06-15-2019: Xperi Corporation (XPER): A Somewhat Confusing Array of Hi-Tech Consumer Product Licensing

(WAIT FOR PAGE TO LOAD COMPLETELY BEFORE LINKS WORK.)

Corporate Webpages
Company Profile
Company History
News
Comparison with Peers
Bond Issue
Zenith Index
Financial Statements
Avg. P/E to Current P/E
Financial Ratios
Intrinsic Value (Disc. CashFlow)
Fair Value Estimator
Projected Earnings
Research Reports
Analysts' Opinions
Insider Activity
Institutional Activity
Sentiment
Short Interest
Standard & Poor's
Management's Discussion
Channel Potential
MACD Histogram
Intraday Chart
Val Idea
Stock Consultant
Point & Figure Chart
Wall Street Analyzer
Marketspace Chart
Time Series Forecast
Neural Network Prediction
Stock Options
Ultimate Trading Systems
Recommendation

Xperi Corporation

Xperi Corporation describes its products and services as a vague conglomeration of Internet services including audio (radio), imaging, semiconductor packaging, and interconnect technologies. Its website is poor in our opinion, and the company makes its money thrugh product and services licensing. It is based in San Jose, CA, and founded by ex-IBM engineers.

This corporation has to expend considerable effort defending its patents against some rather large "biggies" in the electronics, communications, and semiconductor industries. This includes legal battles on an international as well as domestic stage. Some of the "biggies" (LG, Samsung, Broadcom) are also important customers.

The corporation has an important considerable working relationship with Amazon.

From the outset, we did not like the absence of CEO Letter to Shareholders or much convern shown otherwise for shareholders, save for the fact that company pays nearly a 4% dividend and has been doing so steadily.

The company does appear to have good cash flow and earnings. Earnings were a turnaround positive situation for the first time in 2017. Based upon current projections, the stock may be overlooked with too low a p/e. However, there were some losing quarterly earnings reports recently despite positive annual reports.

It has a strong Zenith Index indicating good fundamentals. There appears to be no insider trading going on recently which we consider a positive.

Institutions have been net sellers, but Dimensional Fund Advisors is a major shareholder which we consider a good sign. They are accumulating.

The return on investment has been less than for comparable stocks in the same semiconductor industry group.

There appears to be an absence of insider activity which we consider positive.

Looking at the chart, it appears this stock tends to move in long cycles and is trending down at the moment. That suggests buying opportunity should await the development of some upward momentum in the stock which is less likely to make a sudden surprise major jump than simply a slow turnaround with plenty of time to get in. 



[Home]
Corporate Wepages

Trade Mark
01
2
3
4
5
6
7
8
9
10
11
12
13
14
15



[Home]
Company Profile

Profile



[Home]
Company History
6


[Home]
News

Click Here for News Archives



[Home]
Comparison

Comparison

Groups 1
Groups 2
Groups 3


Companies 1
Companies 2

Similar Companies Performance:

55 56
57 58
59 60


[Home]
Bond Issue

No Bond Data for this company.



[Home]
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.

Xperi Corporation (XPER)                                  Exchange: Nasdaq
3025 Orchard Parkway
San Jose, CA 95134               Sector: Technology
United States                    Industry: Semiconductor Equipment & Mater

Xperi Corporation, through its subsidiaries, creates, develops, and
licenses audio, imaging, semiconductor packaging, and interconnect
technologies in the United States, South Korea, Taiwan, Japan, Europe,
the Middle East, and internationally. The company operates in two
segments, Product Licensing; and Semiconductor and IP Licensing. The
Product Licensing segment licenses technologies and intellectual
property related to audio, digital radio, and imaging solutions under
the DTS, FotoNation, HD Radio, and IMAX Enhanced brands. It delivers
software and hardware based solutions combined with various other
intellectual property to its customers or to their suppliers. This
segment serves consumer electronics product manufacturers. The
Semiconductor and IP Licensing segment develops and licenses
semiconductor technologies and intellectual property to manufacturers,
foundries, subcontract assemblers, and others. It develops and licenses
3D semiconductor packaging, interconnect, and bonding solutions for
semiconductors that are used in smartphones, tablets, and laptops, as
well as servers used in datacenters. This segment also provides
engineering services. The company was formerly known as Tessera Holding
Corporation and changed its name to Xperi Corporation in February 2017.
Xperi Corporation was founded in 1990 and is headquartered in San Jose,
California.

