Friday, November 20, 2020

Please help with a simple audio amplifier design

Hi, I’m trying to make a little intercom thing so that a guy on one side of a glass barrier can talk to a guy on the other side. Commercial solutions are really pricey and I can’t afford any of them but I figured that I could probably make one by replacing the guts of a Kocom outdoor station with a regular amplifier. My soldering skills are ok, but my knowledge of audio electronics is weak. I just want to take the little microphone in one Kocom DS-2D and wire it through an amplification circuit to the speaker in the other Kocom DS-2D and vice versa so that the guys on either side of the glass can hear one another speak. The speakers are 8 ohm 0.5W but I have no information on the microphone.

I’ve tried using these https://mantech.co.za/ProductInfo.aspx?Item=15M6431 but they don’t work.

I then tried using a velleman preamp kit (can’t find the link now) wired up to one of those and it didn’t work so I then tried the velleman preamp wired up to one of these https://www.communica.co.za/products/kemo-m031n

To be clear, by doesn’t work, I mean that I have to put my mouth onto the microphone and make noise for any audio to come out of the speaker. That is for all configurations.

I've gotten to the point that I've given up with kits and will make my own circuits on veroboard but I don't know what design to go with - the internet has a bunch of different ones but I don't know if they would suit my purpose. I'm leaning towards using this (http://archive.communica.co.za/Content/Catalog/Documents/D0793670597.pdf) as a basis but not having the switch to select talk or listen.

Can someone help?

Thursday, November 5, 2020

TS is in JPAS archive (I retired 23Jun) and ManTech is talking about making it active with an SCI

I have applied to a job in CA for ManTech that requires TS with SCI. I have had a TS for years but never had an SCI. I retired in June so the hiring manager told me my clearance has been archived in JPAS. So they would need to bring it out of the archive and get an SCI.

Is that a long process? What should I expect?

TIA!!!

Tuesday, October 27, 2020

[HIRING] Principal Data Analyst at ManTech International Corporation in Hill AFB, UT

ManTech International Corporation is searching for a Principal Data Analyst in Hill AFB, UT with the following skills: Data Visualization, Python, SQL

Secure our Nation, Ignite your Future Become an integral part of a diverse team while working at an Industry Leading Organization, where our employees come first. At Man Tech International Corporation, you’ll... apply or read more here: https://www.datayoshi.com/offer/325229/principal-data-analyst-mantech-international-corporation

[HIRING] Principal Data Analyst at ManTech International Corporation in Hill AFB, UT

ManTech International Corporation is searching for a Principal Data Analyst in Hill AFB, UT with the following skills: Data Visualization, Python, SQL

Secure our Nation, Ignite your Future Become an integral part of a diverse team while working at an Industry Leading Organization, where our employees come first. At Man Tech International Corporation, you’ll... apply or read more here: https://www.datayoshi.com/offer/325229/principal-data-analyst-mantech-international-corporation

Tuesday, October 20, 2020

My compilation of 16 stocks with strong fundamentals and reasonable valuations: AMGN, ATVI, CHE, FSS, HWKN, ICE, JBHT, KMB, MANT, MRK, SNE, SNY, STE, UNH, VZ and WERN

Here is a couple of stocks that might be worth your attention this week.

This short list was compiled with help of various sources of data, including Buy recommendations from several renowned stock data providers and analytical services. This is why I'm calling the approach a consensus strategy. The stocks I'm going to present you below are generally believed to outperform the stock market in the coming months, they have a consensus recommendation of Buy, their fundamentals are scored considerably better than most stocks and their average target price by stock analysts is above current market valuation.

In order to consider buying the stock's shares, the following criteria need to be satisfied:

  • TheStreet score: A+, A or A-
  • Zacks Rank: 1 (Strong Buy), 2 (Buy) or 3 (Hold)
  • Weiss Ratings recommendation: A or B
  • Yahoo Finance recommendation: at least mixed Buy/Hold
  • MarketBeat recommendation: at least mixed Buy/Hold
  • Yahoo Finance target price: min. 5% higher than current price
  • MarketBeat target price: min. 5% higher than current price
  • Piotroski F-Score: min. 4
  • Moody's Daily Credit Risk: 1 to 6
  • InvestorsObserver Overall Score: min. 50

Note: Descriptions of those criteria are provided at the end of this post.

