Penny stocks to buy before earnings this week

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Penny stocks to buy before earnings this week

Second-quarter earnings results so far are rather disappointing as expected. The pathetic performance can be blamed solely on the global outbreak of coronavirus and the consequent lockdowns.Despite this gloomy scenario, several mid-cap (market capital > $1 billion < $6 billion) stocks are expected to beat earnings estimates. Notably, a few mid-cap stocks with top Zacks Rank are likely to beat earnings estimates next week.Disappointing Expectations for Second-Quarter Earnings As of Jul 22, 113 S&P 500 members reported second-quarter 2020 earnings results. Total earnings of these companies are down 45.4% from the same period last year on 5.5% lower revenues. Of the total, 71.7% surpassed EPS estimates and 66.4% outpaced revenue estimates.Overall, second-quarter earnings for the S&P 500 Index are projected to be down 44.3% year over year on 10.3% lower revenues. Notably, first-quarter earnings of companies on the S&P 500 Index were down 13.5% on 1.4% higher revenues.Mid-Cap Stocks in Q2In the second quarter, economic activities were way below last year since lockdowns continued till the third week of May. Moreover, a second wave of COVID-19 in some states since the second half of June has forced them to delay reopening of the economy. Nevertheless, the mid-sized companies were benefitted by massive fiscal and monetary stimulus injected by the U.S. government and the Fed.Aside from three large-cap centric indexes, the S&P 400 Mid Cap Index (SP400) also rallied 23.5% in the second quarter on reopening of the U.S. economy. In fact, investment in mid-cap stocks is recognized as a good portfolio diversification strategy. These stocks combine attractive attributes of both small and large-cap stocks.6 Top-Ranked Mid-Caps Set to Beat Earnings EstimatesWe have narrowed down our search to six Zacks Rank #1 mid-cap stocks slated to release earrings results next week with a positive Earnings ESP. You can see the complete list of today's Zacks #1 Rank stocks here.Our research shows that for stocks with the combination of a Zacks Rank #3 or better and a positive Earnings ESP, the chance of an earnings beat is as high as 70%. These stocks are expected to soar after earnings release. You can uncover the best stocks to buy or sell before they're reported with our Earnings ESP Filter.The chart below shows the price performance of our six picks in the last quarter.Legg Mason Inc. LM provides investment management and related services to company-sponsored mutual funds and other investment vehicles including pension funds, foundations, endowments, sovereign wealth funds, insurance companies, private banks, family offices and individuals. The company has an Earnings ESP of +1.18% for the first quarter of fiscal 2021 (ended June 2020).The Zacks Consensus Estimate for Legg Mason's current-year earnings has improved 6.2% over the last 30 days. It has a trailing four-quarter earnings surprise of 10.4%, on average. The company is set to release earnings results on Jul 27, before the opening bell.Flagstar Bancorp Inc. FBC operates as a savings and loan holding company for Flagstar Bank that provides commercial and consumer banking services to individuals and businesses in the United States. The company has an Earnings ESP of +12.74%.The company has an expected earnings growth rate of 5.5% for the current year. The Zacks Consensus Estimate for the current year has improved by 3.4% over the last 30 days. It has a trailing four-quarter earnings surprise of 17.6%, on average. The company is set to release earnings results on Jul 28, before the opening bell.Sprouts Farmers Market Inc. SFM is a healthy grocery store that provides fresh, natural and organic food products in the United States. It has a unique model that features fresh produce at the center of the store, an expansive bulk food section and a vitamin department focused on overall wellness. The company has an Earnings ESP of +2.63%.The company has an expected earnings growth rate of 35.2% for the current year. The Zacks Consensus Estimate for the current year has improved by 1.2% over the last 30 days. It has a trailing four-quarter earnings surprise of 37.2%, on average. The company is set to release earnings results on Jul 29, after the closing bell.Brunswick Corp. BC designs, manufactures and markets recreation products worldwide. It primarily offers marine engine products. The company has an Earnings ESP of +20.93%.The Zacks Consensus Estimate for Brunswick's current-year earnings has