05-30-2018: TechTarget, Inc. (TTGT): Straight-Up Chart Pattern So Far

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Recommendation

TechTarget, Inc.

TechTarget, Inc. (TTGT) is one of those internet business services corporations that blabs on and on about what it can do for your business in glowing terms but a little hard to see actually what it does. Its website is not very helpful in this regard in our opinion. There is no glitzy annual report, no dividends, but there is a regular shareholder letter in the form of a transcribed conference call with some very buddy-like sounding analysts asking questions in news items as well as a letter from the CEO on the company website. That mixed with relatively high accounting marks and executive compensation suggests a genuine concern for shareholders. Institutions are net acquirers and Dimensional Fund Advisors is among significant holders, a positive.

The stock carries a relatively high p/e ratio and has tripled in the last two years with a chart pattern that is straight up. This leads to real concern as to whether or not it has overshot its value, but it still has a strong Zenith Index indicating a strong balance sheet, and this is confirmed by Standard & Poor's Stock Report rating. Market Grader disagrees. Market Grader cites a poor cash flow, which we don't understand at all, because the cash flow looks strong to us. Other analysts disagree and consider the cash flow "risky."

The corporation has been around for a while to establish a track record and has a large number of impressive clients, large corporations, while seeking a niche for itself with smaller ones. As to what it does, we think one group classification "Internet Content" probably best describes it, helping companies design websites that sell products better and reach targeted audiences. But the company's own website doesn't impress us much either in terms of informativeness nor in terms of layout. Its owners have the gift of gab, and not everything works there as well as we would expect from information technology experts. The company purports to help businesses design websites that will attract customers by offering marketing research and IT design services. It has an international presence in Britain and Asia and is based in Massachusetts. 



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Zenith Index

Under current market conditions, a Zenith Index Score of 1.20 or above is required for a positive rating on this factor. 1.21 -1.30 is considered acceptable, 1.30-1.40 is considered strong and
> 1.40 is considered exceptionally strong. Accounting statements in this section often contain mistakes, especially in earlier years' totals, but data is deemed sufficient for us to give a rating. More accurate financial statements follow in the next section.

TechTarget, Inc. (TTGT)                                   Exchange: Nasdaq
275 Grove Street
Newton, MA 02466                 Sector: Technology
United States                    Industry:Internet Content & Information

TechTarget, Inc. provides specialized online content for buyers of
enterprise information technology (IT) products and services in the
United States, the United Kingdom, and internationally. It also provides
purchase-intent marketing and sales services for enterprise technology
vendors; and customized marketing programs that integrate demand
generation and brand marketing, as well as advertising techniques, which
enable IT vendors to identify, reach, and influence corporate IT
decision makers who are researching specific IT purchases. The company
offers online services, including IT Deal Alert, core online, demand
solutions, brand solutions, and custom content creation. It also
operates an integrated content platform that consists of a network of
approximately 140 Websites that focus on a specific IT sector, such as
storage, security, networking, or business applications. In addition,
the company enables registered members to conduct their pre-purchase
research by accessing vendor supplied content through a network of
Websites. TechTarget, Inc. was founded in 1999 and is headquartered in
Newton, Massachusetts.

Last Trade:  25.29                           52-Week Range:  26.16 -   8.88
Employees: 622                               Avg.Volume:     253,819 Shares

Corporate Governance:
Pllar scores are Audit: 2; Board: 7; Shareholder Rights: 7; Compensation: 6.
         (A lower number means less governance risk.)

EPS:  0.24    Dividend Amount: $ 0.00          Yield:  0.00%
             Ex-Dividend Date: N/A             Payout Ratio:   0.00

Key Statistics:

    Trailing P/E: 107.29              Forward P/E (est.):  26.82
                                           Target Price:  23.75

Qrtly Stock Price Growth (yoy): 178.83%               Beta:   0.68
Qrtly S&P Index   Growth (yoy):  13.60%        Short Ratio:   1.91%
    Qrtly Revenue Growth (yoy):  13.05%         Shares Out:  27500000
   Qrtly Earnings Growth (yoy):   0.00%

          Book Value:   4.39                    Debt/Equity:  26.69%
    Price/Book Value:   5.86        Operating Profit Margin:   9.59%
         Price/Sales:   6.52                  Profit Margin:   6.27%
         Market Cap:     708,055,000       Return on Equity:   5.71%
    Enterprise Value:     539,760,000      Return on Assets:   3.79%

