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Richard Aster Jr Buys J.B. Hunt Transport Services Inc., Nyse Euronext, The Buckle Inc., Sells Vulcan Materials Company, Tiffany & Co., Johnson Controls Inc.

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Nov. 20, 2009 | Filed Under: VAL , CCJ , ADSK , DNB , NBL , RCL , HTLD , BDK , ARG , BAX , TRV , AMTD

Richard Aster Jr - Richard Aster Jr Buys J.B. Hunt Transport Services Inc., Nyse Euronext, The Buckle Inc., Sells Vulcan Materials Company, Tiffany & Co., Johnson Controls Inc.

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Richard Aster Jr buys J.b. Hunt Transport Services Inc., Bmc Software Inc., Biomarin Pharmaceutical Inc., Sunpower Corp., Lincoln Electric Holdings Inc., Curtisswright Corp., Constellation Energy Group Inc., Ryder System Inc., Pharmaceutical Product Development Inc., Nyse Euronext, Nucor Corp., The Buckle Inc., Hudson City Bancorp Inc., Aflac Inc., sells C.r. Bard Inc., Vulcan Materials Company, Tiffany & Co., Marvel Entertainment Inc., Johnson Controls Inc., Jack In The Box Inc., Harleydavidson Inc., Cbs Corp., Burger King Holdings Inc., Verisign Inc. during the 3-months ended 09/30/2009, according to the most recent filings of his investment company, Meridian Fund. Richard Aster Jr owns 152 stocks with a total value of $2.3 billion. These are the details of the buys and sells.

For the details of Richard Aster Jr's stock buys and sells, go to http://www.gurufocus.com/StockBuy.php?GuruName=Richard+Aster+Jr

This is the sector weightings of his portfolio:

Industrials 23.9%
Technology 21.4%
Financials 14.9%
Consumer Services 9.8%
Consumer Goods 8.5%
Oil & Gas 7.3%
Health Care 7.1%
Basic Materials 5.8%
Utilities 0.9%


These are the top 5 holdings of Richard Aster Jr

  1. Mattel Inc. (MAT) - 3,160,953 shares, 2.58% of the total portfolio
  2. Willis Group Holdings Ltd. (WSH) - 2,049,448 shares, 2.56% of the total portfolio
  3. Adobe Systems Inc. (ADBE) - 1,616,925 shares, 2.36% of the total portfolio
  4. Zebra Technologies Corp. (ZBRA) - 1,899,633 shares, 2.18% of the total portfolio
  5. Diebold Inc. (DBD) - 1,204,800 shares, 1.75% of the total portfolio


Added: The Valspar Corp. (VAL)

Richard Aster Jr added to his holdings in The Valspar Corp. by 7349.02%. His purchase prices were between $21.89 and $28.35, with an estimated average price of $25.81. The impact to his portfolio due to this purchase was 1.51%. His holdings were 1,258,885 shares as of 09/30/2009.

The Valspar Corp. has a market cap of $2.77 billion; its shares were traded at around $27.49 with a P/E ratio of 16.7 and P/S ratio of 0.8. The dividend yield of The Valspar Corp. stocks is 2.1%. The Valspar Corp. had an annual average earning growth of 9.1% over the past 10 years. GuruFocus rated The Valspar Corp. the business predictability rank of 4.5-star.

Added: Cameco Corp. (CCJ)

Richard Aster Jr added to his holdings in Cameco Corp. by 389.23%. His purchase prices were between $23.27 and $30.38, with an estimated average price of $27.27. The impact to his portfolio due to this purchase was 0.84%. His holdings were 865,445 shares as of 09/30/2009.

Cameco Corp. has a market cap of $11.88 billion; its shares were traded at around $30.25 with a P/E ratio of 26.8 and P/S ratio of 4.5. The dividend yield of Cameco Corp. stocks is 0.7%. Cameco Corp. had an annual average earning growth of 31.8% over the past 5 years.

Added: Autodesk Inc. (ADSK)

Richard Aster Jr added to his holdings in Autodesk Inc. by 101.44%. His purchase prices were between $17.01 and $25.38, with an estimated average price of $22.25. The impact to his portfolio due to this purchase was 0.68%. His holdings were 1,287,855 shares as of 09/30/2009.

Autodesk Inc. has a market cap of $5.53 billion; its shares were traded at around $24.05 with a P/E ratio of 29.7 and P/S ratio of 2.4. Autodesk Inc. had an annual average earning growth of 14.7% over the past 10 years.

Added: Dun & Bradstreet Corp. The (DNB)

Richard Aster Jr added to his holdings in Dun & Bradstreet Corp. The by 63.09%. His purchase prices were between $71.33 and $83.16, with an estimated average price of $76.09. The impact to his portfolio due to this purchase was 0.62%. His holdings were 479,960 shares as of 09/30/2009.

Dun & Bradstreet Corp. The has a market cap of $4.22 billion; its shares were traded at around $79.99 with a P/E ratio of 14.5 and P/S ratio of 2.5. The dividend yield of Dun & Bradstreet Corp. The stocks is 1.7%.

Added: Noble Energy Inc. (NBL)

Richard Aster Jr added to his holdings in Noble Energy Inc. by 77.84%. His purchase prices were between $52.75 and $69.57, with an estimated average price of $61. The impact to his portfolio due to this purchase was 0.44%. His holdings were 346,595 shares as of 09/30/2009.

Noble Energy Inc. has a market cap of $11.13 billion; its shares were traded at around $64.19 with a P/E ratio of 19.7 and P/S ratio of 2.8. The dividend yield of Noble Energy Inc. stocks is 1.1%. Noble Energy Inc. had an annual average earning growth of 14.7% over the past 10 years. GuruFocus rated Noble Energy Inc. the business predictability rank of 1-star.

Added: Royal Caribbean Cruises Ltd. (RCL)

Richard Aster Jr added to his holdings in Royal Caribbean Cruises Ltd. by 44.99%. His purchase prices were between $12.16 and $24.42, with an estimated average price of $17.71. The impact to his portfolio due to this purchase was 0.3%. His holdings were 902,070 shares as of 09/30/2009.

Royal Caribbean Cruises Ltd. has a market cap of $4.97 billion; its shares were traded at around $23.25 with a P/E ratio of 31 and P/S ratio of 0.8. Royal Caribbean Cruises Ltd. had an annual average earning growth of 6.8% over the past 10 years. GuruFocus rated Royal Caribbean Cruises Ltd. the business predictability rank of 5-star.

