Monetta Run With The Bulls Stock Contest


Monetta Run With The Bulls Stock Contest
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REGISTRATION is now CLOSED.

Please see the leader board for current rankings.


Welcome to Monetta's stock market contest game.

To aid you in the stock selection process we are providing each stock's Beta, Price/Earning and Yield ratios.

*Beta measures the volatility of returns between a security and the market. Typically a high "Beta" suggests higher risk and volatility.

* P/E or Price Earning Ratio is a valuation ratio based on a company's current stock price to estimate earning per share in the next year. A high "P/E" suggests that investors expect higher growth prospects compared to companies with a lower P/E ratio.

*Yield is the percent of an investment paid out in dividends each year relative to its share price. Typically high yielding companies are thought to be more defensive than lower yielding companies.

The key is to relate these ratios to the short-term direction of the overall market...so do your homework.

Good Investing...And May The "Bull Be With You!

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Last Name:
Screen Name:
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Phone Number :
Year of Birth:

Please select at least three stocks for your investment portfolio from the list below. You are given $100,000 in "Monetta bucks" to play with and will be allocated based on a percent of your portfolio.

For example, if you want to invest 10% or $10,000 of your portfolio in Apple.com
enter 10 into the box across from the company name. You do not have to invest in all companies but at least three companies with the minimum investment in any one company of 1%.

(Click on company symbol for a link to the company profile)

SYM COMPANY NAME INDUSTRY
Beta
P/E
Div Yld
Weight
MO Altria Group Inc Tobacco
0.54
13
6.3
%
AAPL Apple Inc Computer-Hardware/Perip
0.84
12
0.0
%
AZO Autozone Inc Retail/Whlsle-Auto Parts
0.45
14
0.0
%
BAX Baxter International Inc Medical-Products
0.91
13
2.2
%
BBBY Bed Bath & Beyond Inc Retail-Home Furnishings
0.93
16
0.0
%
CAH Cardinal Health Inc Medical-Whlsle Drg/Suppl
0.94
14
2.0
%
CELG Celgene Corp Medical-Biomed/Biotech
0.82
18
0.0
%
CHK Chesapeake Energy Oil&Gas-U S Expl&Prod
1.21
10
1.3
%
CMG Chipotle Mexican Grill Retail-Restaurants
0.78
47
0.0
%
CLX Clorox Co Soap & Clng Preparatns
0.59
17
3.6
%
COH Coach Inc Apparel-Clothing Mfg
1.30
17
1.6
%
KO Coca Cola Co Beverages-Non-Alcoholic
0.61
18
2.8
%
ED Consolidated Edison Inc Utility-Diversified
0.44
16
4.3
%
COST Costco Wholesale Corp Retail-Major Disc Chains
0.76
22
1.1
%
DAL Delta Air Lines Inc Transportation-Airline
1.18
8
0.0
%
DO Diamond Offshore Drill Oil&Gas-Drilling
1.13
9
0.9
%
EBAY Ebay Inc Retail-Internet
1.33
16
0.0
%
F Ford Motor Auto Manufacturers
1.39
5
0.0
%
FCX Freeport Mcmrn Cpr&gld Mining-Metal Ores
1.52
6
3.1
%
GILD Gilead Sciences Inc Medical-Biomed/Biotech
0.81
10
0.0
%
GS Goldman Sachs Group Inc Banks-Money Center
1.07
11
1.5
%
GOOG Google Inc Internet-Content
0.92
15
0.0
%
HD Home Depot Inc Retail/Whlsle-Bldg Prds
0.90
14
3.0
%
ITW Illinois Tool Works Inc Machinery-Gen Industrial
1.13
12
3.4
%
INTC Intel Corp Elec-Semiconductor Mfg
0.75
10
3.8
%
ISRG Intuitive Surgical Inc Medical-Systems/Equip
1.04
34
0.0
%
JPM J P Morgan Chase & Co Banks-Money Center
1.31
7
3.3
%
JNJ Johnson & Johnson Medical-Diversified
0.57
13
3.6
%
JNPR Juniper Networks Inc Computer-Networking
1.42
15
0.0
%
MAR Marriott International Leisure-Lodging
1.29
20
1.4
%
MMC Marsh & Mclennan Insurance-Brokers
0.97
15
3.3
%
MA Mastercard Inc Cl A Finance-Crdtcard/Pmtpr
1.26
19
0.2
%
MCD Mcdonalds Corp Retail-Restaurants
0.51
17
3.2
%
NEM Newmont Mining Corp Mining-Gold/Silver/Gems
0.39
13
2.0
%
NKE Nike Inc Cl B Apparel-Shoes & Rel Mfg
0.98
18
1.4
%
ORCL Oracle Corp Computer Sftwr-Database
1.24
13
0.8
%
PX Praxair Inc Chemicals-Specialty
0.90
18
2.1
%
PCP Precision Castparts Corp Aerospace/Defense
1.13
19
0.1
%
PG Procter & Gamble Cosmetics/Personal Care
0.46
15
3.3
%
PRU Prudential Financial Inc Insurance-Life
1.58
7
2.5
%
QCOM Qualcomm Inc Telecom-Consumer Prods
1.13
15
1.7
%
SLB Schlumberger Ltd Oil&Gas-Field Services
1.38
17
1.7
%
TJX T J X Cos Inc Retail-Apparel/Shoes/Acc
0.71
15
1.3
%
UNP Union Pacific Corp Transportation-Rail
1.01
13
2.3
%
X United States Steel Corp Steel-Producers
1.74
16
0.9
%
VZ Verizon Communications Telecom Svcs-Integrated
0.62
17
5.4
%
DIS Walt Disney Company Media-Diversified
1.00
11
1.3
%
WM Waste Management Inc Pollution Control
0.93
15
4.3
%
WFM Whole Foods Market Inc Retail-Super/Mini Mkts
1.15
32
0.6
%
WYNN Wynn Resorts Ltd Leisure-Gaming/Equip
1.39
25
0.9
%
Total Must Equal 100%
%

 

Please note once you submit your portfolio it cannot be changed.

Please check the leader boards daily for ranking.

 

Good investing and may the "Bull" be with you




Monetta Family of Mutual Funds
1776-A S. Naperville Rd., Suite 100
Wheaton, IL 60189
1-800-MONETTA
Phone: 630.462.9800
Fax: 630.462.9332

For more information please e-mail us at info@monetta.com

This material must be preceded or accompanied by a Prospectus.  Please read it carefully before you invest.

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