Distribution & Follow-Through DaysInvestor Business Daily model follows the model of distribution and follow-through days based on volume as follows:
 Distribution days: 
A distribution day is defined as a day in which the move by the index is moves -0.5% on stronger volume than the previous day.
 Follow-Through days: 
On Day 4 or later of the attempted rally, at least one of the key market indexes must deliver a strong gain in volume up from the previous day. That big gain in rising volume is the follow-through day, which confirms that a new uptrend is underway.
A follow-through day can't pick the exact day that a market bottoms, but it can get you in close to the bottom.
Because this model is intended to value the market health, and how market-makers are positioning themselves, this cluster historically signifies a more defensive market.
Ibd
Rangebound Action on IBD 20 Stock $INTC$INTC in a pronounced range-bound area. A double Double Top. Price rejected the upper limit today, could see price move to lower limit. Watch the 59.50 area, as the DCG Alligator indicates an area of support. Intermediate-term I'd watch price and volume near the limits and support, price will break the range eventually.  
CLASSIC CANSLIM STOCKI learned about canslim from a guy i know online named Mike Rich, everything I know is because of him.  Positive earnings growth in the 20's and 30 percentile over previous quarter, cup and handle, and double bottom, positive cash flow and proven profits with a growing and revolutionary business model.  Too many shares to not take profits.  Sell 1/2 at $203, buy back if DOW and NASDAQ are still relatively healthy, on next earning report of 20% 30% increase over previous quarter.  Sell whole position if it starts acting up because i don't trust the 1 BILLION shares.  Plus I believe in OMENS, and the name ALIBABA has a bad ring ;)
HA still have wings or will oil ground it? - buy point 40.23cup w/ handle base 
Buy point 40.23
Composite Rating	95	    
MARKET DIRECTION AND INDUSTRY GROUP FOR HA
General Market
Market in correction		    
Industry Group
Industry Group Rank (1 to 197)	78	    
FUNDAMENTAL PERFORMANCE FOR HA
Current Earnings
EPS Due Date	04/21/2016	
EPS Rating	97	    
EPS % Chg (Last Qtr)	113%	    
Last 3 Qtrs Avg EPS Growth	83%	    
# Qtrs of EPS Acceleration	1	    
EPS Est % Chg (Current Qtr)	97%	    
Estimate Revisions		    
Last Quarter % Earnings Surprise	1.2%	    
Annual Earnings
3 Yr EPS Growth Rate	71%	    
Consecutive Yrs of Annual EPS Growth	2	    
EPS Est % Chg for Current Year	51%	    
Sales, Margin, ROE
SMR Rating	B	    
Sales % Chg (Last Qtr)	0%	    
3 Yr Sales Growth Rate	6%	    
Annual Pre-Tax Margin	13.2%	    
Annual ROE	46.5%	    
Debt/Equity Ratio	156%	    
TECHNICAL PERFORMANCE FOR HA
Price And Volume
Price	$37.06	    
RS Rating	98	    
% Off 52 Week High	-8%	    
Price vs. 50-Day Moving Average	6%	    
50-Day Average Volume	1.3 Mil	    
Supply And Demand
Market Capitalization	$2 B	    
Accumulation/Distribution Rating	B+	    
Up/Down Volume	1	    
% Change In Funds Owning Stock	10%	    
Qtrs Of Increasing Fund Ownership	5	    
XRS cup w/ faulty handle breakout to breakout - 50.10Buy point 50.10
IBD buy point 48.83
3 Red dots, 1 yellow
Composite Rating	99	    
MARKET DIRECTION AND INDUSTRY GROUP FOR XRS
General Market
Market in correction		    
Industry Group
Industry Group Rank (1 to 197)	41	    
FUNDAMENTAL PERFORMANCE FOR XRS
Current Earnings
EPS Due Date	04/26/2016	
EPS Rating	90	    
EPS % Chg (Last Qtr)	0%	    
Last 3 Qtrs Avg EPS Growth	42%	    
# Qtrs of EPS Acceleration	0	    
EPS Est % Chg (Current Qtr)	13%	    
Estimate Revisions		    
