10-13-2018: Twitter, Inc. (TWTR): 70-MIllion Extremist Account Removals Threaten Revenue

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Recommendation

Twitter, Inc.

Twitter, Inc. (TWTR) is a social media company with recent controversial impending government legislation to force the company to better police its members. Those importing fake news into the system, particularly originating in foreign countries, could result in severe penalties for the corporation if it does not remove certain content and terminate contracts. This threat is much more severe from the European Common Union than from the U.S., as the U.S. is doing less to police internet activities. The question is, if Twitter has to enforce standards by the millions, how will that affect its customer base as users fall. Business models are dependent upon grabbing and keeping customers' attention and then showing ads to them. But provocative and viral content forms a large part of viewer interest, and cleaning up platforms can be costly to revenue.

Of course, the U.S. President's use of Twitter has brought that organization a lot of attention, including from investors, but even the President says that much of its content is "dangerous." Saying is one thing; doing something about it is another, as there have been many "extremist" sites on Twitter and Facebook.

Social media companies are consider high-tech companies and sort of ride along with that competitive group in general. Currently their industry group is strong, and Twitter is playing "catch up."

The Zenith Index and financials for Twitter are unacceptable in our opinion, although Twitter is "cash rich" with continual increases stored up to help it make acquisitions if it should so desire. One executive is way overpaid.

Researchers are net positive on the stock, and institutions are buying heavily. Analysts are more reserved, and there are many of them following this stock which is highly traded.

Our use of the site is practically non-existence as one computer repair place said that 80% of its repair business comes from removing viral infections of computers that were introduced through Facebook and other social media links.

We feel that increasing governmental restrictions both at home and abroad on social media corporations will affect their bottom line negatively, and therefore we consider TWTR a good short sale candidate. 



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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.

Twitter, Inc. (TWTR)                                      Exchange: NYSE
1355 Market Street
Suite 900                        Sector: Technology
San Francisco, CA 94103          Industry: Internet Content & Information

Twitter, Inc. operates as a platform for public self-expression and
conversation in real time. The company offers various products and
services, including Twitter that allows users to consume, create,
distribute, and discover content; and Periscope, a mobile application
that enables user to broadcast and watch video live with others. It also
provides promoted products and services, such as promoted tweets,
promoted accounts, and promoted trends, which enable its advertisers to
promote their brands, products, and services. In addition, the company
offers a set of tools, public APIs, and embeddable widgets for
developers to contribute their content to its platform, syndicate and
distribute Twitter content across their properties, and enhance their
Websites and applications with Twitter content. Further, it provides
subscription access to its public data feed for data partners. The
company has operations in the United States and internationally.
Twitter, Inc. was founded in 2006 and is headquartered in San Francisco,
California.

Last Trade:  26.79                           52-Week Range:  47.79 -  17.03
Employees: 3,500                             Avg.Volume:  25,742,540 Shares

Corporate Governance:
Pllar scores are Audit: 2; Board: 7; Shareholder Rights: 9; Compensation: 9.
         (A lower number means less governance risk.)

EPS:  0.31    Dividend Amount: $ 0.00          Yield:  0.00%
             Ex-Dividend Date: N/A             Payout Ratio:   0.00

Key Statistics:

    Trailing P/E:  86.76              Forward P/E (est.):  33.94
                                           Target Price:  33.41

Qrtly Stock Price Growth (yoy):  51.10%               Beta:   0.00
Qrtly S&P Index   Growth (yoy):  23.80%        Short Ratio:   2.36%
    Qrtly Revenue Growth (yoy):   9.02%         Shares Out:  754950000
   Qrtly Earnings Growth (yoy):   0.00%

          Book Value:   7.39                    Debt/Equity:  48.40%
    Price/Book Value:   3.63        Operating Profit Margin:  10.74%
         Price/Sales:   7.51                  Profit Margin:   8.57%
         Market Cap:  20,240,000,000       Return on Equity:   4.49%
    Enterprise Value:  18,440,000,000      Return on Assets:   2.29%

