Corporate Webpages DeVry, Inc.
The thing about "for profit" schools and universities, is that
when employment is down and economy soft, they tend to do
exceptionally well as men try to retrain for new careers.
However, there are exceptions, such as the "tech wreck" of the
early part of this millenium when schools did less well because
of loss of interest in technical careers.
DeVry offers programs in management (business administration and
project management) and health care as its major sources of
revenue. It also offers technical training in engineering and
electronics, culinary arts, and other subjects. Degrees offered
are associate, bachelor and advanced degrees.
For schools, the key factor is obviously enrollment. DeVry has
around 70,000 students nationwide. A big factor helping or
hindering enrollment is the availability of students loans or
lack thereof. For-profit schools have often had to battle
discrimination in getting grants against the belief that only
well-off students could afford to go to these schools.
The company is currently extremely well-liked by some
researchers and analysts, for both fundamental and technical
reasons. It looks forward to continued high growth.
A key factor in maintaining enrollment is the success graduates
have in finding jobs, so DeVry maintains a very large employment
operation to help students find work.
DeVry stock soared in 2004 on speculation that it was a takeover
target by some unknown entity. However, it has a poison pill
tactic that allows shareholders to buy stock at
half-market-price if some acquires 15% or more of the company's stock.
It is not surprising then that no insider owns more than 10% of
the company's stock including the founder.
We consider the stock a "channeling stock" near the top of its
trading range. This could suggest that as the economy gets
better and unemployment falls, enrollment could go down.
News on the stock seems to consist primarily of new campuses opening
up across the country which obviously helps enrollment.
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Company Profile |
Company History |
News |
Comparison |




Similar Companies Performance:
Bond Issue |
Zenith Index |
DeVry, Inc. (DV ) Sector: Services
One Tower Lane Industry: Education & Training Services
Suite 1000 Exchange: NYSE
Oakbrook Terrace, IL
DeVry Inc., through its wholly owned subsidiaries, owns and operates
DeVry University, Advanced Academics, Ross University, Chamberlain
College of Nursing, and Becker Professional Review. DeVry University
offers associate, bachelor, and master degree programs in
technology, healthcare technology, business, and management at 94
locations in the United States and Canada, as well as through online
platform; and graduate degree programs in management through its
Keller Graduate School of Management. Advanced Academics provides
online secondary education to school districts in the United States.
Ross University offers medical and veterinary medical education
through Ross University School of Medicine located in the Caribbean
country of Dominica and Ross University School of Veterinary
Medicine located in St. Kitts. Chamberlain College of Nursing
provides various nursing degree and degree completion programs at
its campuses in St. Louis, Missouri; Columbus, Ohio, Phoenix,
Arizona; Addison, Illinois; and Jacksonville, Florida, as well as
online. Becker Professional Review prepares candidates for the
Certified Public Accountant and Chartered Financial Analyst
professional certification examinations, as well as the Project
Management Professional certification examination; and offers
professional education programs and seminars in accounting and
finance. These classes are taught in approximately 300 locations,
including sites in 40 foreign countries and DeVry University
teaching sites. The company was founded in 1931 and is headquartered
in Oakbrook Terrace, Illinois.
Last Trade: 53.89 52-Week Range: 64.69 - 38.19
Trade Date: 09-26 Avg. Volume: 682,569 Shares
Index Membership: S&P 500 Employees: 8,399
Corporate Governance:
DeVry, Inc.'s Corporate Governance Quotient (CGQ-«) as of 1-Sep-09 is
better than 11.4% of S&P 500 companies and 64.9% of Consumer
Services companies.
EPS: 2.28 Dividend Amount: $ 0.16 Yield: 0.30%
Ex-Dividend Date: 12-Jun-09 Mkt Cap: $ 3,840,000K
Payout Ratio: 6.00%
Last Split Factor (new for old): 2:1 Split Date: 22-Jun-98
Key Statistics:
Enterprise Value: $ 3,730,000K Revenue (ttm) : $ 1,460,000K
Gross Profit: $ 791,780K
Earnings before Income Tax, Depreciation and Amortization: $ 294,160K
Enterprise Value/Revenue (ttm): 2.56 Revenue per Share: $ 20.44
Enterprise Value/EBITDA (ttm): 12.69 Qtrly Rev Growth (y to y): 43.10%
P/E Ratio (fwd projected): 14.85 P/E Ratio (current): 23.59
P/E Growth Ratio (5 yr expected): 0.81 Operating Margin: 16.68%
Price/Sales Ratio: 2.65 Profit Margin: 11.33%
Price/Book Value: 4.19 Book Value: $ 13.01/sh.