Added: Heartland Express Inc. (HTLD)

Richard Aster Jr added to his holdings in Heartland Express Inc. by 82.78%. His purchase prices were between $13.93 and $15.73, with an estimated average price of $14.69. The impact to his portfolio due to this purchase was 0.29%. His holdings were 993,600 shares as of 09/30/2009.

Heartland Express Inc. has a market cap of $1.34 billion; its shares were traded at around $14.75 with a P/E ratio of 23.4 and P/S ratio of 2.1. The dividend yield of Heartland Express Inc. stocks is 0.5%. Heartland Express Inc. had an annual average earning growth of 14.4% over the past 10 years. GuruFocus rated Heartland Express Inc. the business predictability rank of 5-star.

Added: Black & Decker Corp. The (BDK)

Richard Aster Jr added to his holdings in Black & Decker Corp. The by 38.45%. His purchase prices were between $26.7 and $49.71, with an estimated average price of $39.72. The impact to his portfolio due to this purchase was 0.26%. His holdings were 465,900 shares as of 09/30/2009.

Black & Decker Corp. The has a market cap of $3.67 billion; its shares were traded at around $61.07 with a P/E ratio of 24.5 and P/S ratio of 0.6. The dividend yield of Black & Decker Corp. The stocks is 0.8%. Black & Decker Corp. The had an annual average earning growth of 7.7% over the past 10 years.

Added: Airgas Inc. (ARG)

Richard Aster Jr added to his holdings in Airgas Inc. by 59.88%. His purchase prices were between $37.44 and $50.21, with an estimated average price of $44.16. The impact to his portfolio due to this purchase was 0.24%. His holdings were 304,542 shares as of 09/30/2009.

Airgas Inc. has a market cap of $3.84 billion; its shares were traded at around $46.91 with a P/E ratio of 16.9 and P/S ratio of 0.9. The dividend yield of Airgas Inc. stocks is 1.5%. Airgas Inc. had an annual average earning growth of 10.7% over the past 10 years. GuruFocus rated Airgas Inc. the business predictability rank of 2-star.

Added: Baxter International Inc. (BAX)

Richard Aster Jr added to his holdings in Baxter International Inc. by 36.58%. His purchase prices were between $52.34 and $58.53, with an estimated average price of $55.55. The impact to his portfolio due to this purchase was 0.22%. His holdings were 333,800 shares as of 09/30/2009.

Baxter International Inc. has a market cap of $33.12 billion; its shares were traded at around $54.95 with a P/E ratio of 14.9 and P/S ratio of 2.7. The dividend yield of Baxter International Inc. stocks is 1.9%. Baxter International Inc. had an annual average earning growth of 4.8% over the past 10 years. GuruFocus rated Baxter International Inc. the business predictability rank of 4-star.

Added: The Travelers Companies Inc. (TRV)

Richard Aster Jr added to his holdings in The Travelers Companies Inc. by 23.73%. His purchase prices were between $39 and $50.42, with an estimated average price of $45.5. The impact to his portfolio due to this purchase was 0.21%. His holdings were 491,200 shares as of 09/30/2009.

The Travelers Companies Inc. has a market cap of $29.9 billion; its shares were traded at around $52.68 with a P/E ratio of 9.1 and P/S ratio of 1.2. The dividend yield of The Travelers Companies Inc. stocks is 2.3%. The Travelers Companies Inc. had an annual average earning growth of 55% over the past 5 years.

Added: Td Ameritrade Holding Corp. (AMTD)

Richard Aster Jr added to his holdings in Td Ameritrade Holding Corp. by 29.21%. His purchase prices were between $16.64 and $20.14, with an estimated average price of $18.7. The impact to his portfolio due to this purchase was 0.21%. His holdings were 1,067,900 shares as of 09/30/2009.

Td Ameritrade Holding Corp. has a market cap of $12.32 billion; its shares were traded at around $21.01 with a P/E ratio of 18.6 and P/S ratio of 5.1.

Added: Ritchie Bros. Auctioneers Inc. (RBA)

Richard Aster Jr added to his holdings in Ritchie Bros. Auctioneers Inc. by 19.39%. His purchase prices were between $22.96 and $26.04, with an estimated average price of $24.58. The impact to his portfolio due to this purchase was 0.21%. His holdings were 1,219,195 shares as of 09/30/2009.

Ritchie Bros. Auctioneers Inc. has a market cap of $2.54 billion; its shares were traded at around $24.17 with a P/E ratio of 28.2 and P/S ratio of 0.7. The dividend yield of Ritchie Bros. Auctioneers Inc. stocks is 1.6%. Ritchie Bros. Auctioneers Inc. had an annual average earning growth of 20% over the past 5 years.

Added: Hologic Inc. (HOLX)

Richard Aster Jr added to his holdings in Hologic Inc. by 43.33%. His purchase prices were between $12.74 and $17.46, with an estimated average price of $15.16. The impact to his portfolio due to this purchase was 0.19%. His holdings were 863,000 shares as of 09/30/2009.

Hologic Inc. has a market cap of $3.87 billion; its shares were traded at around $15.07 with a P/E ratio of 12.8 and P/S ratio of 2.4. Hologic Inc. had an annual average earning growth of 127.1% over the past 5 years.

Added: Bank Of Hawaii Corp. (BOH)

Richard Aster Jr added to his holdings in Bank Of Hawaii Corp. by 14.8%. His purchase prices were between $33.98 and $42.5, with an estimated average price of $38.74. The impact to his portfolio due to this purchase was 0.19%. His holdings were 791,920 shares as of 09/30/2009.

Bank Of Hawaii Corp. has a market cap of $2.16 billion; its shares were traded at around $45.21 with a P/E ratio of 15.5 and P/S ratio of 2.6. The dividend yield of Bank Of Hawaii Corp. stocks is 4.1%. Bank Of Hawaii Corp. had an annual average earning growth of 3.5% over the past 10 years.

Added: Citrix Systems Inc. (CTXS)

Richard Aster Jr added to his holdings in Citrix Systems Inc. by 25.74%. His purchase prices were between $30.26 and $38.59, with an estimated average price of $35.25. The impact to his portfolio due to this purchase was 0.18%. His holdings were 493,800 shares as of 09/30/2009.

Citrix Systems Inc. has a market cap of $6.98 billion; its shares were traded at around $38.11 with a P/E ratio of 33.7 and P/S ratio of 4.3. Citrix Systems Inc. had an annual average earning growth of 9.2% over the past 10 years. GuruFocus rated Citrix Systems Inc. the business predictability rank of 4-star.