improved 2.4% over the last 30 days. It has a trailing four-quarter earnings surprise of 8.4%, on average. The company is set to release earnings results on Jul 30, before the opening bell.Hanesbrands Inc. HBI designs, manufactures, sources, and sells a range of basic apparel for men, women, and children in the United States. It operates through three segments: Innerwear, Activewear and International. The company has an Earnings ESP of +170.01%.The Zacks Consensus Estimate for Hanesbrands' current-year earnings has improved 6.9% over the last 7 days. The company is set to release earnings results on Jul 30, before the opening bell.Patrick Industries Inc. PATK manufactures and distributes building products and materials for the recreational vehicle, marine, manufactured housing, and industrial markets in the United States and Canada. The company has an Earnings ESP of +12.50%.The Zacks Consensus Estimate for Hanesbrands' current-year earnings has improved 5.5% over the last 7 days. The company is set to release earnings results on Jul 30, before the opening bell.Zacks' Single Best Pick to DoubleFrom thousands of stocks, 5 Zacks experts each picked their favorite to gain +100% or more in months to come. From those 5, Zacks Director of Research, Sheraz Mian hand-picks one to have the most explosive upside of all.With users in 180 countries and soaring revenues, it's set to thrive on remote working long after the pandemic ends. No wonder it recently offered a stunning $600 million stock buy-back plan.The sky's the limit for this emerging tech giant. And the earlier you get in, the greater your potential gain.Click Here, See It Free >> July 24, 2019 4:25 pm ET Order Reprints Print Article Photograph by Dhe Haivan Apple (AAPL) is scheduled to release earnings on July 30 after the market close. And even if you don't own the stock, you may just own the stock. What do I mean? According to Bank of America Merrill Lynch strategist Mary Ann Bartels and team, it is the second-largest holding in U.S. exchange-traded funds to the tune of $57 billion invested in 241 ETFs. ( Microsoft (MSFT), with $70 billion, is the largest U.S. ETF holding.) Exposure within funds, however, can differ based on whether its market-cap or equal weighted--Apple makes up 5% of cap-weighted large-cap funds on average, including 3.6% of the SPDR S&P 500 ETF (SPY), and just 1.8% of large-cap non-cap weighted ETFs. And even in tech funds, Apple's weight can vary: It makes up nearly 17% of the Technology Select Sector SPDR ETF (XLK) but just 0.2% of the First Trust Large Cap Core AlphaDEX ETF (FEX). Whether that's too much Apple or not enough depends on whether you think its recent concerns about waning iPhone demand and other issues--which, it should be said haven't kept its stock from gaining 32% in 2019--are real problems. The folks at Merrill Lynch don't. Their fundamental analyst rates the stock a Buy, while the firm's new Apple indicator suggests a positive sales inflection ahead. Even Stephen Suttmeier, Merrill's technical analyst, got into the act with a report talking about how the stock's "2019 pattern is similar to the bullish setups for the stock after tests of the rising 200-week MA in 2013 and 2016...A decisive break above 210-215 is the catalyst to confirm upside potential to 243." Still, there are plenty of analysts who see downside for Apple, particularly if its services business disappoints, including Rosenblatt Securities analyst Jun Zhang and Goldman Sachs analyst Rod Hall. But that doesn't stop Bartels from recommending the Technology Select Sector SPDR ETF. "Our positive outlook for AAPL is an important factor in our evaluation of the Large Cap and Tech ETFs," she writes. "Our Top Pick within the Tech ETF category is XLK due in large part to the Fund's mkt cap weight = which drives outsized exposure to stocks rated Buy by BofAML analysts (including AAPL)." Apple dipped 0.1% to $208.67 on Wednesday, while the Dow Jones Industrial Average fell 79.22 points, or 0.3%, 27,269.97, and the S&P 500 rose 0.5% to 3019.56, a new record high. Write to Ben Levisohn at Ben.Levisohn@ Apple (AAPL) is scheduled to release earnings on July 30 after the market close. An error has occurred, please try again later. Thank you This article has been sent to Every once in a while you hear about some lucky person who got rich by trading penny stocks. And we're happy for those people ? we really are. But for the average investor, penny stocks are risky business. Let's talk about penny stocks, what they can offer you and what they can't.Check out our retirement planning calculator. Penny Stock DefinedA penny stock