    Operating Cash Flow:  1,000,000,000
         Free Cash Flow:    558,790,000



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

  Total Revenue                              2,443,299   2,529,619   2,218,032
  Cost of Revenue                              860,842     883,240     729,256
  Gross Profit                               1,582,457   1,646,379   1,488,776

Operating Expenses:
  Research & Development                       539,910     697,582     806,648
  Selling, General & Administrative            997,107   1,214,705   1,132,164
  Non-Recurring Expenses                             0           0           0
  Other Operating Expenses                           0           0           0
  Total Operating Expenses                   2,397,859   2,795,527   2,668,068

Operating Income or Loss                        45,440    -265,908    -450,036

Income from Continuing Operations:
  Total Other Income/Expenses Net             -140,858    -174,926     -83,269
  Earnings Before Interest & Taxes              45,440               -265,908  E
arnings Before Interest & Taxes            -450,036
  Interest Expense                            -105,237     -99,968     -98,178
  Income Before Taxes                          -95,418    -440,834    -533,305
  Income Tax Expense                            12,645      16,039     -12,274
  Minority Interest                                  0           0           0

Net Income from Continuing Op.s               -108,063    -456,873    -521,031

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                                  -108,063    -456,873    -521,031
  Preferred Stock & Other Adjustments                0           0           0

Net Income Avail to Common Shares             -108,063    -456,873    -521,031



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

  Net Income                              -108,063      -456,873      -521,031

Operating Activities:
  Depreciation                             299,367       327,572       275,023
  Adjustments to Net Income                495,583       660,500       658,002
  Changes in Accounts Recv'bls               2,668       -22,969      -216,585
  Changes in Liabilities                     8,371        -7,112        76,355
  Changes in Investories                         0             0             0
  Changes in other Oper'g Acts             -43,278       112,677         4,317

Total Cash Flow f Operations               831,209       763,055       383,066

Investing Activities:
  Capital Exenditures                     -160,742      -218,657      -347,280
  Investments                               16,534      -288,328      -488,830
  Other Cash Flows fr Investing             -6,507        -5,941       -14,667

Total Cash Flows from Investing           -112,932      -598,008             0

Financing Activities:
  Dividends Paid                                 0             0             0
  Sale of Purchase of Stock                      0             0             0
  Net Borrowings                          -102,775      -100,558      -117,535
  Other Cash Flows fr Financing                  0           210       -14,667

Total Cash Flows from Financing            -78,373       -83,975       -62,998

  Effect of Exchange Rate Chg                9,911        -3,945       -16,900

Change in Cash & Cash Equiv.               649,815        77,127      -599,253



Annual Balance Sheets:                              (All Numbers in Thousands)
  Period Ending                          12/31/2017    12/31/2016    12/31/2015
Current Assets:
  Cash & Cash Equivalents                 1,638,413       988,598       911,471
  Short Term Investments                  2,764,689     2,785,981     2,583,877
  Net Receivables                           664,268       650,650       638,694
  Inventory                                       0             0             0
  Other Current Assets                       10,537        11,355         9,804
  Total Current Assets                   10,607,285     1,650,603     1,559,969

  Long-Term Investments                      27,600        90,200        14,200
  Property, Plant & Equipt                  773,715       783,901       735,299
  Goodwill                                1,188,935     1,185,315     1,122,728
  Intangible Assets                          49,654        95,334       141,015
  Accumulated Amortization                        0             0             0
  Other Assets                               50,689        63,419        47,405
  Deferred LT Asset Charges                       0             0             0

Total Assets                              7,412,477     6,870,365     6,442,439

Current Liabilities:
  Accounts Payable                          170,969       122,236       134,081
  Current Portion LT Debt                 1,793,744     1,686,652     1,602,956
  Other Current Liabilities                  92,682       123,854        49,950
  Total Current Liabilities               2,057,395     1,932,742      1,786,987