Added: Redwood Trust Inc. (RWT)

Richard Aster Jr added to his holdings in Redwood Trust Inc. by 85.85%. His purchase prices were between $14.25 and $18.48, with an estimated average price of $16.33. The impact to his portfolio due to this purchase was 0.18%. His holdings were 576,700 shares as of 09/30/2009.

Redwood Trust Inc. has a market cap of $1.07 billion; its shares were traded at around $13.82 with a P/E ratio of 276.4 and P/S ratio of 1.9. The dividend yield of Redwood Trust Inc. stocks is 7.2%. Redwood Trust Inc. had an annual average earning growth of 38.3% over the past 5 years.

Added: Apache Corp. (APA)

Richard Aster Jr added to his holdings in Apache Corp. by 32.69%. His purchase prices were between $66.12 and $94.3, with an estimated average price of $83.33. The impact to his portfolio due to this purchase was 0.16%. His holdings were 159,100 shares as of 09/30/2009.

Apache Corp. has a market cap of $32.59 billion; its shares were traded at around $97.07 with a P/E ratio of 22.3 and P/S ratio of 2.6. The dividend yield of Apache Corp. stocks is 0.6%. Apache Corp. had an annual average earning growth of 24.7% over the past 10 years. GuruFocus rated Apache Corp. the business predictability rank of 4.5-star.

Added: International Game Technology (IGT)

Richard Aster Jr added to his holdings in International Game Technology by 31.65%. His purchase prices were between $13.93 and $23.05, with an estimated average price of $19.4. The impact to his portfolio due to this purchase was 0.16%. His holdings were 707,060 shares as of 09/30/2009.

International Game Technology has a market cap of $5.8 billion; its shares were traded at around $19.57 with a P/E ratio of 22.9 and P/S ratio of 2.7. The dividend yield of International Game Technology stocks is 1.2%. International Game Technology had an annual average earning growth of 18.3% over the past 10 years. GuruFocus rated International Game Technology the business predictability rank of 2-star.

Added: Forest Oil Corp. (FST)

Richard Aster Jr added to his holdings in Forest Oil Corp. by 58.5%. His purchase prices were between $12.55 and $19.79, with an estimated average price of $16.27. The impact to his portfolio due to this purchase was 0.16%. His holdings were 493,900 shares as of 09/30/2009.

Forest Oil Corp. has a market cap of $2.05 billion; its shares were traded at around $18.24 with a P/E ratio of 11.4 and P/S ratio of 1.3. Forest Oil Corp. had an annual average earning growth of 4.8% over the past 10 years.

Added: Affiliated Managers Group Inc. (AMG)

Richard Aster Jr added to his holdings in Affiliated Managers Group Inc. by 12.39%. His purchase prices were between $52.67 and $69.87, with an estimated average price of $63.5. The impact to his portfolio due to this purchase was 0.15%. His holdings were 474,774 shares as of 09/30/2009.

Affiliated Managers Group Inc. has a market cap of $2.8 billion; its shares were traded at around $67.24 with a P/E ratio of 15.8 and P/S ratio of 2.4. Affiliated Managers Group Inc. had an annual average earning growth of 21.5% over the past 10 years. GuruFocus rated Affiliated Managers Group Inc. the business predictability rank of 5-star.

Added: Union Pacific Corp. (UNP)

Richard Aster Jr added to his holdings in Union Pacific Corp. by 20.58%. His purchase prices were between $48.89 and $63.54, with an estimated average price of $58.69. The impact to his portfolio due to this purchase was 0.15%. His holdings were 335,200 shares as of 09/30/2009.

Union Pacific Corp. has a market cap of $32.61 billion; its shares were traded at around $64.67 with a P/E ratio of 16.9 and P/S ratio of 1.8. The dividend yield of Union Pacific Corp. stocks is 1.7%. Union Pacific Corp. had an annual average earning growth of 1.7% over the past 10 years. GuruFocus rated Union Pacific Corp. the business predictability rank of 2-star.

Added: Con-way Inc. (CNW)

Richard Aster Jr added to his holdings in Con-way Inc. by 17.68%. His purchase prices were between $33.48 and $47.56, with an estimated average price of $41.21. The impact to his portfolio due to this purchase was 0.13%. His holdings were 519,900 shares as of 09/30/2009.

Con-way Inc. has a market cap of $1.54 billion; its shares were traded at around $31.42 with a P/E ratio of 44.2 and P/S ratio of 0.3. The dividend yield of Con-way Inc. stocks is 1.2%. Con-way Inc. had an annual average earning growth of 1.2% over the past 10 years.

Added: Rpm International Inc. (RPM)

Richard Aster Jr added to his holdings in Rpm International Inc. by 8.74%. His purchase prices were between $13.28 and $18.57, with an estimated average price of $16.01. The impact to his portfolio due to this purchase was 0.13%. His holdings were 1,947,246 shares as of 09/30/2009.

Rpm International Inc. has a market cap of $2.56 billion; its shares were traded at around $19.8 with a P/E ratio of 18.1 and P/S ratio of 0.8. The dividend yield of Rpm International Inc. stocks is 4.2%. Rpm International Inc. had an annual average earning growth of 6.2% over the past 10 years.

Added: The Sherwinwilliams Company (SHW)

Richard Aster Jr added to his holdings in The Sherwinwilliams Company by 13.18%. His purchase prices were between $52.05 and $62.13, with an estimated average price of $58.64. The impact to his portfolio due to this purchase was 0.11%. His holdings were 353,900 shares as of 09/30/2009.

The Sherwinwilliams Company has a market cap of $6.96 billion; its shares were traded at around $59.84 with a P/E ratio of 15.7 and P/S ratio of 0.9. The dividend yield of The Sherwinwilliams Company stocks is 2.3%. The Sherwinwilliams Company had an annual average earning growth of 9.7% over the past 10 years. GuruFocus rated The Sherwinwilliams Company the business predictability rank of 2.5-star.

Added: Brown & Brown Inc. (BRO)

Richard Aster Jr added to his holdings in Brown & Brown Inc. by 7.93%. His purchase prices were between $18.54 and $19.93, with an estimated average price of $19.35. The impact to his portfolio due to this purchase was 0.11%. His holdings were 1,778,175 shares as of 09/30/2009.

Brown & Brown Inc. has a market cap of $2.53 billion; its shares were traded at around $17.91 with a P/E ratio of 15.4 and P/S ratio of 2.6. The dividend yield of Brown & Brown Inc. stocks is 1.7%. Brown & Brown Inc. had an annual average earning growth of 25% over the past 10 years. GuruFocus rated Brown & Brown Inc. the business predictability rank of 4.5-star.