Return on Assets: 12.42% Net Income Avl to Common: $ 165,610K
Return on Equity: 19.56% Diluted Earnings/Share: $ 2.28
Qrtly Earnings Growth (yoy): 50.70%
Balance Sheet Items : Cash Flow Items (ttm):
(most recent qrtr) (trailing 12 mo.)
Total Cash: $ 225,380K Operating Cash Flow:$ 249,530K
Total Debt: $ 124,810K Lvgd Free Cash Flow:$ 149,520K
Total Debt/Equity: 0.00
Total Cash/Share: $ 3.17
Current Ratio: 0.98
Share Statistics: Stock Price History:
Shares Outstanding: 71,160K Stk 52-Week Change: 2.63%
Float: 62,280K S&P 500 52-Wk Chng: -13.92%
Sh. Short % of Float: 3.10% 50-Day Moving Avg: 52.16
Short Ratio: 2.80 200-Day Moving Avg: 47.52
% Held by Institutions: 77.80% Beta: 0.23
% Held by Insiders: 22.45%
Analysts' Estimates: Cur. Qtr Next Qtr Cur. Year Next Year
___________________________ Sep-09 Dec-09 Jun-10 Jun-11
Average Earnings Estimate 0.65 0.78 3.00 3.63
Average Revenue Estimate 415M 450M 1,790M 2,070M
Factors Comparing This Company to Its Industry Leader (1.0 = Average):
Long Term EPS Growth Rate (5 yr): 0.057 EPS Growth (Qrtly YoY): 0.109
PEG Ratio (ttm, 5 yr expected): 0.179 P/E Ratio (ttm): 0.166
Revenue Growth (Qrtly YoY): 0.353
Annual Income Statements: All numbers in thousands)
Period Ending 30-Jun-09 30-Jun-08 30-Jun-07
Total Revenue 1,461,453 1,091,833 933,473
Cost of Revenue 669,673 925,755 486,721
Gross Profit 791,780 166,078 446,752
Operating Expenses:
Research & Development 0 0 0
Selling, General & Administrative 548,070 0 359,025
Non-Recurring Expenses 8,877 3,743 -14,560
Other Operating Expenses 0 0 0
Total Operating Expenses 0 0 0
Operating Income or Loss 234,833 162,335 102,287
Income from Continuing Operations:
Total Other Income/Expenses Net 5,294 10,463 7,437
Earnings Before Interest & Taxes 240,127 172,798 109,724
Interest Expense 2,775 522 4,784
Income Before Taxes 237,352 172,276 104,940
Income Tax Expense 71,700 46,744 28,752
Minority Interest -39 0 0
Net Income from Continuing Op.s 165,613 125,532 76,188
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 165,613 125,532 76,188
Preferred Stock & Other Adjustmnts 0 0 0
Net Income Avail To Common Shares 165,613 125,532 76,188
Quarterly Income Statements: All numbers in thousands)
Period Ending 30-Jun-09 31-Mar-09 31-Dec-08 30-Sep-08
Total Revenue 396,239 391,882 369,615 303,717
Cost of Revenue 184,752 178,201 167,107 139,613
Gross Profit 211,487 213,681 202,508 164,104
Operating Expenses:
Research & Development 0 0 0 0
Selling, General & Adminis. 152,893 137,917 139,968 117,292
Non-Recurring Expenses 4,900 3,977 0 0
Other Operating Expenses 0 0 0 0
Total Operating Expenses 0 0 0 0
Operating Income or Loss 53,694 71,787 62,540 46,812
Income from Continuing Operations:
Total Other Income/Expenses Net 1,414 1,746 -8 2,142
Earnings Before Int. & Taxes 55,108 73,533 62,532 48,954
Interest Expense 762 484 1,176 353
Income Before Taxes 54,346 73,049 61,356 48,601
Income Tax Expense 17,275 22,163 18,491 13,771
Minority Interest -39 0 0 0
Net Income from Continuing Op.s 37,032 50,886 42,865 34,830
Non-recurring Events:
Discontinued Operations 0 0 0 0
Extraordinary Items 0 0 0 0
Effect of Accounting Changes 0 0 0 0
Other Items 0 0 0 0
Net Income 37,032 50,886 42,865 34,830
Preferred Stock & Other Adj.s 0 0 0 0
Net Income Avail To Common Shs 37,032 50,886 42,865 34,830
Annual Balance Sheets: All Numbers in Thousands
Period Ending 30-Jun-09 30-Jun-08 30-Jun-07
Current Assets:
Cash & Cash Equivalents 170,541 221,312 143,638
Short Term Investments 60,174 2,308 0