Last Quarter % Earnings Surprise	11.8%	    
Annual Earnings
3 Yr EPS Growth Rate	73%	    
Consecutive Yrs of Annual EPS Growth	2	    
EPS Est % Chg for Current Year	32%	    
Sales, Margin, ROE
SMR Rating	A	    
Sales % Chg (Last Qtr)	43%	    
3 Yr Sales Growth Rate	39%	    
Annual Pre-Tax Margin	22.0%	    
Annual ROE	29.9%	    
Debt/Equity Ratio	0%	    
TECHNICAL PERFORMANCE FOR XRS
Price And Volume
Price	$49.34	    
RS Rating	98	    
% Off 52 Week High	-1%	    
Price vs. 50-Day Moving Average	8%	    
50-Day Average Volume	737,700	    
Supply And Demand
Market Capitalization	$3.9 B	    
Accumulation/Distribution Rating	A	    
Up/Down Volume	1.2	    
% Change In Funds Owning Stock	33%	    
Qtrs Of Increasing Fund Ownership	3	    
OME double bottom base - buy 23.70Composite Rating	99	    
MARKET DIRECTION AND INDUSTRY GROUP FOR OME
General Market
Market in correction		    
Industry Group
Industry Group Rank (1 to 197)	31	    
FUNDAMENTAL PERFORMANCE FOR OME
Current Earnings
EPS Due Date	03/09/2016	
EPS Rating	90	    
EPS % Chg (Last Qtr)	200%	    
Last 3 Qtrs Avg EPS Growth	47%	    
# Qtrs of EPS Acceleration	2	    
EPS Est % Chg (Current Qtr)	37%	    
Estimate Revisions	N/A	    
Last Quarter % Earnings Surprise	88.6%	    
Annual Earnings
3 Yr EPS Growth Rate	46%	    
Consecutive Yrs of Annual EPS Growth	0	    
EPS Est % Chg for Current Year	20%	    
Sales, Margin, ROE
SMR Rating	A	    
Sales % Chg (Last Qtr)	59%	    
3 Yr Sales Growth Rate	16%	    
Annual Pre-Tax Margin	15.2%	    
Annual ROE	11.7%	    
Debt/Equity Ratio	8%	    
TECHNICAL PERFORMANCE FOR OME
Price And Volume
Price	$22.83	    
RS Rating	98	    
% Off 52 Week High	-9%	    
Price vs. 50-Day Moving Average	6%	    
50-Day Average Volume	292,800	    
Supply And Demand
Market Capitalization	$507.9 M	    
Accumulation/Distribution Rating	B	    
Up/Down Volume	1.3	    
% Change In Funds Owning Stock	14%	    
Qtrs Of Increasing Fund Ownership	2	    
JBSS cup w/handle - 66.10JBSS has 7 Red dots 
Composite Rating	99	    
MARKET DIRECTION AND INDUSTRY GROUP FOR JBSS
General Market
Market in correction		    
Industry Group
Industry Group Rank (1 to 197)	31	    
FUNDAMENTAL PERFORMANCE FOR JBSS
Current Earnings
EPS Due Date	04/25/2016	
EPS Rating	97	    
EPS % Chg (Last Qtr)	43%	    
Last 3 Qtrs Avg EPS Growth	34%	    
# Qtrs of EPS Acceleration	2	    
EPS Est % Chg (Current Qtr)	60%	    
Estimate Revisions		    
Last Quarter % Earnings Surprise	15.1%	    
Annual Earnings
3 Yr EPS Growth Rate	17%	    
Consecutive Yrs of Annual EPS Growth	4	    
EPS Est % Chg for Current Year	41%	    
Sales, Margin, ROE
SMR Rating	B	    
Sales % Chg (Last Qtr)	11%	    
3 Yr Sales Growth Rate	10%	    
Annual Pre-Tax Margin	5.1%	    
Annual ROE	12.5%	    
Debt/Equity Ratio	13%	    
TECHNICAL PERFORMANCE FOR JBSS
Price And Volume
Price	$62.71	    
RS Rating	97	    
% Off 52 Week High	-5%	    
Price vs. 50-Day Moving Average	12%	    
50-Day Average Volume	85,100	    
Supply And Demand
Market Capitalization	$701.8 M	    
Accumulation/Distribution Rating	A-	    
Up/Down Volume	1.1	    
% Change In Funds Owning Stock	2%	    
Qtrs Of Increasing Fund Ownership	7	    
Skyworks Nears Flat Base entry at 102.87SWKS has been one of the strongest stocks in the market over the last year.  
It has also been so consistent and not choppy.  
I like the company and its in a valid base, which I believe is a stage 2 flat base since the Oct low.
Industry group rank =10
On the other side of the coin, it has 0 Qtrs of EPS acceleration... 
Still almost every other light is green, except 3yr sales growth =22% which is red.
Skyworks Solutions Inc (SWKS)NASDAQ
05/04/2015 (Market Close)
Print	 	
 