  Long Term Debt                            170,969       122,236       134,081
  Other Liabilities                       1,793,744     1,686,652     1,602,956
  Deferred LT Liab. Charges                  92,682       123,854        49,950
  Minority Interest                               0             0             0
  Negative Goodwill                               0             0             0

Total Liabilities                         3,758,068     3,547,314     3,295,645

Stockholder Equity:
  Misc. Options, Warrants                         0             0             0
  Redeemable Preferred Stock                      0             0             0
  Preferred Stock                                 0             0             0
  Common Stock                                    4             4             3
  Retained Earnings                      -2,671,729    -2,550,350    -2,093,477
  Treasury Stock                            -31,579       -69,253       -45,566
  Capital Surplus                         7,750,522     7,224,534     6,507,087
  Other Stockhohlder Equity                 -31,579       -69,253       -45,566
  Total Stockholder Equity                5,047,218     4,604,935     4,368,047

Net Tangible Assets                       3,808,629     3,324,286     3,104,304


Twitter, Inc. (TWTR)                        [Indices near +3.0, near zero,
                                            or < zero bear special attention.]
P/E Ratio Tests:
P/E Ratio < 28?            0.3227          P/E Ratio > 5?             1.0000
P/E Ratio Vs Growth Rate:  0.0000          Forward P/E Ratio < 28?    0.8250
Price/Sales Ratio < 2.3?   0.3063          Inventory/Sales < 5%?      1.0000
Sales < $1 Billion?        0.4093          Operating Margin < 7.5%?   0.6983

Balance Sheet Tests:
Debt/Equity < 0.40?        0.8264          Long-Term Debt Service:    2.2455
LTD Being Reduced?        -3.0000          Short-Term Debt Service:  -0.4318
Current Ratio > 2?         2.5778          Working Capital >= 1.5?    0.2948
Leverage Ratio < 20%?      1.3035          Debt/Assets < 1?           3.0000
Quick Ratio > 1?           3.0000          Inventory Turnover > 1?    1.0000
Share Equity Increase:     2.1503          Market Cap.< 1.5 Billion?  0.0741
                                           Intangibles < 3% Assets?   0.1795
Income Tests:
Profit Margin < 7.5%?      1.1426          EPS Annual Growth > 10%?   0.4228
Dividend Yield > 2.0%?     0.0000          EPS 3-yr Growth > 15?      0.7232
Enterprise Value/Revenue   3.0000          EPS Growth Consistent?     2.0000
Enterprise Value/EBITDA:   3.0000          Collection < 45 days?      0.4535
EPS Qrtly Growth > 10%?    0.0000          Gross Pft/Cur. LTD > 1?    0.8822
                                           Borrowing Int. Rate < 6%? -0.9279
Stock Performance Tests:
Volatility > 25%?          2.5746          % Held by Insiders < 5%?   0.4583
Beta > 1.25?               0.0000          % Held by Institut. < 50?  0.7605
50 Da MA > 200 Da MA?     -0.4367          % Held by Institut. > 30?  2.1917
52-Wk Change vs. S&P 500:  3.0000          Short Ratio > 5?           0.4720
Price/Book Value < 3?      0.8275          Short % of Float > 20?     0.3725
Return on Assets > 17%?    0.1347          Average Volume > 100,000?  3.0000

Cash Flow Tests:
Oper. C.F. > Lever'd C.F:  1.7896          Positive Free Cash Flow?   3.0000
Positive Oper. Cash Flow?  3.0000          Price to C.F.Ratio < 14?:  0.7073
                                           Cash Flow / Assets > 10%?  1.3794

TWTR   Twitter, Inc.                       Overall Zenith Index:      1.055


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Financial Statements

TWITTER INC  (TWTR)                         INCOME STATEMENT

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

Revenue                                          664,889,984   1,403,001,984   2,218,032,128   2,529,618,944   2,443,299,072   2,696,604,928
Cost of revenue                                  266,718,000     446,308,992     729,256,000     932,240,000     861,241,984     881,003,008
Gross profit                                     398,172,000     956,692,992   1,488,775,936   1,597,378,944   1,582,056,960   1,815,602,048