Added: Broadridge Financial Solutions Inc. (BR)

Richard Aster Jr added to his holdings in Broadridge Financial Solutions Inc. by 13.97%. His purchase prices were between $15.47 and $21.81, with an estimated average price of $18.91. The impact to his portfolio due to this purchase was 0.11%. His holdings were 989,500 shares as of 09/30/2009.

Broadridge Financial Solutions Inc. has a market cap of $3.09 billion; its shares were traded at around $22.19 with a P/E ratio of 15.1 and P/S ratio of 1.5. The dividend yield of Broadridge Financial Solutions Inc. stocks is 2.4%.

Added: Itron Inc. (ITRI)

Richard Aster Jr added to his holdings in Itron Inc. by 41.04%. His purchase prices were between $50.88 and $66.89, with an estimated average price of $56.01. The impact to his portfolio due to this purchase was 0.09%. His holdings were 105,500 shares as of 09/30/2009.

Itron Inc. has a market cap of $2.49 billion; its shares were traded at around $62.25 with a P/E ratio of 31.4 and P/S ratio of 1.3. Itron Inc. had an annual average earning growth of 26.6% over the past 5 years.

Added: Genprobe Inc. (GPRO)

Richard Aster Jr added to his holdings in Genprobe Inc. by 22.74%. His purchase prices were between $37.12 and $42.06, with an estimated average price of $39.52. The impact to his portfolio due to this purchase was 0.08%. His holdings were 244,500 shares as of 09/30/2009.

Genprobe Inc. has a market cap of $2.11 billion; its shares were traded at around $42 with a P/E ratio of 23 and P/S ratio of 4.5. Genprobe Inc. had an annual average earning growth of 10.7% over the past 5 years.

New Purchase: J.b. Hunt Transport Services Inc. (JBHT)

Richard Aster Jr initiated holdings in J.b. Hunt Transport Services Inc.. His purchase prices were between $26.71 and $32.9, with an estimated average price of $29.41. The impact to his portfolio due to this purchase was 1.27%. His holdings were 893,570 shares as of 09/30/2009.

J.b. Hunt Transport Services Inc. has a market cap of $4.09 billion; its shares were traded at around $32.22 with a P/E ratio of 26.6 and P/S ratio of 1.1. The dividend yield of J.b. Hunt Transport Services Inc. stocks is 1.3%. J.b. Hunt Transport Services Inc. had an annual average earning growth of 13.6% over the past 10 years. GuruFocus rated J.b. Hunt Transport Services Inc. the business predictability rank of 2.5-star.

New Purchase: Bmc Software Inc. (BMC)

Richard Aster Jr initiated holdings in Bmc Software Inc.. His purchase prices were between $31.63 and $38.54, with an estimated average price of $34.93. The impact to his portfolio due to this purchase was 1.27%. His holdings were 764,900 shares as of 09/30/2009.

Bmc Software Inc. has a market cap of $7.12 billion; its shares were traded at around $38.68 with a P/E ratio of 17.5 and P/S ratio of 3.9.

New Purchase: Biomarin Pharmaceutical Inc. (BMRN)

Richard Aster Jr initiated holdings in Biomarin Pharmaceutical Inc.. His purchase prices were between $13.86 and $18.33, with an estimated average price of $15.84. The impact to his portfolio due to this purchase was 0.53%. His holdings were 658,700 shares as of 09/30/2009.

Biomarin Pharmaceutical Inc. has a market cap of $1.74 billion; its shares were traded at around $17.34 with a P/E ratio of 102 and P/S ratio of 5.9.

New Purchase: Sunpower Corp. (SPWRA)

Richard Aster Jr initiated holdings in Sunpower Corp.. His purchase prices were between $22.35 and $33.45, with an estimated average price of $27.72. The impact to his portfolio due to this purchase was 0.47%. His holdings were 356,400 shares as of 09/30/2009.

Sunpower Corp. has a market cap of $1.17 billion; its shares were traded at around $21.46 with a P/E ratio of 24.1 and P/S ratio of 0.8.

New Purchase: Lincoln Electric Holdings Inc. (LECO)

Richard Aster Jr initiated holdings in Lincoln Electric Holdings Inc.. His purchase prices were between $33.15 and $52.58, with an estimated average price of $43.09. The impact to his portfolio due to this purchase was 0.42%. His holdings were 200,400 shares as of 09/30/2009.

Lincoln Electric Holdings Inc. has a market cap of $2.2 billion; its shares were traded at around $51.79 with a P/E ratio of 26.6 and P/S ratio of 0.9. The dividend yield of Lincoln Electric Holdings Inc. stocks is 2.1%. Lincoln Electric Holdings Inc. had an annual average earning growth of 5.5% over the past 10 years.

New Purchase: Curtisswright Corp. (CW)

Richard Aster Jr initiated holdings in Curtisswright Corp.. His purchase prices were between $27.8 and $36.38, with an estimated average price of $32.67. The impact to his portfolio due to this purchase was 0.39%. His holdings were 261,100 shares as of 09/30/2009.

Curtisswright Corp. has a market cap of $1.34 billion; its shares were traded at around $29.46 with a P/E ratio of 13.6 and P/S ratio of 0.8. The dividend yield of Curtisswright Corp. stocks is 1%. Curtisswright Corp. had an annual average earning growth of 19.9% over the past 10 years. GuruFocus rated Curtisswright Corp. the business predictability rank of 3.5-star.

New Purchase: Nyse Euronext (NYX)

Richard Aster Jr initiated holdings in Nyse Euronext. His purchase prices were between $24.07 and $30.29, with an estimated average price of $27.55. The impact to his portfolio due to this purchase was 0.02%. His holdings were 12,300 shares as of 09/30/2009.

Nyse Euronext has a market cap of $6.78 billion; its shares were traded at around $26.07 with a P/E ratio of 13.1 and P/S ratio of 1.5. The dividend yield of Nyse Euronext stocks is 4.5%.

New Purchase: The Buckle Inc. (BKE)

Richard Aster Jr initiated holdings in The Buckle Inc.. His purchase prices were between $26.05 and $33.95, with an estimated average price of $29.2. The impact to his portfolio due to this purchase was 0.02%. His holdings were 12,100 shares as of 09/30/2009.

The Buckle Inc. has a market cap of $1.31 billion; its shares were traded at around $28.29 with a P/E ratio of 11.4 and P/S ratio of 1.7. The dividend yield of The Buckle Inc. stocks is 2.9%. The Buckle Inc. had an annual average earning growth of 7.1% over the past 10 years. GuruFocus rated The Buckle Inc. the business predictability rank of 2.5-star.