Net Receivables 125,975 70,189 56,999
Inventory 0 0 141
Other Current Assets 28,756 31,779 18,207
Total Current Assets 385,446 325,588 218,985
Long-Term Investments 0 57,171 0
Property, Plant & Equipt 307,571 239,315 259,327
Goodwill 512,568 308,024 291,113
Intangible Assets 203,195 62,847 56,920
Accumulated Amortization 0 0 0
Other Assets 25,519 25,411 17,768
Deferred Long Term Asset Charges 0 0 0
Total Assets 1,434,299 1,018,356 844,113
Current Liabilities:
Accounts Payable 212,542 169,815 128,527
Short/Current Long Term Debt 104,811 0 0
Other Current Liabilities 74,664 40,877 37,348
Total Current Liabilities 392,017 210,692 165,875
Long Term Debt 20,000 0 0
Other Liabilities 0 3,893 4,901
Deferred LT Liability Charges 92,152 47,782 31,371
Minority Interest 3,188 0 0
Negative Goodwill 0 0 0
Total Liabilities 507,357 262,367 202,147
Stockholder Equity:
Misc. Stocks Options Warrants 0 0 0
Redeemable Perferred Stock 0 0 0
Preferred Stock 0 0 0
Common Stock 729 724 716
Retained Earnings 791,677 627,064 510,979
Treasury Stock -69,717 -37,241 -12,391
Capital Surplus 197,096 168,405 143,580
Other Stockholder Equity 7,157 -2,963 -918
Total Stockholder Equity 926,942 755,989 641,966
Net Tangible Assets 211,179 385,118 293,933
Quarterly Balance Sheets: All Numbers in Thousands
Period Ending 30-Jun-09 31-Mar-09 31-Dec-08 30-Sep-08
Current Assets:
Cash & Cash Equivalents 170,541 317,225 235,274 191,623
Short Term Investments 60,174 1,743 1,861 2,136
Net Receivables 125,975 197,804 153,914 170,289
Inventory 0 0 0 0
Other Current Assets 28,756 33,033 33,903 28,279
Total Current Assets 385,446 549,805 424,952 392,327
Long-Term Investments 0 70,911 71,207 57,128
Property, Plant & Equipt 307,571 277,738 264,830 260,648
Goodwill 512,568 494,579 494,488 523,395
Intangible Assets 203,195 184,654 187,612 140,632
Accumulated Amortization 0 0 0 0
Other Assets 25,519 13,182 11,798 24,626
Deferred LT Asset Charges 74,664 276,104 181,616 173,953
Total Assets 1,434,299 1,590,869 1,454,887 1,398,756
Current Liabilities:
Accounts Payable 212,542 195,272 181,018 187,869
Current Portion LT Debt 104,811 115,063 135,124 145,876
Other Current Liabilities 0 0 0 0
Total Current Liabilities 392,017 586,439 497,758 507,698
Long Term Debt 20,000 20,000 20,000 20,000
Other Liabilities 0 0 0 0
Deferred LT Liab. Charges 92,152 98,229 96,960 73,305
Minority Interest 3,188 0 0 0
Negative Goodwill 0 0 0 0
Total Liabilities 507,357 704,668 614,718 601,003
Stockholder Equity:
Misc. Options, WarrantS 0 0 0 0
Redeemable Perferred Stock 0 0 0 0
Preferred Stock 0 0 0 0
Common Stock 729 729 726 725
Retained Earnings 791,677 749,913 699,027 661,894
Treasury Stock -69,717 -51,993 -41,811 -36,545
Capital Surplus 197,096 186,815 181,758 174,236
Other Stockholder Equity 7,157 737 469 -2,557
Total Stockholder Equity 926,942 886,201 840,169 797,753
Net Tangible Assets 211,179 206,968 158,069 133,726
Annual Cash Flow: All Numbers in Thousands
Period Ending 30-Jun-09 30-Jun-08 30-Jun-07
Net Income 165,613 50,886 76,188
Operating Activites:
Depreciation 50,450 39,874 44,007
Adjustments to Net Income 83,907 64,597 40,808
Changes in Accounts Recv'bls -89,249 -59,952 -47,739
Changes in Liabilities 32,610 40,088 10,984
Changes in Inventories 0 0 -2
Changes in Other Op'ing Actv's 0 -11,493 930
Total Cash Flow fr Operations 249,526 198,646 125,176
Investing Activities:
Capital Expenditures -74,044 -62,806 -38,558
Investments -63 -62,159 0
Other Cash Flows fr Investing 0 24,968 36,642
Total Cash Flows fr Investing -389,386 -99,997 -1,916