Operating expenses
Research and development                         593,992,000     691,542,976     806,648,000     713,481,984     542,009,984     532,031,008
Sales, General and administrative                440,011,008     804,016,000   1,132,163,968   1,251,105,024   1,001,307,008   1,011,644,992
Total operating expenses                       1,034,003,008   1,495,559,040   1,938,812,032   1,964,587,008   1,543,316,992   1,543,676,032

Operating income                                -635,830,976    -538,865,984    -450,036,000    -367,208,000      38,740,000     271,926,016
Interest Expense                                           0               0      98,178,000      99,968,000     105,237,000     110,429,000
Other income (expense)                           -11,315,000     -39,485,000      14,909,000      26,342,000     -28,921,000      44,274,000
Income before taxes                             -647,145,984    -578,350,976    -533,304,992    -440,833,984     -95,418,000     205,771,008
Provision for income taxes                        -1,823,000        -531,000     -12,274,000      16,039,000      12,645,000     -25,327,000
Net income from continuing operations           -645,323,008    -577,820,032    -521,031,008    -456,872,992    -108,063,000     231,098,000
Net income                                      -645,323,008    -577,820,032    -521,031,008    -456,872,992    -108,063,000     231,098,000
Net income available to common shareholders     -645,323,008    -577,820,032    -521,031,008    -456,872,992    -108,063,000     231,098,000

Earnings per share
Basic                                                  -3.41           -0.96           -0.79           -0.65           -0.15            0.31 
Diluted                                                -3.41           -0.96           -0.79           -0.65           -0.15            0.31 

Weighted average shares outstanding
Basic                                            189,510,000     604,990,016     662,424,000     702,134,976     732,702,016     744,678,976
Diluted                                          189,510,000     604,990,016     662,424,000     702,134,976     732,702,016     754,271,488

____________________________________________________________________________________________________________________________________________


TWITTER INC  (TWTR)                         BALANCE SHEET

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

Assets

Current assets

Cash

Short-term investments                         1,393,043,968   2,111,154,048   2,583,877,120   2,785,980,928   2,764,688,896
Total cash                                     2,234,053,888   3,621,878,016   3,495,347,968   3,774,578,944   4,403,102,208

Receivables                                      247,328,000     418,454,016     638,694,016     650,649,984     664,268,032
Deferred income taxes                             62,122,000      25,882,000               0               0               0
Prepaid expenses                                  31,175,000     189,639,008     247,750,000     226,967,008     254,514,000
Total current assets                           2,574,679,040   4,255,853,056   4,381,792,256   4,652,195,840   5,321,884,160

Non-current assets

Property, plant and equipment
Gross property, plant and equipment              499,727,008     888,270,016   1,314,008,960   1,641,827,968   1,928,088,064
Accumulated Depreciation                        -167,064,992    -331,251,008    -578,710,016    -857,926,976  -1,154,372,992
Net property, plant and equipment                332,662,016     557,019,008     735,299,008     783,900,992     773,715,008

Goodwill                                         363,476,992     622,569,984   1,122,727,936   1,185,314,944   1,188,935,040
Intangible assets                                 77,627,000     105,011,000     141,015,008      95,334,000      49,654,000
Other long-term assets                            17,795,000      42,629,000      61,605,000     153,619,008      78,289,000
Total non-current assets                         791,561,024   1,327,229,056   2,060,647,040   2,218,169,088   2,090,593,024

Total assets                                   3,366,240,000   5,583,081,984   6,442,439,168   6,870,365,184   7,412,476,928 