New Purchase: Pharmaceutical Product Development Inc. (PPDI)

Richard Aster Jr initiated holdings in Pharmaceutical Product Development Inc.. His purchase prices were between $18.85 and $22.56, with an estimated average price of $20.87. The impact to his portfolio due to this purchase was 0.02%. His holdings were 17,300 shares as of 09/30/2009.

Pharmaceutical Product Development Inc. has a market cap of $2.49 billion; its shares were traded at around $21.09 with a P/E ratio of 14.2 and P/S ratio of 1.6. The dividend yield of Pharmaceutical Product Development Inc. stocks is 2.8%. Pharmaceutical Product Development Inc. had an annual average earning growth of 22.1% over the past 10 years. GuruFocus rated Pharmaceutical Product Development Inc. the business predictability rank of 5-star.

New Purchase: Nucor Corp. (NUE)

Richard Aster Jr initiated holdings in Nucor Corp.. His purchase prices were between $40.4 and $49.84, with an estimated average price of $45.51. The impact to his portfolio due to this purchase was 0.02%. His holdings were 8,700 shares as of 09/30/2009.

Nucor Corp. has a market cap of $12.97 billion; its shares were traded at around $41.22 with and P/S ratio of 0.6. The dividend yield of Nucor Corp. stocks is 3.4%. Nucor Corp. had an annual average earning growth of 26.2% over the past 10 years.

New Purchase: Aflac Inc. (AFL)

Richard Aster Jr initiated holdings in Aflac Inc.. His purchase prices were between $28.65 and $42.83, with an estimated average price of $38.02. The impact to his portfolio due to this purchase was 0.02%. His holdings were 9,200 shares as of 09/30/2009.

Aflac Inc. has a market cap of $20.5 billion; its shares were traded at around $43.84 with a P/E ratio of 9.5 and P/S ratio of 1.3. The dividend yield of Aflac Inc. stocks is 2.6%. Aflac Inc. had an annual average earning growth of 17.3% over the past 10 years. GuruFocus rated Aflac Inc. the business predictability rank of 5-star.

New Purchase: Ryder System Inc. (R)

Richard Aster Jr initiated holdings in Ryder System Inc.. His purchase prices were between $24.78 and $42.82, with an estimated average price of $35.51. The impact to his portfolio due to this purchase was 0.02%. His holdings were 9,100 shares as of 09/30/2009.

Ryder System Inc. has a market cap of $2.36 billion; its shares were traded at around $42.22 with a P/E ratio of 18.6 and P/S ratio of 0.4. The dividend yield of Ryder System Inc. stocks is 2.4%. Ryder System Inc. had an annual average earning growth of 4.5% over the past 10 years.

New Purchase: Constellation Energy Group Inc. (CEG)

Richard Aster Jr initiated holdings in Constellation Energy Group Inc.. His purchase prices were between $26.07 and $32.9, with an estimated average price of $29.89. The impact to his portfolio due to this purchase was 0.02%. His holdings were 11,100 shares as of 09/30/2009.

Constellation Energy Group Inc. has a market cap of $6.26 billion; its shares were traded at around $31.22 with a P/E ratio of 10.1 and P/S ratio of 0.3. The dividend yield of Constellation Energy Group Inc. stocks is 3.1%. Constellation Energy Group Inc. had an annual average earning growth of 4% over the past 10 years. GuruFocus rated Constellation Energy Group Inc. the business predictability rank of 2.5-star.

New Purchase: Hudson City Bancorp Inc. (HCBK)

Richard Aster Jr initiated holdings in Hudson City Bancorp Inc.. His purchase prices were between $12.3 and $14.67, with an estimated average price of $13.59. The impact to his portfolio due to this purchase was 0.02%. His holdings were 27,500 shares as of 09/30/2009.

Hudson City Bancorp Inc. has a market cap of $6.98 billion; its shares were traded at around $13.32 with a P/E ratio of 13.2 and P/S ratio of 2.6. The dividend yield of Hudson City Bancorp Inc. stocks is 4.5%. Hudson City Bancorp Inc. had an annual average earning growth of 34% over the past 5 years.

Reduced: Intel Corp. (INTC)

Richard Aster Jr reduced to his holdings in Intel Corp. by 21.41%. His sale prices were between $15.94 and $20.32, with an estimated average price of $18.85. The impact to his portfolio due to this sale was less than 0.01%. Richard Aster Jr still held 20,925 shares as of 09/30/2009.

Intel Corp. has a market cap of $108.04 billion; its shares were traded at around $19.3 with a P/E ratio of 29.3 and P/S ratio of 2.9. The dividend yield of Intel Corp. stocks is 2.9%. Intel Corp. had an annual average earning growth of 0.4% over the past 10 years.

Reduced: Eaton Corp. (ETN)

Richard Aster Jr reduced to his holdings in Eaton Corp. by 20.18%. His sale prices were between $40.82 and $59.94, with an estimated average price of $52.3. The impact to his portfolio due to this sale was less than 0.01%. Richard Aster Jr still held 7,120 shares as of 09/30/2009.

Eaton Corp. has a market cap of $10.47 billion; its shares were traded at around $63.2 with a P/E ratio of 27.5 and P/S ratio of 0.7. The dividend yield of Eaton Corp. stocks is 3.1%. Eaton Corp. had an annual average earning growth of 7.4% over the past 10 years.

Reduced: Hubbell Inc. (HUB-B)

Richard Aster Jr reduced to his holdings in Hubbell Inc. by 20.8%. His sale prices were between $31.64 and $43.03, with an estimated average price of $38.01. The impact to his portfolio due to this sale was less than 0.01%. Richard Aster Jr still held 9,900 shares as of 09/30/2009.

Hubbell Inc. has a market cap of $2.64 billion; its shares were traded at around $46.58 with a P/E ratio of 14 and P/S ratio of 1. The dividend yield of Hubbell Inc. stocks is 2.9%. Hubbell Inc. had an annual average earning growth of 4.5% over the past 10 years.

Reduced: The Stanley Works (SWK)

Richard Aster Jr reduced to his holdings in The Stanley Works by 23.29%. His sale prices were between $31.28 and $42.55, with an estimated average price of $39.64. The impact to his portfolio due to this sale was less than 0.01%. Richard Aster Jr still held 9,550 shares as of 09/30/2009.

The Stanley Works has a market cap of $3.91 billion; its shares were traded at around $49.27 with a P/E ratio of 19.5 and P/S ratio of 0.9. The dividend yield of The Stanley Works stocks is 2.6%. The Stanley Works had an annual average earning growth of 10.3% over the past 10 years.