If you decide to buy any of the below stocks, you might want to consider the following selling conditions (at least one of them should be satisfied):

  • price is higher or close to target
  • profit is in range 20% - 30%
  • loss is higher than 50%
  • TheStreet recommendation is changed to Sell
  • Weiss Ratings recommendation is changed to Sell
  • Yahoo Finance recommendation is changed to Sell
Let's now take a look at the stocks I've identified with this strategy today.

AMGEN INC (AMGN)

Sector: Health Technology
Industry: Biotechnology
Description: Amgen, Inc. is a biotechnology company, which engages in the discovery, development, manufacture and marketing of human therapeutics. Its products include the following brands: Aranesp, BLINCYTO, Corlanor, ENBREL, EPOGEN, IMLYGIC, KYPROLIS, Neulasta, NEUPOGEN, Nplate, Parsabiv, Prolia, Repatha, Sensipar, Vectibix, and XGEVA.
Dividend: Amgen pays an annual dividend of $6.40 per share, with a dividend yield of 2.76%. AMGN's most recent quarterly dividend payment was made to shareholders of record on Tuesday, September 8. The company has grown its dividend for the last 1 consecutive years and is increasing its dividend by an average of 13.19% each year. Amgen pays out 43.18% of its earnings out as a dividend.
Current valuation: $231.03

Valuation of entry parameters:

TheStreet score: A-
Zacks Rank: Hold
Weiss Ratings recommendation: B (Buy)
Yahoo Finance recommendation: Buy / Hold
MarketBeat recommendation: Buy / Hold
Yahoo Finance target price: $260.79
MarketBeat target price: $255.68
Piotroski F-Score: 6
Moody’s Daily Credit Risk: 4
InvestorsObserver Overall Score: 71

ACTIVISION BLIZZARD INC (ATVI)

Sector: Consumer Durables
Industry: Recreational Products
Description: Activision Blizzard, Inc. engages in the development and publication of interactive entertainment. It operates through the following segments: Activision Publishing, Blizzard Entertainment, and King Digital Entertainment.
Dividend: Activision Blizzard pays an annual dividend of $0.41 per share, with a dividend yield of 0.51%. ATVI's most recent annually dividend payment was made to shareholders of record on Wednesday, May 6. The company has grown its dividend for the last 1 consecutive years and is increasing its dividend by an average of 12.48% each year. Activision Blizzard pays out 19.71% of its earnings out as a dividend.
Current valuation: $80.45

Valuation of entry parameters:

TheStreet score: A-
Zacks Rank: Buy
Weiss Ratings recommendation: B- (Buy)
Yahoo Finance recommendation: Buy
MarketBeat recommendation: Buy
Yahoo Finance target price: $95.3
MarketBeat target price: $88.32
Piotroski F-Score: 7
Moody’s Daily Credit Risk: 4
InvestorsObserver Overall Score: 80

CHEMED CORP (CHE)

Sector: Health Services
Industry: Medical/Nursing Services
Description: Chemed Corp. engages in the provision of healthcare and maintenance services. It operates through the following segments: VITAS and Roto-Rooter. The VITAS segment offers hospice and palliative care services to patients through a network of physicians, registered nurses, home health aides, social workers, clergy, and volunteers. The Roto-Rooter segment includes plumbing, drain cleaning, water restoration, and other related services to residential and commercial customers.
Dividend: Chemed pays an annual dividend of $1.36 per share, with a dividend yield of 0.28%. CHE's most recent quarterly dividend payment was made to shareholders of record on Friday, September 4. The company has grown its dividend for the last 11 consecutive years and is increasing its dividend by an average of 7.43% each year. Chemed pays out 9.75% of its earnings out as a dividend.
Current valuation: $492.5

Valuation of entry parameters:

TheStreet score: A-
Zacks Rank: Hold
Weiss Ratings recommendation: B (Buy)
Yahoo Finance recommendation: Buy / Hold
MarketBeat recommendation: Buy
Yahoo Finance target price: $565.0
MarketBeat target price: $520.00
Piotroski F-Score: 7
Moody’s Daily Credit Risk: 1
InvestorsObserver Overall Score: 58