Liabilities and stockholders' equity

Liabilities

Current liabilities
Capital leases                                    87,126,000     112,320,000      88,166,000      80,848,000      84,976,000
Accounts payable                                  27,994,000      53,241,000     134,081,000     122,236,000     170,968,992
Taxes payable                                      9,515,000      18,380,000      25,880,000      29,558,000      36,097,000
Accrued liabilities                               56,434,000     123,174,000     143,332,000     235,366,000     164,859,008
Deferred revenues                                 14,479,000      18,679,000      23,674,000      33,659,000      27,824,000
Other current liabilities                         29,882,000      68,000,000      90,906,000      82,354,000      98,553,000
Total current liabilities                        225,430,000     393,793,984     506,039,008     584,020,992     583,278,016

Non-current liabilities
Long-term debt                                             0   1,376,019,968   1,455,095,040   1,538,967,040   1,627,459,968
Capital leases                                   110,520,000     118,950,000      59,695,000      66,837,000      81,308,000
Deferred taxes liabilities                        59,500,000      24,706,000       2,978,000       7,556,000      13,240,000
Other long-term liabilities                       20,784,000      43,209,000      50,585,000      68,049,000      59,973,000
Total non-current liabilities                    190,804,000   1,562,884,992   1,568,353,024   1,681,409,024   1,781,981,056

Total liabilities                                416,233,984   1,956,679,040   2,074,392,064   2,265,430,016   2,365,259,008 

Stockholders' equity

Common stock                                           3,000           3,000           3,000           4,000           4,000
Additional paid-in capital                     3,944,952,064   5,208,869,888   6,507,086,848   7,224,534,016   7,750,521,856
Retained earnings                               -994,625,984  -1,572,445,952  -2,093,476,992  -2,550,350,080  -2,671,728,896
Accumulated other comprehensive income              -323,000     -10,024,000     -45,566,000     -69,253,000     -31,579,000
Total stockholders' equity                     2,950,006,016   3,626,403,072   4,368,047,104   4,604,935,168   5,047,218,176
Total liabilities and stockholders' equity     3,366,240,000   5,583,081,984   6,442,439,168   6,870,365,184   7,412,476,928

____________________________________________________________________________________________________________________________________________


TWITTER INC  (TWTR)                         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                                      -645,323,008    -577,820,032    -521,031,008    -456,872,992    -108,063,000     231,098,000
Depreciation & amortization                      110,894,000     208,164,992     312,823,008     402,172,000     395,867,008     392,840,000
Amortization of debt discount/premium and is       3,457,000       7,663,000               0               0               0               0
Investment/asset impairment charges                        0               0               0               0      62,439,000      10,439,000
Deferred income taxes                             -8,902,000      -9,609,000     -28,125,000      -4,775,000      -6,415,000     -47,932,000
Stock based compensation                         600,366,976     631,596,992     678,924,032     615,233,024     433,806,016     356,148,000
Change in working capital                        -61,356,000    -201,975,008    -135,912,992      82,596,000     -32,239,000     -31,722,000
Accounts receivable                             -112,060,000    -177,583,008    -216,584,992     -22,969,000       2,668,000     -83,390,000
Prepaid expenses                                 -12,045,000    -165,395,008     -50,170,000       7,101,000     -13,974,000     -32,620,000
Accounts payable                                   7,957,000      18,059,000      76,355,000      -7,112,000       8,371,000       5,159,000
Accrued liabilities                               54,792,000     122,944,000      54,487,000     105,576,000     -29,304,000      79,129,000
Other non-cash items                               2,261,000      23,775,000      76,388,000     124,702,000      85,814,000      90,996,000
Net cash provided by operating activities          1,398,000      81,796,000     383,065,984     763,054,976     831,209,024   1,001,867,008

Cash Flows From Investing Activities
Investments in property, plant, and equipmen     -75,744,000    -201,630,000    -347,280,000    -218,656,992    -160,742,000    -365,776,000
Property, plant, and equipment reductions                  0               0               0               0       2,783,000       5,949,000
Acquisitions, net                                -44,072,000    -165,176,992     -51,644,000     -85,082,000               0               0
Purchases of investments                      -1,573,489,024  -2,937,032,960  -3,683,488,000  -2,990,113,024  -2,688,038,912  -3,100,861,952
Sales/Maturities of investments                  398,086,016   2,217,609,984   3,205,157,888   2,701,785,088   2,704,572,928   2,772,177,920
Other investing activities                       -10,847,000     -11,042,000     -25,167,000      -5,941,000      28,493,000     -30,655,000
Net cash used for investing activities        -1,306,066,048  -1,097,272,064    -902,420,992    -598,008,000    -112,932,000    -719,166,016