Reduced: Caterpillar Inc. (CAT)

Richard Aster Jr reduced to his holdings in Caterpillar Inc. by 20.79%. His sale prices were between $30.29 and $54.34, with an estimated average price of $43.93. The impact to his portfolio due to this sale was less than 0.01%. Richard Aster Jr still held 8,000 shares as of 09/30/2009.

Caterpillar Inc. has a market cap of $36.41 billion; its shares were traded at around $58.61 with a P/E ratio of 20.6 and P/S ratio of 0.7. The dividend yield of Caterpillar Inc. stocks is 2.8%. Caterpillar Inc. had an annual average earning growth of 11.2% over the past 10 years.

Reduced: The Dow Chemical Company (DOW)

Richard Aster Jr reduced to his holdings in The Dow Chemical Company by 20.31%. His sale prices were between $14.66 and $26.95, with an estimated average price of $21.15. The impact to his portfolio due to this sale was less than 0.01%. Richard Aster Jr still held 15,300 shares as of 09/30/2009.

The Dow Chemical Company has a market cap of $32.11 billion; its shares were traded at around $28.08 with and P/S ratio of 0.6. The dividend yield of The Dow Chemical Company stocks is 2.2%. The Dow Chemical Company had an annual average earning growth of 3.8% over the past 10 years.

Reduced: Ross Stores Inc. (ROST)

Richard Aster Jr reduced to his holdings in Ross Stores Inc. by 99.45%. His sale prices were between $37.89 and $48.17, with an estimated average price of $44.77. The impact to his portfolio due to this sale was -0.01%. Richard Aster Jr still held 3,795 shares as of 09/30/2009.

Ross Stores Inc. has a market cap of $5.61 billion; its shares were traded at around $44.85 with a P/E ratio of 16.5 and P/S ratio of 0.9. The dividend yield of Ross Stores Inc. stocks is 1%. Ross Stores Inc. had an annual average earning growth of 8.6% over the past 10 years. GuruFocus rated Ross Stores Inc. the business predictability rank of 4.5-star.

Reduced: Nu Skin Enterprises Inc. (NUS)

Richard Aster Jr reduced to his holdings in Nu Skin Enterprises Inc. by 38.74%. His sale prices were between $14.74 and $18.49, with an estimated average price of $17.29. The impact to his portfolio due to this sale was -0.01%. Richard Aster Jr still held 22,300 shares as of 09/30/2009.

Nu Skin Enterprises Inc. has a market cap of $1.63 billion; its shares were traded at around $25.82 with a P/E ratio of 20.1 and P/S ratio of 1.3. The dividend yield of Nu Skin Enterprises Inc. stocks is 1.9%.

Reduced: Nordstrom Inc. (JWN)

Richard Aster Jr reduced to his holdings in Nordstrom Inc. by 43.88%. His sale prices were between $18.31 and $32.23, with an estimated average price of $26.84. The impact to his portfolio due to this sale was -0.01%. Richard Aster Jr still held 13,300 shares as of 09/30/2009.

Nordstrom Inc. has a market cap of $7.42 billion; its shares were traded at around $34.23 with a P/E ratio of 22.9 and P/S ratio of 0.9. The dividend yield of Nordstrom Inc. stocks is 1.8%. Nordstrom Inc. had an annual average earning growth of 20.2% over the past 10 years.

Reduced: Chevron Corp. (CVX)

Richard Aster Jr reduced to his holdings in Chevron Corp. by 97.05%. His sale prices were between $61.4 and $72.64, with an estimated average price of $68.39. The impact to his portfolio due to this sale was -0.02%. Richard Aster Jr still held 5,500 shares as of 09/30/2009.

Chevron Corp. has a market cap of $155.11 billion; its shares were traded at around $77.34 with a P/E ratio of 14.1 and P/S ratio of 0.6. The dividend yield of Chevron Corp. stocks is 3.6%. Chevron Corp. had an annual average earning growth of 14.5% over the past 10 years. GuruFocus rated Chevron Corp. the business predictability rank of 3.5-star.

Reduced: Simpson Manufacturing Co. Inc. (SSD)

Richard Aster Jr reduced to his holdings in Simpson Manufacturing Co. Inc. by 35.65%. His sale prices were between $20.1 and $29.6, with an estimated average price of $25.53. The impact to his portfolio due to this sale was -0.07%. Richard Aster Jr still held 172,200 shares as of 09/30/2009.

Simpson Manufacturing Co. Inc. has a market cap of $1.27 billion; its shares were traded at around $25.88 with a P/E ratio of 66.3 and P/S ratio of 1.7. The dividend yield of Simpson Manufacturing Co. Inc. stocks is 1.5%. Simpson Manufacturing Co. Inc. had an annual average earning growth of 13.5% over the past 10 years. GuruFocus rated Simpson Manufacturing Co. Inc. the business predictability rank of 5-star.

Reduced: Boston Scientific Corp. (BSX)

Richard Aster Jr reduced to his holdings in Boston Scientific Corp. by 29.14%. His sale prices were between $9.63 and $11.75, with an estimated average price of $10.84. The impact to his portfolio due to this sale was -0.12%. Richard Aster Jr still held 882,600 shares as of 09/30/2009.

Boston Scientific Corp. has a market cap of $12.38 billion; its shares were traded at around $8.21 with a P/E ratio of 14.4 and P/S ratio of 1.6. Boston Scientific Corp. had an annual average earning growth of 11.6% over the past 10 years. GuruFocus rated Boston Scientific Corp. the business predictability rank of 3.5-star.

Reduced: Wells Fargo & Company (WFC)

Richard Aster Jr reduced to his holdings in Wells Fargo & Company by 21.85%. His sale prices were between $22.87 and $29.39, with an estimated average price of $26.42. The impact to his portfolio due to this sale was -0.16%. Richard Aster Jr still held 592,700 shares as of 09/30/2009.

Wells Fargo & Company has a market cap of $132.3 billion; its shares were traded at around $28.32 with a P/E ratio of 29.5 and P/S ratio of 2.5. The dividend yield of Wells Fargo & Company stocks is 0.7%. Wells Fargo & Company had an annual average earning growth of 10.8% over the past 10 years. GuruFocus rated Wells Fargo & Company the business predictability rank of 4-star.

Reduced: Granite Construction Inc. (GVA)

Richard Aster Jr reduced to his holdings in Granite Construction Inc. by 79.08%. His sale prices were between $29.81 and $36.35, with an estimated average price of $32.76. The impact to his portfolio due to this sale was -0.17%. Richard Aster Jr still held 151,172 shares as of 09/30/2009.