IBD Stock Checkup for SWKS:
99
Copyright 2015 Investor's Business Daily, Inc  
About SWKS: MANUFACTURES ANALOG/MIXED-SIGNAL ICS, AMPLIFIERS, ATTENUATORS, DETECTORS, DIODES, COUPLERS, MIXERS AND DEMODULATORS
General Market Fundamental Checklist Technical Checklist View Chart
Rate A Stock:
  PERFORMANCE WITHIN GROUP (SWKS)
SKYWORKS SOLUTIONS INC RANK WITHIN THE ELEC-SEMICONDUCTOR MFG GROUP (42 STOCKS)
Composite Rating 99 Rank within Group: 1st
100%
Best in Group
EPS Rating 98 Rank within Group: 1st
100%
Best in Group
Relative Strength Rating 98 Rank within Group: 1st
100%
Best in Group
SMR Rating A Rank within Group: 1st
100%
Best in Group
Acc/Dist. Rating B- Rank within Group: 13th
71%
SMR - Group Leaders
 SWKS
    
Skyworks Solutions Inc (Added to My Stock Lists 04/15/15)
 TSM
    
Taiwan Semiconductor Adr
 MU
    
Micron Technology Inc
 TSEM
    
Tower Semiconductor Ltd
 LLTC
    
Linear Technology Corp
Composite Rating	99	
  GENERAL MARKET AND INDUSTRY GROUP (SWKS)
General Market
Uptrend under pressure		
Industry Group
Industry Group Rank (1 to 197)	10	
  FUNDAMENTAL PERFORMANCE (SWKS)
Current Earnings
EPS Due Date	07/15/2015	
EPS Rating	98	
EPS % Chg (Last Qtr)	85%	
Last 3 Qtrs Avg EPS Growth	82%	
# Qtrs of EPS Acceleration	0	
EPS Est % Chg (Current Qtr)	50%	
Estimate Revisions		
Last Quarter % Earnings Surprise	1.8%	
Annual Earnings
3 Yr EPS Growth Rate	30%	
Consecutive Yrs of Annual EPS Growth	4	
EPS Est % Chg for Current Year	55%	
Sales, Margin, ROE
SMR Rating	A	
Sales % Chg (Last Qtr)	58%	
3 Yr Sales Growth Rate	22%	
Annual Pre-Tax Margin	30.0%	
Annual ROE	26.9%	
Debt/Equity Ratio	0%	
  TECHNICAL PERFORMANCE (SWKS)
Price And Volume
Price	$99.11	
RS Rating	98	
% Off 52 Week High	-4%	
Price vs. 50-Day Moving Average	4%	
50-Day Average Volume	4,824,300	
Supply And Demand
Market Capitalization	$18.9 B	
Accumulation/Distribution Rating	B-	
Up/Down Volume	1.3	
% Change In Funds Owning Stock	7%	
Qtrs Of Increasing Fund Ownership	5	
MNST nearing break out of flat base #3It is very close to a clean flat base buy point at 144.
Drawbacks:
3 year EPS is only 18%, and some of this pop has been because of KO acquisition
3 year Sales is only 18%
MONSTER BEVERAGE CORP RANK WITHIN THE BEVERAGES-NON-ALCOHOLIC GROUP (17 STOCKS)
Composite Rating 97 Rank within Group: 1st
100%
Best in Group
EPS Rating 96 Rank within Group: 1st
100%
Best in Group
Relative Strength Rating 97 Rank within Group: 1st
100%
Best in Group
SMR Rating A Rank within Group: 1st
100%
Best in Group
Acc/Dist. Rating B Rank within Group: 3rd
88%
Composite - Group Leaders
 MNST
    