Cash Flows From Financing Activities
Debt issued                                                0   1,888,999,936               0               0               0               0
Debt repayment                                   -70,445,000    -131,945,000    -117,535,000    -100,558,000    -102,775,000     -94,907,000
Common stock issued                            2,018,578,944      42,402,000      39,295,000      24,431,000      23,920,000      26,238,000
Other financing activities                        -5,958,000    -107,735,000      15,242,000      -7,848,000         482,000   1,048,990,976
Net cash provided by (used for) financing      1,942,176,000   1,691,721,984     -62,998,000     -83,975,000     -78,373,000     980,321,984

Effect of exchange rate changes                      174,000      -6,532,000     -16,900,000      -3,945,000       9,911,000     -11,043,000
Net change in cash                               637,681,984     669,713,984    -599,252,992      77,127,000     649,814,976   1,251,980,032
Cash at beginning of period                      203,328,000     841,009,984   1,510,723,968     911,470,976     988,598,016   1,324,115,968
Cash at end of period                            841,009,984   1,510,723,968     911,470,976     988,598,016   1,638,413,056   2,576,096,000

Free Cash Flow
Operating cash flow                                1,398,000      81,796,000     383,065,984     763,054,976     831,209,024   1,001,867,008
Capital expenditure                              -75,744,000    -201,630,000    -347,280,000    -218,656,992    -160,742,000    -365,776,000
Free cash flow                                   -74,346,000    -119,834,000      35,786,000     544,398,016     670,467,008     636,091,008
____________________________________________________________________________________________________________________________________________





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Average to Current P/E Ratios

(TWTR) Twitter Inc. 2013 2014 2015 2016 2017 Annual Earnings: -3.41 -0.96 -0.79 -0.65 -0.15 Average Price During Year: 47.98 41.72 21.69 17.19 21.40 P/E Ratio: 14.07 43.45 27.46 26.45 142.68 Average 5-Year P/E Ratio = 50.82 Current Price = 26.79 Previous 5 Quarter Earnings: -0.16 -0.03 0.12 0.08 0.13 Current Annualized (Last Four Quarters) Earnings = 0.33 ________ Average PE / Current PE = 0.63 -------- ...a number above 1.00 is good 1.00 or below is bad



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Financial Ratios

. . . . . . . . . . . . Lowest to Highest, Compared to Industry



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Market Grader

900
901 902 903 904 905 906 907 908 909 910



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Intrinsic Value (DCF)

Intrinsic Value by Discounted Cash Flow Method:

Intrinsic Value



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Fair Value Estimator

Fair Value Estimate:

Fair Value



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Projected Earnings

Earnings Estimates
Earnings Estimates



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Research Reports

Click Here for Research Reports



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Analysts' Opinions

Analysts' Opinion 1
Analysts' Opinion 1
Analysts' Opinion 1
Analysts' Opinion 1
Analysts' Opinion 2



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Insider Activity

Insiders Chart Insider Trades
Insider Trades
Executive Compensation Executive Compensation



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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 TWITTER INC.:
Symbol? TWTR
Total Months Available:  59
       Months in Cycle?   4

Months Covered by Periods:  12

Period 1           Period 2          Period 3
   H1      L1        H2      L2        H3      L3
  35.00   17.03     41.69   26.60     47.79   27.72

RANGE   =  47.79  TO   17.03            Close =  26.79
CHANNEL =  35.00  TO   27.72           Degree =   2
Volatility =  27.17%                    Index =   5
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

3 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 a downmove.


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 + 1
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 - 4
Place 1,110 shares of Twitter, Inc. (TWTR) on the Active List.