how to create barcode in vb.net 2010 STOCK SPLIT INVESTING in Software

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Over the past 20 years various studies have gone to great lengths to show that forward stock splits are positive events in about 50 percent of the cases. Looking ahead, about half of the companies do well for the following six- and 12-month period. More recently, studies are showing that forward stock splits are positive for good companies. Of course, a strong economy and bull market help. And that is the main problem with any study concerning the effects of a forward stock split: It is impossible to determine how much of the price growth is due to the split, how much is due to growth, and how much is due to a strong market. All of these factors work together to increase the stock s market price.
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BE PRUDENT, BE NEUTRAL
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The prudent approach is to treat forward splits as neutral events. If the company is a good investment and the lower price after the split makes it a viable candidate for the portfolio, buy the stock. If a price weakness appears after the stock splits, all the better to save some money.
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Buy on Weakness, Sell on Strength
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Buying on weakness, when a stock price is declining, should take place
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carefully and after it has been determined that the company remains fundamentally sound. Many investors have had the unpleasant experience of buying a stock that has dropped in price, only to see it fall further The price of a good stock in a relatively stable market will tend to move up in surges and then hesitate, sometimes even falling back slightly. It will often drift lower, looking for support from new buyers. When it finds support, the price where buyers enter the market, it will rise again. Investors taking early profits often cause the hesitation and drifting. Sometimes this weakness is found in a company that has announced stock buyback programs (and actually does buy back the stock) or has recently increased its dividend. It is usually the stock that had good earnings growth for the same period the previous year. In fact, the earnings probably look good for the preceding three to five years. It is a company that can handle its debt servicing and has a strong balance sheet. It is well managed and one of the growing leaders in its market. The company sticks to the knitting of what it does well, rather than diversifying into unknown areas. It is a company that either is now a dominant force within its own industry or will likely become one.
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NEAR THE TREND LINE
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Alberto-Culver came into the new millennium with an attitude toward price growth a positive attitude. In the time period shown in the chart,
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115 Copyright 2005 by The McGraw-Hill Companies, Inc. Click here for terms of use.
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PART III Strategy
Figure 23-1, any time the price came near the trendline it became a good buy. Those few times it dropped below the trendline, it became an especially good buy. In March 2000 it was effectively trading at $13.50 a share. In March 2004, the stock rose to $46.00 a share, an increase of $32.50, at least a good triple bagger. Even while the rest of the market was fighting bearish moves, Alberto-Culver went into a consolidation and did not retreat. It had strength and was growing in popularity. Notice the steadily advancing volume of trading.
MARKET WEAKNESS
Buying on weakness can be looked at as an alternative to using a limit buy order. It s a way to avoid changing the limit order and chasing a price. First analyze and select stock targets. When the market has an off day (not a suspected turn in the trend), check the price quotes on the targets and place an order to buy.
FIGURE 23 1
Alberto-Culver Company, May 1999 March 2004
$50.00 $45.00 Alberto-Culver Company NYSE: AVC $40.00 $35.00 $30.00 $25.00 Trendline $20.00 $15.00 $10.00
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