Financing Acitivies:
Dividends Paid -10,015 -7,840 -3,545
Sale or Purchase of Stock -19,461 -5,741 3,339
Net Borrowings 112,071 -1,895 -125,000
Other Cash Flows fr Financing 3,571 4,201 972
Total Cash Flows fr Financing 86,166 0 -99,997
Effect of Exchange Rate Change 1,697 670 -454
Change in Cash & Cash Equiv.s -51,997 88,044 -1,428
Quarterly Cash Flow: All Numbers in Thousands
Period Ending 30-Jun-09 31-Mar-09 31-Dec-08 30-Sep-08
Net Income 37,032 50,886 42,865 34,830
Operating Activites:
Depreciation 14,073 13,273 13,327 9,777
Adjustments to Net Income 19,897 23,937 21,877 18,196
Changes in Accounts Recv'bls 59,678 -61,407 -1,078 -86,442
Changes in Liabilities -195,617 114,502 -5,210 118,935
Changes in Inventories 0 0 0 0
Changes in Other Oper'g Acts 26,531 7,968 -29,826 1,522
Total Cash Flow f Operations -38,406 149,159 41,955 96,818
Investing Activities:
Capital Expenditures -23,336 -25,500 -14,570 -10,638
Investments -14 -12 -24 -13
Other Cash Flows fr Investing -27,817 -962 -246 -286,254
Total Cash Flows fr Investing -51,167 -26,474 -14,840 -296,905
Financing Acitivies:
Dividends Paid 0 -5,733 0 -4,282
Sale or Purchase of Stock -16,611 -6,826 558 3,418
Net Borrowings -22,992 -20,061 -10,752 165,876
Other Cash Flows fr Financing 221 1,255 1,675 420
Total Cash Flows fr Financing 0 333 1,671 515
Effect of Exchange Rate Chg 0 0 0 0
Change in Cash & Cash Equiv. -129,777 91,653 20,267 -34,140
DV DeVry, Inc. [Indices near +3.0 or near zero,
or < zero bear special attention.]
P/E Ratio Tests:
Current P/E Ratio < 28? 1.1869 P/E Ratio > 5? 1.0000
P/E Ratio Vs Growth Rate: 0.4300 Forward P/E Ratio < 28? 1.8855
Sales Tests:
Price/Sales Ratio < 2.3? 0.8679 Inventory/Sales < 5%? 1.0000
Sales < $1 billion? 0.6843 Operating Margin < 7.5%? 0.4496
Balance Sheet Tests:
Debt/Equity < 0.40? 1.0000 Long-Term Debt Service: 3.0000
LTD Being Reduced? 0.0000 Short-Term Debt Service: 3.0000
Current Ratio > 2? 0.4915 Working Capital >= 1.5? 2.0341
Leverage Ratio < 20%? 3.0000 Debt / Assets < 1? 3.0000
Quick Ratio > 1? 0.7564 Inventory Turnover > 1? 1.0000
Shares Out Decreasing? 3.0000 Market Cap.> 1.5 Billion? 0.3906
Profit Margin > 7.5%? 1.5106
Income Tests:
Dividend Yield > 2.0%? 3.0000 EPS Annual Growth > 10%? 0.0000
Enterprise Value/Revenue: 1.7067 EPS 5-yr Growth > 20%? 0.0000
Enterprise Value/EBITDA: 1.8136 EPS Growth Consistent? 2.4000
EPS Qrtly Growth > 10%? 3.0000 Collection < 45 days? 1.4303
Rev. Qtrly Growth > 15%? 3.0000 Gross Pft/Cur. LTD < 1? 3.0000
EPS Annual Growth > 10%? 0.0000 Borrowing Int. Rate< 6%? 0.6785
Stock Performance Tests:
Volatility > 25%? 2.0607 % Held by Insiders < 5%? 0.2227
Beta > 1.25? 0.1840 % Held by Institut. < 50? 0.6427
50 Da MA > 200 Da MA? 0.2583 % Held by Institut. > 30? 2.5933
52-Wk Change vs. S&P 500: -0.9280 Short Ratio > 5? 0.5600
Price/Book Value < 3? -0.1900 Short % of Float > 20? 0.1550
Return on Assets > 17%? 0.7306 Average Volume > 100,000? 3.0000
Cash Flow Tests:
Oper. C.F. > Lever'd C.F: 1.6689 Positive Free Cash Flow? 1.0000
Positive Oper. Cash Flow? 1.0000 Price to C.F./sh. Ratio: 1.8344
Cash Flow / Assets >.10? 1.0425
DV DeVry, Inc. Overall Zenith Index: 1.3390
Financial Statements |
Financial Ratios |

Market Grader |

Intrinsic Value |
Intrinsic Value by Discounted Cash Flow Method:

Intrinsic Value |
Intrinsic Value by Projected Earnings Growth Method:

Stock Scout |
We find "Scout" to be a bit biased toward the high end, so anything under a 6 is considered a negative, 6 and above, positive.