    Operating Cash Flow:     18,650,000
         Free Cash Flow:     10,010,000



Annual Income Statement:                          (All numbers in thousands)
  Period Ending                             12/31/2017  12/31/2016  12/31/2015

  Total Revenue                                108,556     106,625     111,826
  Cost of Revenue                               28,336      30,217      29,903
  Gross Profit                                  80,220      76,408      81,923

Operating Expenses:
  Research & Development                             0           0           0
  Selling, General & Administrative             56,959      56,686      56,709
  Non-Recurring Expenses                             0           0           0
  Other Operating Expenses                       4,636       4,893       5,364
  Total Operating Expenses                           0           0           0

Operating Income or Loss                        10,410       6,791      12,170

Income from Continuing Operations:
  Total Other Income/Expenses Net                    0           0           0
  Earnings Before Interest & Taxes              10,410       6,791      12,170
  Interest Expense                                 693       1,774         249
  Income Before Taxes                            9,717       5,017      11,921
  Income Tax Expense                             2,914       2,598       4,735
  Minority Interest                                  0           0           0

Net Income from Continuing Op.s                  6,803       2,419       7,186

Non-recurring Events:
  Discontinued Operations                            0           0           0
  Extraordinary Items                                0           0           0
  Effect of Accounting Changes                       0           0           0
  Other Items                                        0           0           0
  Net Income                                     6,803       2,419       7,186
  Preferred Stock & Other Adjustments                0           0           0

Net Income Avail to Common Shares                6,803       2,419       7,186



Annual Cash Flow Statement:                   (All numbers in thousands)
  Period Ending                         12/31/2017    12/31/2016    12/31/2015

  Net Income                                 6,803         2,419         7,186

Operating Activities:
  Depreciation                               5,007         5,261         5,600
  Adjustments to Net Income                  8,613         8,871         9,188
  Changes in Accounts Recv'bls              -7,855         3,107        -4,180
  Changes in Liabilities                     7,141        -1,604        -3,428
  Changes in Investories                         0             0             0
  Changes in other Oper'g Acts              -1,060           291           113

Total Cash Flow f Operations                18,649        18,345        14,479

Investing Activities:
  Capital Exenditures                       -4,137        -4,410        -3,699
  Investments                               10,400           794        -1,234
  Other Cash Flows fr Investing                  0             0             0

Total Cash Flows from Investing              6,263        -3,616        -4,933

Financing Activities:
  Dividends Paid                                 0             0             0
  Sale of Purchase of Stock                 -7,143        -3,796       -12,296
  Net Borrowings                            -6,250        38,750        38,750
  Other Cash Flows fr Financing             -3,943       -45,699             0

Total Cash Flows from Financing            -17,386       -11,112       -14,021

  Effect of Exchange Rate Chg                  -45            85           -17

Change in Cash & Cash Equiv.                 7,481         3,702        -4,492



Annual Balance Sheets:                              (All Numbers in Thousands)
  Period Ending                          12/31/2017    12/31/2016    12/31/2015
Current Assets:
  Cash & Cash Equivalents                    25,966        18,485        14,783
  Short Term Investments                      7,650        10,988        10,646
  Net Receivables                            29,601        22,551        26,549
  Inventory                                       0             0             0
  Other Current Assets                        4,391         5,913         7,498
  Total Current Assets                       82,908        46,949        48,830

  Long-Term Investments                         496         7,801         9,262
  Property, Plant & Equipt                    9,786         9,232         8,922
  Goodwill                                   93,793        93,469        93,701
  Intangible Assets                             506           601         1,448
  Accumulated Amortization                        0             0             0
  Other Assets                                  882           898           840
  Deferred LT Asset Charges                      98           139         4,210

Total Assets                                173,169       170,077       177,859

Current Liabilities:
  Accounts Payable                            6,500         5,712         6,110
  Current Portion LT Debt                     9,888         6,157             0
  Other Current Liabilities                   7,598         6,079         8,921
  Total Current Liabilities                  23,986        17,948         15,031

  Long Term Debt                              6,500         5,712         6,110
  Other Liabilities                           9,888         6,157             0
  Deferred LT Liab. Charges                   7,598         6,079         8,921
  Minority Interest                               0             0             0
  Negative Goodwill                               0             0             0