MONSTER BEVERAGE CORP (Added to My Stock Lists 04/15/15)
 COKE
    
COCA COLA BTLG CONSOL
 DPS
    
DR PEPPER SNAPPLE GROUP
 FIZZ
    
NATIONAL BEVERAGE CORP
 CCE
    
COCA COLA ENTERPRISES
Composite Rating	97	
  GENERAL MARKET AND INDUSTRY GROUP (MNST)
General Market
Market in confirmed uptrend		
Industry Group
Industry Group Rank (1 to 197)	59	
  FUNDAMENTAL PERFORMANCE (MNST)
Current Earnings
EPS Due Date	05/04/2015	
EPS Rating	96	
EPS % Chg (Last Qtr)	64%	
Last 3 Qtrs Avg EPS Growth	42%	
# Qtrs of EPS Acceleration	2	
EPS Est % Chg (Current Qtr)	23%	
Estimate Revisions	N/A	
Last Quarter % Earnings Surprise	22.0%	
Annual Earnings
3 Yr EPS Growth Rate	18%	
Consecutive Yrs of Annual EPS Growth	4	
EPS Est % Chg for Current Year	21%	
Sales, Margin, ROE
SMR Rating	A	
Sales % Chg (Last Qtr)	12%	
3 Yr Sales Growth Rate	12%	
Annual Pre-Tax Margin	30.3%	
Annual ROE	38.5%	
Debt/Equity Ratio	0%	
  TECHNICAL PERFORMANCE (MNST)
Price And Volume
Price	$143.44	
RS Rating	97	
% Off 52 Week High	0%	
Price vs. 50-Day Moving Average	6%	
50-Day Average Volume	1,079,600	
Supply And Demand
Market Capitalization	$24.4 B	
Accumulation/Distribution Rating	B	
Up/Down Volume	1.9	
% Change In Funds Owning Stock	1%	
Qtrs Of Increasing Fund Ownership	5	
How to determine base count?Here is a nice graphic showing how to determine base count and when to combine bases into a single pattern.
Sometimes its hard to know if it's a cup base or a double bottom, as in the case of the cup base #3 (Oct 2013).
I had to go back and watch the EPAM video from Jan 10, 2014 to figure out where the proper buy point was.
ibdtv.investors.com
SIMO strong confirmation out of long cup w/ handleSIMO puts in 3 strong days with high closes since the breakout.
It is now too far extended to buy, but it was almost my pick on 4/13/15, but I went with QLYS instead since it was a bit closer to the buy point at that time, and QLYS had better fundamentals.
  PERFORMANCE WITHIN GROUP (SIMO)
SILICON MOTION TECH ADS RANK WITHIN THE ELEC-SEMICONDCTOR FABLSS GROUP (51 STOCKS)
Composite Rating 99 Rank within Group: 1st
100%
Best in Group
EPS Rating 93 Rank within Group: 5th
92%
Relative Strength Rating 96 Rank within Group: 4th
94%
SMR Rating A Rank within Group: 5th
92%
Acc/Dist. Rating B Rank within Group: 13th
76%
Composite - Group Leaders
AMBA
    AMBARELLA INC 
AVGO
    AVAGO TECHNOLOGIES LTD (Added to My Stock Lists 04/17/15) 
CAVM
    CAVIUM INC 
IDTI
    INTEGRATED DEVICE TECH 
NXPI
    NXP SEMICONDUCTORS N V (Added to My Stock Lists 04/15/15) 
Composite Rating 	99 	
  GENERAL MARKET AND INDUSTRY GROUP (SIMO)
General Market
Uptrend under pressure 		
Industry Group
Industry Group Rank (1 to 197) 	3 	
  FUNDAMENTAL PERFORMANCE (SIMO)
Current Earnings
EPS Due Date 	04/27/2015 	
EPS Rating 	93 	
EPS % Chg (Last Qtr) 	60% 	
Last 3 Qtrs Avg EPS Growth 	63% 	
# Qtrs of EPS Acceleration 	0 	
EPS Est % Chg (Current Qtr) 	175% 	
Estimate Revisions 		
Last Quarter % Earnings Surprise 	2.1% 	
Annual Earnings
3 Yr EPS Growth Rate 	-8% 	
Consecutive Yrs of Annual EPS Growth 	1 	
EPS Est % Chg for Current Year 	26% 	
Sales, Margin, ROE
SMR Rating 	A 	
Sales % Chg (Last Qtr) 	53% 	
3 Yr Sales Growth Rate 	0% 	
Annual Pre-Tax Margin 	24.8% 	
Annual ROE 	19.4% 	
Debt/Equity Ratio 	0% 	
  TECHNICAL PERFORMANCE (SIMO)
Price And Volume
Price 	$33.77 	
RS Rating 	96 	
% Off 52 Week High 	-1% 	
Price vs. 50-Day Moving Average 	18% 	
50-Day Average Volume 	658,000 	
Supply And Demand
Market Capitalization 	$1.1 B 	
Accumulation/Distribution Rating 	B 	
Up/Down Volume 	1.1 	
% Change In Funds Owning Stock 	0% 	
Qtrs Of Increasing Fund Ownership 	0 
HAR pushes for cup breakoutIn Bolting RS lines screen.  
Closing in top of range for last several weeks, near buy point of 145.10.
MF breaking positive, MACD turning positive.
Shallow enough base 11%.
Margins and Sales growth are a bit lacking.
Earnings estimates have been revised down, and are low at 14%.
Harman Intl Industries (HAR)NYSE
04/20/2015 (Market Close)
	 	
