Sabrient

david / Tag: JBL, RYL, S&P 500 / 0 Comments

Bulls Keeping Their Horns Sharp

by David Brown, Chief Market Strategist, Sabrient Systems

david / Tag: AA, CAP, HBIO, MFW, NNBR, QE2, S&P 500, sectors, SML / 0 Comments

What the Market Wants? Earnings, Apparently

david / Tag: CCIX, IPGP, LULU, OMN, S&P 500, sectors / 0 Comments

What We Need is a Craziness Index

by David Brown, Chief Market Strategist, Sabrient Systems

The market advanced steadily this week with the S&P 50 reaching 1313.80 today, which is above both its 30-day and 50-day moving averages and positive on a great majority of technical indicators.

david / Tag: AMT, ARLP, VIX, VXX / 0 Comments

4 GARP Stocks for Precarious Times

by David Brown, Chief Market Strategist, Sabrient Systems

The S&P 500 moved ahead 1.5% today, seemingly oblivious to multiple global threats, a shaky domestic economic recovery, and a market that is still weak by most technical standards.

david / Tag: AGP, KRA, LECO, S&P 500, SD, sectors, VIX / 0 Comments

Editor’s note: The Investor’s (H)Edge Portfolio, managed by David Brown, is a long/short, absolute-return portfolio of 13 Longs and 13 Shorts.  Each week David reviews one long position and one short position and either renews or replaces the stocks, based primarily on the stocks’ scores in the Sabrient Outlook Rankings.

david / Tag: / 0 Comments

Markets Drop as Japan's Problems Grow

by David Brown, Chief Market Strategist, Sabrient Systems

david / Tag: DWSN, sectors, SHS, TER, VIX, VXX, ZINC / 0 Comments

Editor’s note: The Investor's (H)Edge Portfolio, managed by David Brown, is a long/short, absolute-return portfolio of 13 Longs and 13 Shorts.  Each week David reviews one long position and one short position and either renews or replaces the stocks, based primarily on the stocks' scores in the Sabrient Outlook Rankings.

david / Tag: BKS, GMCR, GME, S&P 500, SBUX, VIX, VXX / 0 Comments

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