Last Trade:  20.93                           52-Week Range:  25.84 -  12.08
Employees: 700                               Avg.Volume:     467,455 Shares

Corporate Governance:
Pillar scores are Audit: 2; Board: 1; Shareholder Rights: 3; Compensation: 8.
         (A lower number means less governance risk.)

EPS:  0.16    Dividend Amount: $ 0.80          Yield:  3.81%
             Ex-Dividend Date: May 27, 2019    Payout Ratio:   0.00

Key Statistics:

    Trailing P/E: 131.91              Forward P/E (est.):   8.04
                                           Target Price:  32.00

Qrtly Stock Price Growth (yoy):   9.58%               Beta:   0.00
Qrtly S&P Index   Growth (yoy): -13.70%        Short Ratio:  11.82%
    Qrtly Revenue Growth (yoy):   3.28%         Shares Out:  49280000
   Qrtly Earnings Growth (yoy):   0.00%

          Book Value:  11.98                    Debt/Equity:  76.74%
    Price/Book Value:   1.72        Operating Profit Margin:  12.35%
         Price/Sales:   2.56                  Profit Margin:   1.92%
         Market Cap:   1,021,000,000       Return on Equity:   0.97%
    Enterprise Value:   1,370,000,000      Return on Assets:   2.59%

    Operating Cash Flow:    144,300,000
         Free Cash Flow:    160,510,000



Annual Income Statement:                          (All numbers in thousands)
  Period Ending                             12/31/2018  12/31/2017  12/31/2016

  Total Revenue                                406,133     373,732     259,565
  Cost of Revenue                               13,291       6,308         551
  Gross Profit                                 392,842     367,424     259,014

Operating Expenses:
  Research & Development                       106,347     101,740      44,738
  Selling, General & Administrative            125,455     132,883      72,065
  Non-Recurring Expenses                             0           0           0
  Other Operating Expenses                           0           0           0
  Total Operating Expenses                     353,543     352,861     149,224

Operating Income or Loss                        52,590      20,871     110,341

Income from Continuing Operations:
  Total Other Income/Expenses Net              -45,680     -79,214     -19,626
  Earnings Before Interest & Taxes              52,590      20,871     110,341
  Interest Expense                             -25,665     -28,292      -2,409
  Income Before Taxes                            6,910     -58,343      90,715
  Income Tax Expense                             8,673      -1,785      34,626
  Minority Interest                             -1,295      -1,295      -1,295

Net Income from Continuing Op.s                 -1,763     -56,558      56,089

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                                      -289     -56,558      56,089
  Preferred Stock & Other Adjustments                0           0           0

Net Income Avail to Common Shares                 -289     -56,558      56,089



Annual Cash Flow Statement:                   (All numbers in thousands)
  Period Ending                         12/31/2018    12/31/2017    12/31/2016

  Net Income                                -1,763       -56,558        56,089

Operating Activities:
  Depreciation                             115,126       119,131        34,130
  Adjustments to Net Income                 16,593        15,908        28,795
  Changes in Accounts Recv'bls              11,122        44,617        13,957
  Changes in Liabilities                      -242        -1,507        -4,762
  Changes in Investories                         0             0             0
  Changes in other Oper'g Acts              -9,865        22,628        21,378

Total Cash Flow f Operations               135,133       147,265       153,860

Investing Activities:
  Capital Exenditures                       -3,338        -3,323        -3,794
  Investments                               19,370       -15,580       309,184
  Other Cash Flows fr Investing                  0             0             0