 
IBD Stock Checkup for HAR:
99
Copyright 2015 Investor's Business Daily, Inc  
About HAR: MANUFACTURES HIGH QUALITY, HIGH FIDELITY LOUDSPEAKERS, CD PLAYERS, AMPLIFIERS, SUBWOOFERS AND MIXING CONSOLES
General Market Fundamental Checklist Technical Checklist View Chart
Rate A Stock:
  PERFORMANCE WITHIN GROUP (HAR)
HARMAN INTL INDUSTRIES RANK WITHIN THE CONSUMER PROD-ELECTRONIC GROUP (10 STOCKS)
Composite Rating 99 Rank within Group: 1st
100%
Best in Group
EPS Rating 97 Rank within Group: 2nd
90%
Relative Strength Rating 94 Rank within Group: 2nd
90%
SMR Rating A Rank within Group: 3rd
80%
Acc/Dist. Rating B Rank within Group: 3rd
80%
EPS - Group Leaders
 GPRO
    
Gopro Inc Cl A
 HAR
    
Harman Intl Industries (Added to My Stock Lists 04/20/15)
 UEIC
    
Universal Electronics
 SMDM
    
Singing Machine Co Inc
 PLT
    
Plantronics Inc
Composite Rating	99	
  GENERAL MARKET AND INDUSTRY GROUP (HAR)
General Market
Uptrend under pressure		
Industry Group
Industry Group Rank (1 to 197)	38	
  FUNDAMENTAL PERFORMANCE (HAR)
Current Earnings
EPS Due Date	04/30/2015	
EPS Rating	97	
EPS % Chg (Last Qtr)	64%	
Last 3 Qtrs Avg EPS Growth	46%	
# Qtrs of EPS Acceleration	2	
EPS Est % Chg (Current Qtr)	14%	
Estimate Revisions		
Last Quarter % Earnings Surprise	39.8%	
Annual Earnings
3 Yr EPS Growth Rate	28%	
Consecutive Yrs of Annual EPS Growth	4	
EPS Est % Chg for Current Year	33%	
Sales, Margin, ROE
SMR Rating	A	
Sales % Chg (Last Qtr)	19%	
3 Yr Sales Growth Rate	12%	
Annual Pre-Tax Margin	7.6%	
Annual ROE	17.9%	
Debt/Equity Ratio	29%	
  TECHNICAL PERFORMANCE (HAR)
Price And Volume
Price	$142.00	
RS Rating	94	
% Off 52 Week High	-2%	
Price vs. 50-Day Moving Average	5%	
50-Day Average Volume	709,400	
Supply And Demand
Market Capitalization	$9.7 B	
Accumulation/Distribution Rating	B	
Up/Down Volume	1.2	
% Change In Funds Owning Stock	4%	
Qtrs Of Increasing Fund Ownership	1	
CYBR inches close to buy pointI love the company CYBR right now, even though I'm not used to buying these newer hot issues, I think this could be a smart one to buy.  It's at an official IBD buy point, and it has a nice cup with handle pattern, it's a leader in its group and is in a strong group 7/197.  The only concern I have is that it is so volatile.  The last base was 25% drop.  I would like to ideally purchase options to solve the volatility concern.  
  PERFORMANCE WITHIN GROUP (CYBR)
CYBERARK SOFTWARE LTD RANK WITHIN THE COMPUTER SFTWR-SECURITY GROUP (23 STOCKS)
Composite Rating 99 Rank within Group: 1st
100%
Best in Group
EPS Rating 98 Rank within Group: 3rd
91%
Relative Strength Rating 99 Rank within Group: 1st
100%
Best in Group
SMR Rating A Rank within Group: 4th
86%
Acc/Dist. Rating B+ Rank within Group: 1st
100%
Best in Group
EPS - Group Leaders
 PANW
    
