(stock #'s in %)
Market up 75/15/6. Volume ended heavy (options Friday). Oil under $88.
US household net worth declined $149B in Q2 to $58.5T. Rose 7.4% rate in Q1.
Europe ruled out stimulus, ignoring Geithner.
AMPD up 55. Convert vehicles to electric. A local (Cincinnati) firm. I saw they are moving operations to a larger facility. Took them above all their lines. Not much revenue. Yet.
PSPW up 29. Back above all their lines. Near double in last 4 days. Most of gain came just before close. $.5M revs last Q, $79M evaluation. And they're a solar, the sector has been getting killed. Baffling.
KIOR up 27, new high. Deutsche initiated coverage with a buy. Non-food based biofuels. Now $2B evaluation. I can't find any revenue, though.
VNDB up 25. LIME up 20. No news. A push off the bottom. WTWO, WWPW up 18. SNRY up 17. ENER up 8. SATC up 7, at 50-day lines. PLUG up 6, also working through 50-day lines. CSUN up 4, the only Chinese (Nasdaq) solar doing relatively well.
WPNV down 66. WNEA down 31. MKTY down 28. CLNO down 27. CPWY, LMCO down 25. AMLM down 20. BWEN down 16 on that shelf. PPRW down 15. INTK down 13. AMSC down 11 more. EVSI, GRHU, HOKU down 11. PEIX down 9. Back on the bottom. Ditto BIOF. HEV down 8, new low. SPWRA down 6, new low. JASO down 4, new low. CSIQ down 3, made a new low.
That's all I found. Trails, pards.
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