Projected Earnings |


Research Reports |
Analysts' Opinions |




Insider Activity |
Institutional Activity |
Institutional Orders to Buy or Sell:
Sentiment |
Zenith uses the "sentiment" score above or below 50 to award a positive or negative point in the Decision Matrix.

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.
Stock Report |
Management's Discussion of Results of Operations Excerpts |
Moving Average Chart |
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 DeVry Inc.:
Symbol? DV
Total Months Available: 117
Months in Cycle? 4
Months Covered by Periods: 12
Period 1 Period 2 Period 3
H1 L1 H2 L2 H3 L3
64.69 40.67 61.50 38.19 56.90 41.40
RANGE = 64.69 TO 38.19 Close = 54.51
CHANNEL = 56.90 TO 41.40 Degree = 6
Volatility = 28.44% Index = 17
Intraday Chart |
20 Days:
1 Day:
The following table details which MACD signals on the preceding chart are best taken. Originally, this was set up for a two-day span, but ten days gives a better sample. Unfortunately, with the 10-day span, the colored lines on the histogram are much harder to read. Both spans are shown above. Red turning into green on the histogram is a buy and green turning into red is a sell, but with the following conditions. The share price must have moved at least 0.2% away from the previous signal price in order to avoid whipsawing. More importantly, the +/- magnitude of the MACD (the blue line, which crosses the red line at signal time) must be greater than the minimum required magnitude indicated below. Otherwise, the signal is ignored. DV Minimum Magnitude MACD for Action = ± 0.0500 Ticker Day Time Hist. MACD Sig Line Act Price Profit DV 15 06:34 0.0267 0.0780 0.0513 B 51.42 0.00 DV 15 06:46 -0.0044 0.1043 0.1088 S 51.25 -0.33 DV 16 06:30 0.0040 -0.0081 -0.0121 51.36 -0.45 DV 16 08:17 0.0003 -0.0678 -0.0681 B 50.83 -0.45 DV 16 11:36 -0.0003 0.0563 0.0566 S 51.18 0.24 DV 17 06:30 -0.0154 0.0126 0.0280 51.26 1.09 DV 17 07:24 0.0009 -0.0508 -0.0518 B 50.94 1.09 DV 17 07:58 -0.0019 0.0571 0.0590 S 51.14 1.48 DV 17 08:00 0.0024 0.0615 0.0591 B 51.29 1.19 DV 17 08:02 -0.0041 0.0547 0.0587 S 51.17 0.95 DV 17 08:10 0.0024 0.0500 0.0476 B 51.35 0.60 DV 17 10:57 -0.0012 0.0613 0.0625 S 51.61 1.11 DV 17 11:33 0.0011 0.0749 0.0738 B 52.06 0.24 DV 17 12:01 -0.0014 0.0625 0.0638 S 52.17 0.45 DV 18 06:30 0.0114 -0.0035 -0.0150 52.46 1.21 DV 18 07:16 0.0016 -0.0641 -0.0657 B 52.13 1.21 DV 18 10:14 -0.0001 0.0652 0.0653 S 52.49 1.91 DV 21 06:30 -0.0014 0.0159 0.0173 52.49 2.60 DV 21 07:04 0.0108 -0.1146 -0.1254 B 52.01 2.60 DV 21 08:28 -0.0005 0.3098 0.3102 S 53.64 5.73 DV 21 08:37 