Total Liabilities                            48,605        50,234        17,858

Stockholder Equity:
  Misc. Options, Warrants                         0             0             0
  Redeemable Preferred Stock                      0             0             0
  Preferred Stock                                 0             0             0
  Common Stock                                   53            52            51
  Retained Earnings                          -9,318       -16,363       -18,782
  Treasury Stock                           -170,816      -162,731      -113,949
  Capital Surplus                           300,763       296,853       293,003
  Other Stockhohlder Equity                      65          -248          -322
  Total Stockholder Equity                  120,747       117,563       160,001

Net Tangible Assets                          26,448        23,493        64,852


TechTarget, Inc. (TTGT)                     [Indices near +3.0, near zero,
                                            or < zero bear special attention.]
P/E Ratio Tests:
P/E Ratio < 28?            0.2610          P/E Ratio > 5?             1.0000
P/E Ratio Vs Growth Rate:  0.0000          Forward P/E Ratio < 28?    1.0440
Price/Sales Ratio < 2.3?   0.3528          Inventory/Sales < 5%?      1.0000
Sales < $1 Billion?        3.0000          Operating Margin < 7.5%?   0.7821

Balance Sheet Tests:
Debt/Equity < 0.40?        1.4987          Long-Term Debt Service:    3.0000
LTD Being Reduced?         0.0000          Short-Term Debt Service:   3.0000
Current Ratio > 2?         1.7283          Working Capital >= 1.5?    0.4397
Leverage Ratio < 20%?      0.7423          Debt/Assets < 1?           3.0000
Quick Ratio > 1?           3.0000          Inventory Turnover > 1?    1.0000
Share Equity Increase:     1.7618          Market Cap.< 1.5 Billion?  2.1185
                                           Intangibles < 3% Assets?   0.0551
Income Tests:
Profit Margin < 7.5%?      0.8360          EPS Annual Growth > 10%?   0.0356
Dividend Yield > 2.0%?     0.0000          EPS 3-yr Growth > 15?      0.1584
Enterprise Value/Revenue   3.0000          EPS Growth Consistent?     0.0000
Enterprise Value/EBITDA:   3.0000          Collection < 45 days?      0.4521
EPS Qrtly Growth > 10%?    0.0000          Gross Pft/Cur. LTD > 1?    3.0000
                                           Borrowing Int. Rate < 6%?  1.9341
Stock Performance Tests:
Volatility > 25%?          2.6422          % Held by Insiders < 5%?   0.1500
Beta > 1.25?               0.5440          % Held by Institut. < 50?  0.8916
50 Da MA > 200 Da MA?      0.5302          % Held by Institut. > 30?  1.8693
52-Wk Change vs. S&P 500:  3.0000          Short Ratio > 5?           0.3820
Price/Book Value < 3?      0.5208          Short % of Float > 20?     0.0330
Return on Assets > 17%?    0.2229          Average Volume > 100,000?  2.5382

Cash Flow Tests:
Oper. C.F. > Lever'd C.F:  1.8631          Positive Free Cash Flow?   3.0000
Positive Oper. Cash Flow?  3.0000          Price to C.F.Ratio < 14?:  0.8363
                                           Cash Flow / Assets > 10%?  2.4426

TTGT   TechTarget, Inc.                    Overall Zenith Index:      1.3404


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Financial Statements

TECHTARGET INC  (TTGT)                      INCOME STATEMENT

Fiscal year ends in December.                        2013-12         2014-12         2015-12         2016-12         2017-12             TTM           

Revenue                                           88,496,000     106,203,000     111,826,000     106,625,000     108,556,000     112,278,000
Cost of revenue                                   27,133,000      28,047,000      29,903,000      30,217,000      28,336,000      28,125,000
Gross profit                                      61,363,000      78,156,000      81,923,000      76,408,000      80,220,000      84,153,000


Operating expenses
Research and development                           6,715,000       7,161,000       7,680,000       8,038,000       8,215,000       8,390,000
Sales, General and administrative                 51,076,000      57,714,000      56,709,000      56,686,000      56,959,000      57,964,000
Other operating expenses                           6,046,000       5,822,000       5,364,000       4,893,000       4,636,000       4,613,000
Total operating expenses                          63,837,000      70,697,000      69,753,000      69,617,000      69,810,000      70,967,000