Palo Alto Networks
 QLYS
    
Qualys Inc (Added to My Stock Lists 04/15/15)
 CYBR
    
Cyberark Software Ltd
 VDSI
    
Vasco Data Security Intl
 VRSN
    
Verisign Inc
Composite Rating	99	
  GENERAL MARKET AND INDUSTRY GROUP (CYBR)
General Market
Uptrend under pressure		
Industry Group
Industry Group Rank (1 to 197)	7	
  FUNDAMENTAL PERFORMANCE (CYBR)
Current Earnings
EPS Due Date	05/07/2015	
EPS Rating	98	
EPS % Chg (Last Qtr)	200%	
Last 3 Qtrs Avg EPS Growth	87%	
# Qtrs of EPS Acceleration	2	
EPS Est % Chg (Current Qtr)	400%	
Estimate Revisions		
Last Quarter % Earnings Surprise	320.0%	
Annual Earnings
3 Yr EPS Growth Rate	24%	
Consecutive Yrs of Annual EPS Growth	3	
EPS Est % Chg for Current Year	-43%	
Sales, Margin, ROE
SMR Rating	A	
Sales % Chg (Last Qtr)	81%	
3 Yr Sales Growth Rate	41%	
Annual Pre-Tax Margin	15.6%	
Annual ROE	15.8%	
Debt/Equity Ratio	0%	
  TECHNICAL PERFORMANCE (CYBR)
Price And Volume
Price	$62.64	
RS Rating	99	
% Off 52 Week High	-11%	
Price vs. 50-Day Moving Average	13%	
50-Day Average Volume	2,696,400	
Supply And Demand
Market Capitalization	$1.9 B	
Accumulation/Distribution Rating	B+	
Up/Down Volume	1.4	
% Change In Funds Owning Stock	21%	
Qtrs Of Increasing Fund Ownership	1	
Chivas's idea: SHW out of flat base Chivas likes the low volatility and flat shallow base of SHW for his weekly pick.  SHW has good rel strength, has a nice trend going, but there are a few drawbacks as I see it:
1. Lacking vol on breakout
2. Red vol comes in Thursday, 4/16.  
3. Not in a good group rank.  77/197
4. Acc/Dis is D+.
I see these as enough to rule this stock out.
  PERFORMANCE WITHIN GROUP (SHW)
SHERWIN-WILLIAMS CO RANK WITHIN THE CHEMICALS-PAINTS GROUP (5 STOCKS)
Composite Rating 87 Rank within Group: 1st
100%
Best in Group
EPS Rating 88 Rank within Group: 2nd
80%
Relative Strength Rating 86 Rank within Group: 2nd
80%
SMR Rating A Rank within Group: 1st
100%
Best in Group
Acc/Dist. Rating D+ Rank within Group: 5th
1%
Composite - Group Leaders
SHW
    SHERWIN-WILLIAMS CO (Added to My Stock Lists 04/15/15) 
RPM
    R P M INTERNATIONAL INC 
PPG
    P P G INDUSTRIES 
VAL
    VALSPAR CORP 
AXTA
    AXALTA COATING SYSTEMS 
Composite Rating 	87 	
  GENERAL MARKET AND INDUSTRY GROUP (SHW)
General Market
Uptrend under pressure 		
Industry Group
Industry Group Rank (1 to 197) 	77 	
  FUNDAMENTAL PERFORMANCE (SHW)
Current Earnings
