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Top Rated Stocks

By TheStreet Ratings Staff

TheStreet Ratings' stock model compiles and examines all available financial data on a daily basis to gauge a stock's probability of moving up or down. The model scores stocks on various factors -- including growth, financial solvency, stock price performance and volatility -- which, when taken together, have shown strong correlation with future stock performance. The aim is to deliver investors with stock ideas that we feel have the best chance at delivering top risk-adjusted returns.

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Airlines Auto Components & Parts
Automobiles Aerospace & Defense
Beverages Biotechnology
Building Products Capital Markets
Chemicals Commercial Banks
Commercial Services Construction & Engineering
Construction Materials Consumer Finance
Consumer Services Containers & Packaging
Communications Equipment Computer Hardware
Distributors Diversified Financial Services
Electrical Equipment Electronic Instruments
Electric Utilities Energy Equipment Services
Food & Staples Food Products
Freight Services & Logistics Gas Utilities
Healthcare Providers Healthcare Equipment
Healthcare Technology Household Durable Goods
Household Products Independent Power Producers
Industrial Conglomerates Insurance
Internet Catalog & Retail Internet Software & Services
IT Services Leisure Goods & Products
Life Sciences Machinery
Marine Metals & Mining
Media Multiline Retail
Multi-Utilities Office Equipment
Oil, Gas & Consumable Fuel Paper & Forest Products
Personal Products Professional Services
REITs Real Estate Management
Restaurants & Hotels Road & Rail
Semiconductors Software
Specialty Retail Telecommunications
Textiles & Apparel Thrift & Mortgage Companies
Tobacco Trading Companies & Distributors
Transportation Infrastructure Water Utilities
Wireless

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What Our Stock Ratings Mean:

A (Excellent) - The stock has an excellent track record for maximizing performance while minimizing risk, thus delivering the best possible combination of total return on investment and reduced volatility. It has made the most of the recent economic environment to maximize risk-adjusted returns compared to other stocks. While past performance is just an indication -- not a guarantee -- we believe this fund is among the most likely to deliver superior performance relative to risk in the future as well.

B (Good) - The stock has a good track record for balancing performance with risk. Compared to other stocks, it has achieved above-average returns given the level of risk in its underlying investments. While the risk-adjusted performance of any stock is subject to change, we believe that this fund has proven to be a good investment in the recent past.

C (Fair) - In the trade-off between performance and risk, the stock has a track record which is about average. It is neither significantly better nor significantly worse than most other stocks. With some funds in this category, the total return may be better than average, but this can be misleading since the higher return was achieved with higher than average risk. With other funds, the risk may be lower than average, but the returns are also lower. In short, based on recent history, there is no particular advantage to investing in this fund.

D (Weak) - The stock has underperformed the universe of other funds given the level of risk in its underlying investments, resulting in a weak risk-adjusted performance. Thus, its investment strategy and/or management has not been attuned to capitalize on the recent economic environment. While the risk-adjusted performance of any stock is subject to change, we believe that this fund has proven to be a bad investment over the recent past.

E (Very Weak) - The stock has significantly underperformed most other funds given the level of risk in its underlying investments, resulting in a very weak risk-adjusted performance. Thus, its investment strategy and/or management has done just the opposite of what was needed to maximize returns in the recent economic environment. While the risk-adjusted performance of any stock is subject to change, we believe this fund has proven to be a very bad investment in the recent past.

+ (Plus Sign) - An indication that the fund is in the top third of its letter grade.

- (Minus Sign) - An indication that the fund is in the bottom third of its letter grade.

U (Unrated) - The stock is unrated because it is too new to make a reliable assessment of its risk-adjusted performance. Typically, a fund must be established for at least three years before it is eligible to receive a TheStreet Investment Rating.

A & B Ratings - Are considered to be a Buy.

C Ratings - Are considered to be a Hold.

D & E Ratings - Are considered to be a Sell.

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DOW 15,303.10 8.60 0.06%
NASDAQ 3,459.14 -0.28 -0.01%
S&P 500 1,649.60 -0.91 -0.06%
US 10 Yr 2.011% -0.012

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