Granite Construction Inc. has a market cap of $1.17 billion; its shares were traded at around $30.25 with a P/E ratio of 13 and P/S ratio of 0.5. The dividend yield of Granite Construction Inc. stocks is 1.7%. Granite Construction Inc. had an annual average earning growth of 8.7% over the past 10 years. GuruFocus rated Granite Construction Inc. the business predictability rank of 4-star.

Reduced: Franklin Electric Co. Inc. (FELE)

Richard Aster Jr reduced to his holdings in Franklin Electric Co. Inc. by 27.99%. His sale prices were between $23.12 and $34.06, with an estimated average price of $30.34. The impact to his portfolio due to this sale was -0.17%. Richard Aster Jr still held 491,700 shares as of 09/30/2009.

Franklin Electric Co. Inc. has a market cap of $629.9 million; its shares were traded at around $27.28 with a P/E ratio of 23.5 and P/S ratio of 0.9. The dividend yield of Franklin Electric Co. Inc. stocks is 1.8%. Franklin Electric Co. Inc. had an annual average earning growth of 6.8% over the past 10 years. GuruFocus rated Franklin Electric Co. Inc. the business predictability rank of 3-star.

Reduced: Kohl's Corp. (KSS)

Richard Aster Jr reduced to his holdings in Kohl's Corp. by 22.22%. His sale prices were between $41.46 and $56.39, with an estimated average price of $50.71. The impact to his portfolio due to this sale was -0.17%. Richard Aster Jr still held 310,200 shares as of 09/30/2009.

Kohl's Corp. has a market cap of $16.6 billion; its shares were traded at around $54.33 with a P/E ratio of 18.6 and P/S ratio of 1. Kohl's Corp. had an annual average earning growth of 21% over the past 10 years. GuruFocus rated Kohl's Corp. the business predictability rank of 4-star.

Reduced: Carter's Inc. (CRI)

Richard Aster Jr reduced to his holdings in Carter's Inc. by 25.65%. His sale prices were between $22.7 and $28.74, with an estimated average price of $25.58. The impact to his portfolio due to this sale was -0.21%. Richard Aster Jr still held 673,600 shares as of 09/30/2009.

Carter's Inc. has a market cap of $1.24 billion; its shares were traded at around $21.84 with a P/E ratio of 13 and P/S ratio of 0.9. Carter's Inc. had an annual average earning growth of 16.6% over the past 5 years.

Reduced: Best Buy Co. Inc. (BBY)

Richard Aster Jr reduced to his holdings in Best Buy Co. Inc. by 43.86%. His sale prices were between $31.35 and $41.14, with an estimated average price of $36.88. The impact to his portfolio due to this sale was -0.23%. Richard Aster Jr still held 313,800 shares as of 09/30/2009.

Best Buy Co. Inc. has a market cap of $17.89 billion; its shares were traded at around $42.95 with a P/E ratio of 15.6 and P/S ratio of 0.4. The dividend yield of Best Buy Co. Inc. stocks is 1.3%. Best Buy Co. Inc. had an annual average earning growth of 24% over the past 10 years. GuruFocus rated Best Buy Co. Inc. the business predictability rank of 4.5-star.

Reduced: Cerner Corp. (CERN)

Richard Aster Jr reduced to his holdings in Cerner Corp. by 22.81%. His sale prices were between $56.8 and $75.17, with an estimated average price of $64.56. The impact to his portfolio due to this sale was -0.23%. Richard Aster Jr still held 311,579 shares as of 09/30/2009.

Cerner Corp. has a market cap of $6.15 billion; its shares were traded at around $75.88 with a P/E ratio of 34.7 and P/S ratio of 3.7. Cerner Corp. had an annual average earning growth of 29.5% over the past 10 years. GuruFocus rated Cerner Corp. the business predictability rank of 3.5-star.

Reduced: Micros Systems Inc. (MCRS)

Richard Aster Jr reduced to his holdings in Micros Systems Inc. by 23.43%. His sale prices were between $23.12 and $30.9, with an estimated average price of $27.69. The impact to his portfolio due to this sale was -0.25%. Richard Aster Jr still held 795,404 shares as of 09/30/2009.

Micros Systems Inc. has a market cap of $2.32 billion; its shares were traded at around $29 with a P/E ratio of 22.6 and P/S ratio of 2.6. Micros Systems Inc. had an annual average earning growth of 12.6% over the past 10 years.

Reduced: Teradata Corp (TDC)

Richard Aster Jr reduced to his holdings in Teradata Corp by 41.82%. His sale prices were between $21.82 and $27.9, with an estimated average price of $25.53. The impact to his portfolio due to this sale was -0.26%. Richard Aster Jr still held 513,100 shares as of 09/30/2009.

Teradata Corp has a market cap of $5.06 billion; its shares were traded at around $29.45 with a P/E ratio of 20.2 and P/S ratio of 2.9.

Reduced: American Tower Corp. (AMT)

Richard Aster Jr reduced to his holdings in American Tower Corp. by 28.23%. His sale prices were between $30.1 and $37.63, with an estimated average price of $33.29. The impact to his portfolio due to this sale was -0.27%. Richard Aster Jr still held 595,116 shares as of 09/30/2009.

American Tower Corp. has a market cap of $15.95 billion; its shares were traded at around $40.42 with a P/E ratio of 63.2 and P/S ratio of 10.1. American Tower Corp. had an annual average earning growth of 18.6% over the past 10 years.

Reduced: Sealed Air Corp. (SEE)

Richard Aster Jr reduced to his holdings in Sealed Air Corp. by 35.71%. His sale prices were between $17.93 and $21.62, with an estimated average price of $19.35. The impact to his portfolio due to this sale was -0.29%. Richard Aster Jr still held 934,800 shares as of 09/30/2009.

Sealed Air Corp. has a market cap of $3.51 billion; its shares were traded at around $22.12 with a P/E ratio of 15.5 and P/S ratio of 0.7. The dividend yield of Sealed Air Corp. stocks is 2.1%. Sealed Air Corp. had an annual average earning growth of 4.8% over the past 10 years. GuruFocus rated Sealed Air Corp. the business predictability rank of 2.5-star.

Reduced: Petsmart Inc. (PETM)

Richard Aster Jr reduced to his holdings in Petsmart Inc. by 46.82%. His sale prices were between $20 and $23.45, with an estimated average price of $21.74. The impact to his portfolio due to this sale was -0.31%. Richard Aster Jr still held 681,536 shares as of 09/30/2009.