Operating income                                  -2,474,000       7,459,000      12,170,000       6,791,000      10,410,000      13,186,000
Other income (expense)                               -20,000        -333,000        -249,000      -1,774,000        -693,000        -730,000
Income before taxes                               -2,494,000       7,126,000      11,921,000       5,017,000       9,717,000      12,456,000
Provision for income taxes                          -657,000       3,045,000       4,735,000       2,598,000       2,914,000       3,530,000
Net income from continuing operations             -1,837,000       4,081,000       7,186,000       2,419,000       6,803,000       8,926,000
Net income                                        -1,837,000       4,081,000       7,186,000       2,419,000       6,803,000       8,926,000
Net income available to common shareholders       -1,837,000       4,081,000       7,186,000       2,419,000       6,803,000       8,926,000

Earnings per share
Basic                                                  -0.05            0.12            0.22            0.08            0.25            0.33 
Diluted                                                -0.05            0.12            0.21            0.08            0.24            0.31 

Weighted average shares outstanding
Basic                                             37,886,000      33,010,000      32,963,000      29,954,000      27,550,000      27,545,250
Diluted                                           37,886,000      34,641,000      34,476,000      30,774,000      28,271,000      28,516,000

____________________________________________________________________________________________________________________________________________


TECHTARGET INC  (TTGT)                      BALANCE SHEET

Fiscal year ends in December.                        2013-12         2014-12         2015-12         2016-12         2017-12             

Assets

Current assets

Cash

Short-term investments                            14,401,000       5,480,000      10,646,000      10,988,000       7,650,000
Total cash                                        29,813,000      24,755,000      25,429,000      29,473,000      33,616,000

Receivables                                       22,116,000      23,200,000      26,549,000      22,551,000      29,601,000
Deferred income taxes                                555,000       2,674,000       2,317,000               0               0
Prepaid expenses                                   5,516,000       2,842,000       7,498,000       5,913,000       4,391,000
Total current assets                              58,000,000      53,471,000      61,793,000      57,937,000      67,608,000

Non-current assets

Property, plant and equipment
Gross property, plant and equipment               21,196,000      24,940,000      27,289,000      30,542,000      35,006,000
Accumulated Depreciation                         -11,739,000     -15,725,000     -18,367,000     -21,310,000     -25,220,000
Net property, plant and equipment                  9,457,000       9,215,000       8,922,000       9,232,000       9,786,000

Equity and other investments                       3,959,000      13,428,000       9,262,000       7,801,000         496,000
Goodwill                                          94,171,000      93,979,000      93,701,000      93,469,000      93,793,000
Intangible assets                                  4,958,000       2,995,000       1,448,000         601,000         506,000
Deferred income taxes                              5,873,000       3,230,000       1,893,000         139,000          98,000
Other long-term assets                               564,000       1,166,000         840,000         898,000         882,000
Total non-current assets                         118,982,000     124,013,000     116,066,000     112,140,000     105,561,000

Total assets                                     176,982,000     177,484,000     177,859,008     170,076,992     173,168,992 

Liabilities and stockholders' equity

Liabilities

Current liabilities
Short-term debt                                            0               0               0       6,157,000       9,888,000
Accounts payable                                   2,686,000       2,733,000       1,807,000       2,100,000       1,542,000
Taxes payable                                              0       1,088,000         516,000         122,000         218,000
Accrued liabilities                                3,300,000       2,719,000       3,112,000       2,792,000       3,343,000
Deferred revenues                                          0               0       7,595,000       6,079,000       7,598,000
Other current liabilities                          8,272,000       9,983,000       2,001,000         698,000       1,397,000
Total current liabilities                         14,258,000      16,523,000      15,031,000      17,948,000      23,986,000

Non-current liabilities
Long-term debt                                             0               0               0      32,286,000      22,339,000
Deferred taxes liabilities                           745,000         473,000         582,000         200,000         838,000
Other long-term liabilities                        4,917,000       4,642,000       2,245,000       2,080,000       5,259,000
Total non-current liabilities                      5,662,000       5,115,000       2,827,000      34,566,000      28,436,000

Total liabilities                                 19,920,000      21,638,000      17,858,000      52,514,000      52,422,000 

Stockholders' equity

Common stock                                          48,000          50,000          51,000          52,000          53,000
Additional paid-in capital                       270,726,016     280,702,016     293,003,008     296,852,992     300,763,008
Retained earnings                                -30,049,000     -25,968,000     -18,782,000     -16,363,000      -9,318,000
Treasury stock                                   -83,862,000     -98,851,000    -113,949,000    -162,731,008    -170,816,000
Accumulated other comprehensive income               199,000         -87,000        -322,000        -248,000          65,000
Total stockholders' equity                       157,062,000     155,846,000     160,000,992     117,563,000     120,747,000
Total liabilities and stockholders' equity       176,982,000     177,484,000     177,859,008     170,076,992     173,168,992