Total Cash Flows from Investing             11,432       -18,844      -592,396

Financing Activities:
  Dividends Paid                           -39,187       -39,509       -39,158
  Sale of Purchase of Stock                      0             0             0
  Net Borrowings                          -100,000        -6,000       583,039
  Other Cash Flows fr Financing               -419          -419             0

Total Cash Flows from Financing           -171,200       -55,787       481,563

  Effect of Exchange Rate Chg                    0             0             0

Change in Cash & Cash Equiv.               -24,635        72,634        43,027



Annual Balance Sheets:                              (All Numbers in Thousands)
  Period Ending                          12/31/2018    12/31/2017    12/31/2016
Current Assets:
  Cash & Cash Equivalents                   113,625       138,260        65,626
  Short Term Investments                     40,739        62,432        47,379
  Net Receivables                           225,730        27,876        67,786
  Inventory                                       0             0             0
  Other Current Assets                        9,141        10,294        12,541
  Total Current Assets                      470,713       176,430       145,953

  Long-Term Investments                           0             0             0
  Property, Plant & Equipt                   31,037        34,442        38,855
  Goodwill                                  385,784       385,574       382,963
  Intangible Assets                         327,720       431,789       541,879
  Accumulated Amortization                        0             0             0
  Other Assets                               93,038        12,702        22,798
  Deferred LT Asset Charges                   3,677         5,156         2,742

Total Assets                              1,235,107     1,110,024     1,186,436

Current Liabilities:
  Accounts Payable                            2,764         4,233         7,531
  Current Portion LT Debt                         0        34,451         6,000
  Other Current Liabilities                   3,130         2,686           895
  Total Current Liabilities                  54,150        96,822         51,017

  Long Term Debt                            482,193       545,211       577,239
  Other Liabilities                          80,617        32,415        50,395
  Deferred LT Liab. Charges                       0             0             0
  Minority Interest                          -1,295        -1,295        -1,295
  Negative Goodwill                               0             0             0

Total Liabilities                           616,960       674,448       678,651

Stockholder Equity:
  Misc. Options, Warrants                         0             0             0
  Redeemable Preferred Stock                      0             0             0
  Preferred Stock                                 0             0             0
  Common Stock                                   62            60            59
  Retained Earnings                         253,208        68,556       163,794
  Treasury Stock                           -364,523      -319,700      -300,262
  Capital Surplus                           730,695       686,660       644,194
  Other Stockhohlder Equity                    -328          -303          -148
  Total Stockholder Equity                  619,442       435,576       507,785

Net Tangible Assets                         -94,062      -381,787      -417,057


Xperi Corporation (XPER)                    [Indices near +3.0, near zero,
                                            or < zero bear special attention.]
P/E Ratio Tests:
P/E Ratio < 28?            0.2123          P/E Ratio > 5?             1.0000
P/E Ratio Vs Growth Rate:  0.0000          Forward P/E Ratio < 28?    3.0000
Price/Sales Ratio < 2.3?   0.8984          Inventory/Sales < 5%?      1.0000
Sales < $1 Billion?        2.4622          Operating Margin < 7.5%?   0.6073

Balance Sheet Tests:
Debt/Equity < 0.40?        0.5212          Long-Term Debt Service:    1.2819
LTD Being Reduced?         3.0000          Short-Term Debt Service:  -2.0491
Current Ratio > 2?         3.0000          Working Capital >= 1.5?    0.1749
Leverage Ratio < 20%?      0.1952          Debt/Assets < 1?           2.5614
Quick Ratio > 1?           3.0000          Inventory Turnover > 1?    1.0000
Share Equity Increase:     2.2799          Market Cap.< 1.5 Billion?  1.4691
                                           Intangibles < 3% Assets?   0.0519
Income Tests:
Profit Margin < 7.5%?      0.2560          EPS Annual Growth > 10%?   3.0000
Dividend Yield > 2.0%?     0.5249          EPS 3-yr Growth > 15?     -3.0000
Enterprise Value/Revenue   2.5149          EPS Growth Consistent?     0.0000
Enterprise Value/EBITDA:   3.0000          Collection < 45 days?      0.2218
EPS Qrtly Growth > 10%?    0.0000          Gross Pft/Cur. LTD > 1?    3.0000
                                           Borrowing Int. Rate < 6%? -1.1273
Stock Performance Tests:
Volatility > 25%?          2.1300          % Held by Insiders < 5%?   2.7174
Beta > 1.25?               0.0000          % Held by Institut. < 50?  0.5134
50 Da MA > 200 Da MA?      0.2279          % Held by Institut. > 30?  3.0000
52-Wk Change vs. S&P 500:  2.9207          Short Ratio > 5?           2.3640
Price/Book Value < 3?      1.7172          Short % of Float > 20?     0.6075
Return on Assets > 17%?    0.1524          Average Volume > 100,000?  3.0000