Petsmart Inc. has a market cap of $3.23 billion; its shares were traded at around $25.86 with a P/E ratio of 16.4 and P/S ratio of 0.6. The dividend yield of Petsmart Inc. stocks is 1.5%. Petsmart Inc. had an annual average earning growth of 29.3% over the past 10 years. GuruFocus rated Petsmart Inc. the business predictability rank of 3.5-star.

Reduced: Republic Services Inc. (RSG)

Richard Aster Jr reduced to his holdings in Republic Services Inc. by 24.89%. His sale prices were between $23.41 and $27.3, with an estimated average price of $25.72. The impact to his portfolio due to this sale was -0.32%. Richard Aster Jr still held 1,103,245 shares as of 09/30/2009.

Republic Services Inc. has a market cap of $10.44 billion; its shares were traded at around $27.52 with a P/E ratio of 17.6 and P/S ratio of 2.8. The dividend yield of Republic Services Inc. stocks is 2.8%. Republic Services Inc. had an annual average earning growth of 11.6% over the past 10 years. GuruFocus rated Republic Services Inc. the business predictability rank of 5-star.

Reduced: Digital Realty Trust Inc. (DLR)

Richard Aster Jr reduced to his holdings in Digital Realty Trust Inc. by 30.41%. His sale prices were between $34.65 and $45.99, with an estimated average price of $41.59. The impact to his portfolio due to this sale was -0.35%. Richard Aster Jr still held 565,278 shares as of 09/30/2009.

Digital Realty Trust Inc. has a market cap of $3.66 billion; its shares were traded at around $47.87 with a P/E ratio of 16.5 and P/S ratio of 7. The dividend yield of Digital Realty Trust Inc. stocks is 3.1%.

Sold Out: Verisign Inc. (VRSN)

Richard Aster Jr sold out his holdings in Verisign Inc.. His sale prices were between $17.93 and $23.55, with an estimated average price of $20.62.

Verisign Inc. has a market cap of $4.22 billion; its shares were traded at around $21.88 with a P/E ratio of 20.5 and P/S ratio of 4.4. Verisign Inc. had an annual average earning growth of 2% over the past 5 years.

Sold Out: Vulcan Materials Company (VMC)

Richard Aster Jr sold out his holdings in Vulcan Materials Company. His sale prices were between $40.6 and $59.9, with an estimated average price of $48.57.

Vulcan Materials Company has a market cap of $6.19 billion; its shares were traded at around $49.5 with a P/E ratio of 133.7 and P/S ratio of 1.7. The dividend yield of Vulcan Materials Company stocks is 2%. Vulcan Materials Company had an annual average earning growth of 7.7% over the past 10 years.

Sold Out: Johnson Controls Inc. (JCI)

Richard Aster Jr sold out his holdings in Johnson Controls Inc.. His sale prices were between $19.78 and $27.47, with an estimated average price of $24.57.

Johnson Controls Inc. has a market cap of $16.23 billion; its shares were traded at around $27.25 with a P/E ratio of 64.9 and P/S ratio of 0.6. The dividend yield of Johnson Controls Inc. stocks is 1.9%. Johnson Controls Inc. had an annual average earning growth of 7.9% over the past 10 years. GuruFocus rated Johnson Controls Inc. the business predictability rank of 5-star.

Sold Out: Burger King Holdings Inc. (BKC)

Richard Aster Jr sold out his holdings in Burger King Holdings Inc.. His sale prices were between $16.04 and $18.75, with an estimated average price of $17.16.

Burger King Holdings Inc. has a market cap of $2.36 billion; its shares were traded at around $17.48 with a P/E ratio of 12.2 and P/S ratio of 0.9. The dividend yield of Burger King Holdings Inc. stocks is 1.5%.

Sold Out: Tiffany & Co. (TIF)

Richard Aster Jr sold out his holdings in Tiffany & Co.. His sale prices were between $23.91 and $38.82, with an estimated average price of $31.84.

Tiffany & Co. has a market cap of $5.11 billion; its shares were traded at around $41.17 with a P/E ratio of 22.8 and P/S ratio of 1.9. The dividend yield of Tiffany & Co. stocks is 1.6%. Tiffany & Co. had an annual average earning growth of 10.9% over the past 10 years. GuruFocus rated Tiffany & Co. the business predictability rank of 4-star.

Sold Out: Jack In The Box Inc. (JACK)

Richard Aster Jr sold out his holdings in Jack In The Box Inc.. His sale prices were between $19.97 and $23.7, with an estimated average price of $21.48.

Jack In The Box Inc. has a market cap of $1.06 billion; its shares were traded at around $18.5 with a P/E ratio of 9.1 and P/S ratio of 0.5.

Sold Out: C.r. Bard Inc. (BCR)

Richard Aster Jr sold out his holdings in C.r. Bard Inc.. His sale prices were between $71 and $81.33, with an estimated average price of $76.

C.r. Bard Inc. has a market cap of $7.99 billion; its shares were traded at around $81.89 with a P/E ratio of 16.7 and P/S ratio of 3.3. The dividend yield of C.r. Bard Inc. stocks is 0.8%. C.r. Bard Inc. had an annual average earning growth of 14.5% over the past 10 years. GuruFocus rated C.r. Bard Inc. the business predictability rank of 3-star.

Sold Out: Harleydavidson Inc. (HOG)

Richard Aster Jr sold out his holdings in Harleydavidson Inc.. His sale prices were between $15.04 and $25.25, with an estimated average price of $21.72.

Harleydavidson Inc. has a market cap of $6.51 billion; its shares were traded at around $27.77 with a P/E ratio of 20.6 and P/S ratio of 1.2. The dividend yield of Harleydavidson Inc. stocks is 1.4%. Harleydavidson Inc. had an annual average earning growth of 20.6% over the past 10 years. GuruFocus rated Harleydavidson Inc. the business predictability rank of 4-star.

Sold Out: Cbs Corp. (CBS)

Richard Aster Jr sold out his holdings in Cbs Corp.. His sale prices were between $5.78 and $12.65, with an estimated average price of $9.5.

Cbs Corp. has a market cap of $9.02 billion; its shares were traded at around $13.31 with a P/E ratio of 23.8 and P/S ratio of 0.7. The dividend yield of Cbs Corp. stocks is 1.5%.

Sold Out: Marvel Entertainment Inc. (MVL)

Richard Aster Jr sold out his holdings in Marvel Entertainment Inc.. His sale prices were between $36.69 and $50.14, with an estimated average price of $41.95.

Marvel Entertainment Inc. has a market cap of $4.07 billion; its shares were traded at around $51.91 with a P/E ratio of 25.9 and P/S ratio of 6.1. Marvel Entertainment Inc. had an annual average earning growth of 15.4% over the past 5 years.



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