0.0212 0.2701 0.2489 B 54.29 4.52 DV 21 08:43 -0.0092 0.2577 0.2669 S 54.05 4.08 DV 21 08:51 0.0054 0.2246 0.2192 B 54.47 3.30 DV 21 10:34 -0.0098 0.2775 0.2874 S 55.76 5.67 DV 21 11:02 0.0030 0.1026 0.0996 B 56.20 4.88 DV 21 11:07 -0.0049 0.0996 0.1045 S 56.01 4.54 DV 22 05:28 -0.0668 0.0083 0.0750 56.50 5.07 DV 22 06:51 0.0000 -0.3195 -0.3196 B 55.07 5.07 DV 22 07:00 -0.0029 -0.2805 -0.2776 S 54.52 4.08 DV 22 07:08 0.0020 -0.2900 -0.2920 B 54.32 4.44 DV 22 07:33 -0.0019 -0.0551 -0.0532 S 54.44 4.66 DV 22 07:56 0.0065 0.0835 0.0769 B 55.16 3.34 DV 22 08:00 -0.0016 0.0839 0.0855 S 55.02 3.09 DV 22 08:24 0.0060 0.0507 0.0447 B 55.26 2.65 DV 22 09:26 -0.0032 0.0902 0.0934 S 55.46 3.01 DV 22 12:41 0.0014 0.0625 0.0611 B 55.74 2.51 DV 23 06:30 -0.0421 -0.1296 -0.0876 55.47 2.49 DV 23 06:37 -0.0003 -0.0855 -0.0852 S 55.12 2.49 DV 23 08:00 0.0015 -0.0776 -0.0790 B 54.85 2.98 DV 23 08:06 -0.0003 -0.0739 -0.0736 S 54.73 2.76 DV 23 12:10 0.0031 -0.0508 -0.0539 B 55.21 1.88 DV 23 12:16 -0.0054 -0.0554 -0.0500 S 55.04 1.58 DV 24 06:32 0.0072 0.0069 -0.0003 55.16 1.49 DV 24 07:11 0.0002 -0.1196 -0.1199 B 54.61 1.49 DV 24 07:17 -0.0027 -0.1183 -0.1156 S 54.39 1.08 DV 24 07:21 0.0081 -0.1094 -0.1175 B 54.50 0.88 DV 24 07:45 -0.0010 -0.0591 -0.0582 S 54.24 0.40 DV 24 08:07 0.0030 -0.0953 -0.0983 B 54.04 0.77 DV 24 11:41 -0.0006 0.0521 0.0527 S 54.48 1.59 DV 25 06:30 -0.0098 -0.0256 -0.0157 54.54 2.51 DV 25 07:19 0.0050 -0.0905 -0.0955 B 54.35 2.51 DV 25 13:01 0.0156 -0.0061 -0.0217 54.19 2.21
Stock Fetcher |
Point & Figure Chart |

Wall Street Analyzer |
Marketspace Chart |
Time Series Forecast |
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."
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Ultimate Trading Systems |
The corresponding trades for the above chart are shown in tabular form below.
Recommendation |
| Factors | Weighted Points |
|---|---|
| News | + 1 |
| Comparison | - 1 |
| Industry | + 1 |
| Bond Issue | 0 |
| Zenith Index | + 1 |
| GAAP vs. non-GAAP Earnings < 1% | + 1 |
| Cash Flow | + 1 |
| Ratios | + 1 |
| Market Grader | + 1 |
| Intrinsic Value DCF | + 1 |
| Intrinsic Value DDM | + 1 |
| Stock Scout | + 1 |
| Projected Earnings | + 1 |
| Research Reports | 0 |
| Analysts | + 1 |
| Executive Perquisites | + 1 |
| Insider Activity | - 1 |
| Institutional Activity | + 1 |
| Management Reporting | - 1 |
| Short Interest | + 1 |
| Sentiment | + 1 |
| Standard & Poor's | - 1 |
| Moving Average | + 1 |
| Stock Fetcher | - 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 | + 13 |
Place 560 shares of DeVry, Inc. (DV) on the Active List.