____________________________________________________________________________________________________________________________________________


TECHTARGET INC  (TTGT)                      Statement of CASH FLOW

Fiscal year ends in December. USD.                   2013-12         2014-12         2015-12         2016-12         2017-12             TTM           

Cash Flows From Operating Activities
Net income                                        -1,837,000       4,081,000       7,186,000       2,419,000       6,803,000       8,926,000
Depreciation & amortization                        6,046,000       5,822,000       5,364,000       4,893,000       4,636,000       4,613,000
Amortization of debt discount/premium and is         466,000         291,000         236,000         368,000         371,000         328,000
Deferred income taxes                              1,554,000        -104,000      -1,468,000       1,125,000         895,000               0
Stock based compensation                           5,585,000       7,332,000       6,624,000       6,852,000       6,912,000       6,820,000
Change in working capital                         -3,597,000         799,000      -7,495,000       1,794,000      -1,774,000         622,000
Accounts receivable                                1,496,000      -1,845,000      -4,180,000       3,107,000      -7,855,000      -6,264,000
Prepaid expenses                                    -524,000        -912,000        -149,000         343,000      -1,105,000        -969,000
Accounts payable                                    -239,000          56,000        -921,000         299,000        -810,000         154,000
Accrued liabilities                                  412,000        -576,000         836,000        -947,000        -157,000        -117,000
Income taxes payable                              -5,004,000       4,689,000      -1,625,000         722,000       2,744,000       3,363,000
Other working capital                                262,000        -613,000      -1,456,000      -1,730,000       5,409,000       4,455,000
Other non-cash items                                  58,000          -4,000         816,000         712,000         806,000       1,746,000
Net cash provided by operating activities          8,275,000      18,217,000      11,263,000      18,163,000      18,649,000      23,055,000

Cash Flows From Investing Activities
Investments in property, plant, and equipmen      -4,477,000      -3,847,000      -3,699,000      -4,410,000      -4,137,000      -5,647,000
Purchases of investments                         -16,433,000     -15,101,000      -7,891,000      -9,766,000        -500,000               0
Sales/Maturities of investments                   25,555,000      14,215,000       6,657,000      10,560,000      10,900,000       9,900,000
Net cash used for investing activities             4,645,000      -4,733,000      -4,933,000      -3,616,000       6,263,000       4,253,000

Cash Flows From Financing Activities
Debt issued                                                0               0               0      50,000,000               0               0
Debt repayment                                             0               0               0     -11,250,000      -6,250,000      -7,500,000
Common stock repurchased                         -47,912,000     -14,989,000     -15,098,000     -48,782,000      -8,085,000      -8,324,000
Excess tax benefit from stock based compe            506,000         712,000               0         182,000               0               0
Other financing activities                         1,420,000       4,742,000       4,293,000      -1,080,000      -3,051,000      -2,648,000
Net cash provided by (used for) financing        -45,986,000      -9,535,000     -10,805,000     -10,930,000     -17,386,000     -18,472,000

Effect of exchange rate changes                       69,000         -86,000         -17,000          85,000         -45,000         -33,000
Net change in cash                               -32,997,000       3,863,000      -4,492,000       3,702,000       7,481,000       8,803,000
Cash at beginning of period                       48,409,000      15,412,000      19,275,000      14,783,000      18,485,000      16,619,000
Cash at end of period                             15,412,000      19,275,000      14,783,000      18,485,000      25,966,000      25,422,000

Free Cash Flow
Operating cash flow                                8,275,000      18,217,000      11,263,000      18,163,000      18,649,000      23,055,000
Capital expenditure                               -4,477,000      -3,847,000      -3,699,000      -4,410,000      -4,137,000      -5,647,000
Free cash flow                                     3,798,000      14,370,000       7,564,000      13,753,000      14,512,000      17,408,000
____________________________________________________________________________________________________________________________________________



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Average to Current P/E Ratios
              (TTGT)     TechTarget Inc.