Cash Flow Tests:
Oper. C.F. > Lever'd C.F:  0.8990          Positive Free Cash Flow?   3.0000
Positive Oper. Cash Flow?  3.0000          Price to C.F.Ratio < 14?:  3.0000
                                           Cash Flow / Assets > 10%?  2.5728

XPER   Xperi Corporation                   Overall Zenith Index:      1.3443


[Home]
Financial Statements

XPERI CORP  (XPER)                          INCOME STATEMENT

Fiscal year ends in December. USD in thousan         2014-12         2015-12         2016-12         2017-12         2018-12             TTM           

Revenue                                              278,807         273,300         259,565         373,732         406,133         397,168
Cost of revenue                                        1,445             566             551           6,308          13,291          13,174
Gross profit                                         277,362         272,734         259,014         367,424         392,842         383,994


Operating expenses
Research and development                              37,479          32,181          44,738         105,849         106,406         106,930
Sales, General and administrative                     84,525          57,727          93,018         181,145         154,006         143,847
Restructuring, merger and acquisition                -10,338               0               0               0               0               0
Other operating expenses                              10,338          20,624          31,870         111,930         108,450         106,743
Total operating expenses                             122,004         110,532         169,626         398,924         368,862         357,520

Operating income                                     155,358         162,202          89,388         -31,500          23,980          26,474
Interest Expense                                           0               0           2,409          28,292          25,665          26,032
Other income (expense)                                11,888           3,432           3,736           1,449           8,595           7,743
Income before taxes                                  167,246         165,634          90,715         -58,343           6,910           8,185
Provision for income taxes                            -7,697          48,517          34,626          -1,785           8,673           2,361
Net income from continuing operations                174,943         117,117          56,089         -56,558          -1,763           5,824
Net income from discontinuing ops                     -4,489            -101               0               0               0               0
Other                                                      0               0               0               0           1,474           1,821
Net income                                           170,454         117,016          56,089         -56,558            -289           7,645
Net income available to common shareholders          170,454         117,016          56,089         -56,558            -289           7,645

Earnings per share
Basic                                                   3.23            2.26            1.14           -1.15           -0.01            0.15 
Diluted                                                 3.18            2.23            1.12           -1.15           -0.01            0.15 

Weighted average shares outstanding
Basic                                                 52,819          51,802          49,187          49,251          48,823          48,678
Diluted                                               53,563          52,586          50,190          49,251          48,823          48,678

____________________________________________________________________________________________________________________________________________


XPERI CORP  (XPER)                          BALANCE SHEET

Fiscal year ends in December. USD in thousan         2014-12         2015-12         2016-12         2017-12         2018-12             

Assets

Current assets

Cash

Short-term investments                               383,513         359,145          47,379          62,432          40,739
Total cash                                           434,421         381,744         113,005         200,692         154,364

Receivables                                            4,478           1,784          15,863          17,010          30,294
Deferred income taxes                                 19,334               0               0               0               0
Prepaid expenses                                      12,841          22,890           6,645          13,368          15,061
Other current assets                                   4,436           5,240          64,428          14,447         197,809
Total current assets                                 475,510         411,658         199,941         245,517         397,528

Non-current assets

Property, plant and equipment
Gross property, plant and equipment                        0               0          57,870          56,020          58,723
Accumulated Depreciation                                   0               0         -19,015         -21,578         -27,686
Net property, plant and equipment                      4,322           3,748          38,855          34,442          31,037