EPS Due Date 	07/17/2015 est 	
EPS Rating 	88 	
EPS % Chg (Last Qtr) 	10% 	
Last 3 Qtrs Avg EPS Growth 	22% 	
# Qtrs of EPS Acceleration 	0 	
EPS Est % Chg (Current Qtr) 	23% 	
Estimate Revisions 		
Last Quarter % Earnings Surprise 	-4.2% 	
Annual Earnings
3 Yr EPS Growth Rate 	20% 	
Consecutive Yrs of Annual EPS Growth 	4 	
EPS Est % Chg for Current Year 	23% 	
Sales, Margin, ROE
SMR Rating 	A 	
Sales % Chg (Last Qtr) 	4% 	
3 Yr Sales Growth Rate 	8% 	
Annual Pre-Tax Margin 	11.6% 	
Annual ROE 	64.6% 	
Debt/Equity Ratio 	113% 	
  TECHNICAL PERFORMANCE (SHW)
Price And Volume
Price 	$282.30 	
RS Rating 	86 	
% Off 52 Week High 	-3% 	
Price vs. 50-Day Moving Average 	-1% 	
50-Day Average Volume 	648,600 	
Supply And Demand
Market Capitalization 	$26.9 B 	
Accumulation/Distribution Rating 	D+ 	
Up/Down Volume 	1 	
% Change In Funds Owning Stock 	1% 	
Qtrs Of Increasing Fund Ownership 	5
QLYS bouncing off previous resistance as support?I am using IBD system of buying here, the cloud security sector has been hot, and I like CYBR also, but QLYS is in proper buy zone right now.  I also considered CNC and would like to find a way into NHTC, CBM.  
99 Composite
99 EPS
98 Relative Strength
A SMR
B+ Acc / Distribution
Current Earnings
EPS Due Date 	N/A 	
EPS Rating 	99 	
EPS % Chg (Last Qtr) 	200% 	
Last 3 Qtrs Avg EPS Growth 	123% 	
# Qtrs of EPS Acceleration 	2 	
EPS Est % Chg (Current Qtr) 	N/A 	N/A
Estimate Revisions 	N/A 	
Last Quarter % Earnings Surprise 	66.7% 	
Annual Earnings
3 Yr EPS Growth Rate 	108% 	
Consecutive Yrs of Annual EPS Growth 	1 	
EPS Est % Chg for Current Year 	15% 	
Sales, Margin, ROE
SMR Rating 	A 	
Sales % Chg (Last Qtr) 	26% 	
3 Yr Sales Growth Rate 	20% 	
Annual Pre-Tax Margin 	14.3% 	
Annual ROE 	13.4% 	
Debt/Equity Ratio 	0% 	
  TECHNICAL PERFORMANCE (QLYS)
Price And Volume
Price 	$51.16 	
RS Rating 	98 	
% Off 52 Week High 	-5.42% 	
Price vs. 50-Day Moving Average 	10.88% 	
50-Day Average Volume 	452,800 	
Supply And Demand
Market Capitalization 	$1.8 B 	
Accumulation/Distribution Rating 	B+ 	
Up/Down Volume 	1.3 	
% Change In Funds Owning Stock 	9% 	
Qtrs Of Increasing Fund Ownership 	8 
FB breaks out of 20-week flat baseFB has finally broken out of the long nearly 6 month basing period.  
It is still within it's buyable zone of 5% from 81.26 buy point, according to the IBD system.




