                               2013    2014    2015    2016    2017

          Annual Earnings:    -0.05    0.12    0.21    0.08    0.24
Average Price During Year:     4.79    7.91   10.05    7.98   10.03

                P/E Ratio:    95.77   65.90   47.85   99.70   41.80

 Average 5-Year P/E Ratio  =  70.20
             Current Price =  25.75

Previous 5 Quarter Earnings:   0.00    0.05    0.07    0.12    0.07

           Current Annualized (Last Four Quarters) Earnings =   0.26
                                                           ________
                                 Average PE / Current PE =     0.71
                                                           --------

                                      ...a number above 1.00 is good
                                                1.00 or below is bad


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Financial Ratios

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Market Grader

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Intrinsic Value (DCF)

Intrinsic Value by Discounted Cash Flow Method:

Intrinsic Value



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Fair Value Estimate

Fair Value Estimator:

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Projected Earnings

Earnings Estimates
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Research Reports

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Analysts' Opinions

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Insider Activity

Insiders Chart Insider Trades
Insider Trades
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Institutional Activity

Institutional Orders to Buy or Sell:

institutions 1
Ownership:

institutions 2


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Sentiment

sentiment

Zenith uses the "sentiment" score above or below 50 to award a positive or negative point in the Decision Matrix.

sentiment sentiment sentiment



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Short Interest Ratio

As the short interest rises as a percentage of average daily share volume (Days to Cover), this is considered a measure of negative sentiment. Similarly, a decrease in that percentage is considered positive sentiment.

short interest short interest


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Standard & Poor's

S&P Stock Report (Requires Adobe Acrobat Reader)



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Management's Discussion of Results of Operations Excerpts

Click Here for Management's Discussion Excerpts



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Channeling Potential

 
The summary below includes a value for `Degree,' which refers on a
scale of 1 to 10 the range of a channel in the period under consi-
deration compared to the total range of price movement. It also looks
for the last closing price to be within the channel, otherwise zeroed.
The `Index' is the `Degree' weighted for volatility.  Generally, the
the higher the index, the more suitable is the stock for trading as
a `rolling stock' between channel high and low points.

Results for TECHTARGET INC.:
Symbol? TTGT
Total Months Available:  25
       Months in Cycle?   4

Months Covered by Periods:  12

Period 1           Period 2          Period 3
   H1      L1        H2      L2        H3      L3
  11.73    8.88     16.14   11.61     24.65   14.74

RANGE   =  24.65  TO    8.88            Close =  25.29
CHANNEL =  14.74  TO   11.73           Degree =   2
Volatility =  11.90%                    Index =   2
Channel Chart



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MACD Histogram Divergence

The theory is that connecting the two most recent peaks or valleys of the MACD histogram will signal the direction of the next major move.



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Intraday Chart

2 Days:



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Val Idea

0 out of 8 favorable, (negative opinion.)

Val Idea
Val Idea


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Stock Consultant

Stock Consultant Stock Consultant


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Point & Figure Chart

P & F Chart


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Wall Street Analyzer





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Marketspace Chart

Marketspace Chart



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Time Series Forecast

Time Series 1 Time Series 2


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Neural Network Prediction

"Neurostock" can only track long trades. Therefore its performance, as tracked by itself on stocks which are consistently falling, may not appear as good as it could if each "sell" signal were a "short sale."

Neural Chart
Heading
Neural Trades Neural Prediction



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Ultimate Trading Systems

3 out of 3 of the ultimate systems favor an upmove.


System Below:
Short term outlook: Positive: Bright Green, Negative: Bright Red
Long term outlook: Postive: Dark Green, Negative: Dark Red.




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Recommendation

Decision Weighting Factors
FactorsWeighted Points
News + 1
Comparison - 1
Industry + 1
Bond Issue 0
Zenith Index + 1
Non-GAAP vs. GAAP Earnings - 1
Cash Flow + 1
Average to Current P/E - 1
Ratios + 1
Market Grader - 1
Intrinsic Value DCF - 1
Fair Value Estimator - 1
Projected Earnings + 1
Research Reports + 1
Analysts + 1
Executive Perquisites + 1
Insider Activity - 1
Institutional Activity + 1
Management Reporting + 1
Short Interest + 1
Sentiment + 1
Standard & Poor's + 1
MACD Histogram Divergence + 1
Val Idea - 1
Stock Consultant - 1
Point & Figure + 1
Wall Street Analyzer - 1
Marketspace Chart + 1
Time Series Chart - 1
Neural Network - 1
Stock Options - 1
Ultimate Trading Systems + 1
Total + 5
Place 1,170 shares of TechTarget, Inc. (TTGT) on the Active List.