Goodwill                                                   0               0         382,963         385,574         385,784
Intangible assets                                     72,925          95,089         541,879         431,789         327,720
Deferred income taxes                                 21,759          15,649           2,742           5,156           3,677
Other long-term assets                                 2,607          13,208          20,056           7,546          89,361
Total non-current assets                             101,613         127,694         986,495         864,507         837,579

Total assets                                         577,123         539,352       1,186,436       1,110,024       1,235,107 

Liabilities and stockholders' equity

Liabilities

Current liabilities
Short-term debt                                            0               0           6,000          34,451               0
Accounts payable                                       3,509           1,090           7,531           4,233           2,764
Accrued liabilities                                    6,693           6,035          18,007          18,396          21,398
Deferred revenues                                     10,217           6,805             895           2,686           3,130
Other current liabilities                             13,607           6,848          18,584          37,056          26,858
Total current liabilities                             34,026          20,778          51,017          96,822          54,150

Non-current liabilities
Long-term debt                                             0               0         577,239         545,211         482,193
Deferred taxes liabilities                               187             255          32,565          15,085          64,994
Minority interest                                          0               0               0               0          -1,295
Other long-term liabilities                            1,551           3,162          17,830          17,330          15,623
Total non-current liabilities                          1,738           3,417         627,634         577,626         561,515

Total liabilities                                     35,764          24,195         678,651         674,448         615,665 

Stockholders' equity

Common stock                                              58              58              59              60              62
Additional paid-in capital                           576,341         599,186         644,194         686,660         730,695
Retained earnings                                     71,524         146,863         163,794          68,556         253,208
Treasury stock                                      -106,231        -229,513        -300,114        -319,397               0
Accumulated other comprehensive income                  -333          -1,437            -148            -303        -364,523
Total stockholders' equity                           541,359         515,157         507,785         435,576         619,442
Total liabilities and stockholders' equity           577,123         539,352       1,186,436       1,110,024       1,235,107

____________________________________________________________________________________________________________________________________________


XPERI CORP  (XPER)                          Statement of CASH FLOW

Fiscal year ends in December. USD in thousan         2014-12         2015-12         2016-12         2017-12         2018-12             TTM           

Cash Flows From Operating Activities
Net income                                           170,454         117,016          56,089         -56,558          -1,763           5,824
Depreciation & amortization                           20,306          22,214          34,130         119,131         115,126         113,312
Amortization of debt discount/premium and is               0               0               0           2,423           2,688           2,540
Investment/asset impairment charges                      820               0               0           2,404             417               0
Deferred income taxes                                -44,042          18,809             955         -18,294         -15,578         -23,524
Stock based compensation                              13,269          11,517          21,101          33,462          31,011          31,226
Change in working capital                               -593         -20,347          30,573          65,738           1,015          12,292
Accounts receivable                                   -1,217           2,694          13,957          -3,551         -14,381         -18,867
Accounts payable                                         566          -2,685           1,709          -3,298          -1,469          -1,851
Accrued liabilities                                  -14,317          -6,893           3,311          19,170          -8,915          -7,360
Other working capital                                 14,375         -13,463          11,596          53,417          25,780          40,370
Other non-cash items                                 -26,010          -2,659           2,784          -1,041           2,217           2,634
Net cash provided by operating activities            134,204         146,550         145,632         147,265         135,133         144,304

Cash Flows From Investing Activities
Investments in property, plant, and equipmen          -1,769          -1,002          -3,794          -3,323          -3,338          -3,428
Property, plant, and equipment reductions             31,173               0               0             235               0               0
Acquisitions, net                                     -2,450         -38,561        -888,204               0            -500               0
Purchases of investments                            -301,629        -298,848        -161,595         -33,102         -20,095               0
Sales/Maturities of investments                      203,659         324,713         470,779          17,522          39,465          32,615
Purchases of intangibles                              -5,635          -7,588          -9,582            -176          -4,100               0
Other investing activities                                 0               0               0               0               0         -24,695
Net cash used for investing activities               -76,651         -21,286        -592,396         -18,844          11,432           4,492