is a cheap stock, generally one that sells for less than five dollars and does not trade on a major exchange. Companies that are just starting out or are struggling often issue penny stocks. These trade on "pink sheets" rather than on a major stock exchange. The market for penny stocks is also called an "over-the-counter" (OTC) market because it doesn't come with the same level of oversight that you get on a major market.Penny stocks don't have to register with the SEC or meet SEC requirements. As a result, the penny stock world is sometimes called the "Wild West" of investing. Penny stocks could come from worthless companies, or from shell companies that don't exist at all. You'll be hard pressed to get the fundamentals on the companies that issue penny stocks. That makes it hard to do your due diligence as an investor. It also increases the risk that comes with buying penny stock.Now, there's nothing inherently bad about a penny stock. Some legitimate companies with real growth potential offer them. But the reason penny stocks have a less-than-stellar reputation is that they have a history of high risk, fraud and mis-management. Ever seen Boiler Room? Or The Wolf of Wall Street? Then you'll know that penny stocks can make fortunes for traders and wipe out investors. If you're considering getting into the penny stock game, it's important to be aware of the risks involved. And you better understand stocks before investing at all. The RisksOne risk with penny stocks is that they can be magnets for "pump and dump" schemes. In a pump and dump, traders buy stocks at ultra-low prices. They then inflate ("pump") the price of that stock by misleading potential investors, only to turn around and sell ("dump") the overvalued shares at a high profit. Think traders making cold calls to unsophisticated investors and touting get-rich-quick schemes through penny stocks and you've got a good idea of how pump and dump works.As always with investing, it's a good idea to be suspicious of anything that sounds too good to be true, and check the credentials of brokers and brokerage firms. These days, a scam probably won't come in the form of the cold call on your home phone that's depicted in the movies. Instead, it will likely be an email or website that tempts you into parting with your hard-earned dollars and leaves you with little or nothing to show for it. It could be a "hot tip" in an investing forum that's set up to lure unsuspecting investors. SEC AdviceThe SEC warns that investors in penny stocks should be prepared to lose their entire investment ? or more than that if they buy penny stocks on margin. The SEC also offers some solid tips on avoiding scams. They boil down to: Do Your Research Be Skeptical Take High-Pressure Pitches as a Bad Sign Understand That OTC Stocks Are Higher-Risk The idea behind buying penny stocks is to beat or outsmart the market by buying "undervalued" stocks for low prices and then selling them when the value increases. Some would argue, though, that there's no such thing as an undervalued stock. Let us explain.According to the Efficient Market Hypothesis, the market sets the price of stocks or equity based on all available, reliable information. Folks who believe that markets are efficient would say that if a stock has a low price it has low value, too. That means that there's no such thing as getting a hot tip on an undervalued stock because there are no undervalued stocks.How to Buy Penny StocksIf risk doesn't bother you, you can afford to lose some money and you're drawn to penny stocks, you'll need to employ the services of a stockbroker to get in on the action. Your best bet is probably to start small to see if investing in penny stocks is for you.The TakeawayIf you're someone who enjoys investing as a hobby and a recreational activity, you may be happy riding the roller coaster of penny stocks. Just remember that high-risk trading should be something you do with your "fun money," not your emergency fund or your retirement savings. For money that you're really going to need, you're probably better off building a diversified portfolio of low-cost investments.Of course, penny stocks aren't the only options for first-time investors. You may be interested in the contrast to penny stocks. So-called blue-chip stocks come from established companies with immense revenue streams. Some stocks such as preferred stocks even share bond-like features. So there you have it. Do your homework first. Then, you're ready to start investing on a shoestring.Photo credit: ?arekmalang, ?Renphoto, ?mstahlphoto

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