Cash Flows From Financing Activities
Debt issued                                                0               0         583,039               0               0               0
Debt repayment                                             0               0               0          -6,000        -100,000         -50,000
Common stock repurchased                             -66,313        -123,282         -70,601         -19,283         -44,798         -30,068
Excess tax benefit from stock based compe              1,968              58           1,288               0               0               0
Dividend paid                                        -48,335         -41,677         -39,158         -39,509         -39,187         -39,123
Other financing activities                            32,313          11,328          15,223           9,005          12,785          11,918
Net cash provided by (used for) financing            -80,367        -153,573         489,791         -55,787        -171,200        -107,273

Net change in cash                                   -22,814         -28,309          43,027          72,634         -24,635          41,523
Cash at beginning of period                           73,722          50,908          22,599          65,626         138,260          34,966
Cash at end of period                                 50,908          22,599          65,626         138,260         113,625          76,489

Free Cash Flow
Operating cash flow                                  134,204         146,550         145,632         147,265         135,133         144,304
Capital expenditure                                   -7,404          -8,590         -13,376          -3,499          -7,438          -7,528
Free cash flow                                       126,800         137,960         132,256         143,766         127,695         136,776
____________________________________________________________________________________________________________________________________________





[Home]
Average to Current P/E Ratios
              (XPER)     Xperi Corp.

                               2014    2015    2016    2017    2018

          Annual Earnings:    -0.38   -0.58   -3.48    3.18    2.23
Average Price During Year:    24.20   36.64   32.26   31.54   18.87

                P/E Ratio:    63.67   63.17    9.27    9.92    8.46

 Average 5-Year P/E Ratio  =  30.90
             Current Price =  20.75

Previous 5 Quarter Earnings:   0.62    0.44    0.36    0.48    0.48

          Current Annualized (Last Four Quarters) Earnings =   1.32
                                                           ________
                                 Average PE / Current PE =     1.97
                                                           --------

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


[Home]
Financial Ratios

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



[Home]
Intrinsic Value (DCF)

Intrinsic Value by Discounted Cash Flow Method:

Intrinsic Value



[Home]
Fair Value Estimator

Fair Value Estimate:

Fair Value



[Home]
Projected Earnings

Earnings Estimates



[Home]
Research Reports

Click Here for Research Reports



[Home]
Analysts' Opinions

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



[Home]
Insider Activity

Insiders Chart Executive Compensation Executive Compensation



[Home]
Institutional Activity

Institutional Orders to Buy or Sell:

institutions 1
Ownership:

institutions 2


[Home]
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



[Home]
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


[Home]
Standard & Poor's

S&P Stock Report (Requires Adobe Acrobat Reader)



[Home]
Management's Discussion of Results of Operations Excerpts

Click Here for Management's Discussion Excerpts



[Home]
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 XPERI CORPORATION:
Symbol? XPER
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
  19.60   14.20     21.97   12.08     25.84   20.49

RANGE   =  25.84  TO   12.08            Close =  20.93
CHANNEL =  20.49  TO   19.60           Degree =   1
Volatility =   4.25%                    Index =   0
Channel Chart



[Home]
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.



[Home]
Intraday Chart

2 Days:



[Home]
Val Idea

0 out of 8 favorable, (negative opinion.)

Val Idea
Val Idea


[Home]
Stock Consultant

Stock Consultant Stock Consultant


[Home]
Point & Figure Chart

P & F Chart


[Home]
Wall Street Analyzer



[Home]
Marketspace Chart

Marketspace Chart



[Home]
Time Series Forecast

Time Series 1 Time Series 2


[Home]
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



[Home]
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.




[Home]
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
Intrinsic Value DCF 0
Fair Value Estimator - 1
Projected Earnings + 1
Research Reports + 1
Analysts + 1
Executive Perquisites 0
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 + 8
Place 1,475 shares of Xperi Corporation (XPER) on the Active List.