FEDERAL SIGNAL CORP (FSS)

Sector: Producer Manufacturing
Industry: Trucks/Construction/Farm Machinery
Description: Federal Signal Corp. engages in the designed manufacture of products and integrated solutions for municipal, governmental, industrial, and commercial customers. It operates through the Environmental Solutions Group, and Safety and Security Systems Group segments.
Dividend: Chemed pays an annual dividend of $1.36 per share, with a dividend yield of 0.28%. CHE's most recent quarterly dividend payment was made to shareholders of record on Friday, September 4. The company has grown its dividend for the last 11 consecutive years and is increasing its dividend by an average of 7.43% each year. Chemed pays out 9.75% of its earnings out as a dividend.
Current valuation: $31.09

Valuation of entry parameters:

TheStreet score: A-
Zacks Rank: Hold
Weiss Ratings recommendation: B- (Buy)
Yahoo Finance recommendation: Buy
MarketBeat recommendation: Buy
Yahoo Finance target price: $35.25
MarketBeat target price: $33.00
Piotroski F-Score: 5
Moody’s Daily Credit Risk: 6
InvestorsObserver Overall Score: 50

HAWKINS INC (HWKN)

Sector: Distribution Services
Industry: Wholesale Distributors
Description: Hawkins, Inc. engaged in the distribution, blending, and manufacture of chemicals and specialty ingredients for a wide variety of industries. It operates through the following segments: Industrial, Water Treatment, and Health and Nutrition.
Dividend: Hawkins pays an annual dividend of $0.93 per share, with a dividend yield of 1.82%. HWKN's most recent quarterly dividend payment was made to shareholders of record on Friday, August 28. The company has grown its dividend for the last 1 consecutive years and is increasing its dividend by an average of 3.91% each year. Hawkins pays out 34.96% of its earnings out as a dividend.
Current valuation: $51.2

Valuation of entry parameters:

TheStreet score: A-
Zacks Rank: Hold
Weiss Ratings recommendation: B- (Buy)
Yahoo Finance recommendation: Buy
MarketBeat recommendation: Buy
Yahoo Finance target price: $62.0
MarketBeat target price: $62.00
Piotroski F-Score: 7
Moody’s Daily Credit Risk: 6
InvestorsObserver Overall Score: 59

INTERCONTINENTAL EXCHANGE (ICE)

Sector: Finance
Industry: Investment Banks/Brokers
Description: Intercontinental Exchange, Inc. engages in the management of online marketplace. It operates through the Trading and Clearing; and Data and Listings segments. The Trading and Clearing segment offers transaction-based executions and clearing activities. The Data and Listings segment includes securities and subscription-based data services.
Dividend: Intercontinental Exchange pays an annual dividend of $1.20 per share, with a dividend yield of 1.19%. ICE's next quarterly dividend payment will be made to shareholders of record on Thursday, December 31. The company has grown its dividend for the last 1 consecutive years and is increasing its dividend by an average of 17.39% each year. Intercontinental Exchange pays out 30.93% of its earnings out as a dividend.
Current valuation: $100.1

Valuation of entry parameters:

TheStreet score: A
Zacks Rank: Hold
Weiss Ratings recommendation: B (Buy)
Yahoo Finance recommendation: Buy
MarketBeat recommendation: Buy
Yahoo Finance target price: $114.44
MarketBeat target price: $110.17
Piotroski F-Score: 7
Moody’s Daily Credit Risk: 4
InvestorsObserver Overall Score: 70

HUNT (JB) TRANSPRT SVCS INC (JBHT)

Sector: Transportation
Industry: Trucking
Description: J.B. Hunt Transport Services, Inc. engages in the provision of logistics solutions. It operates through the following segments: Intermodal (JBI), Dedicated Contract Services (DCS), Integrated Capacity Solutions (ICS), and Truckload (JBT).
Dividend: J.B. Hunt Transport Services pays an annual dividend of $1.08 per share, with a dividend yield of 0.87%. JBHT's most recent quarterly dividend payment was made to shareholders of record on Friday, August 21. The company has grown its dividend for the last 1 consecutive years and is increasing its dividend by an average of 5.73% each year. J.B. Hunt Transport Services pays out 22.09% of its earnings out as a dividend.
Current valuation: $124.16

Valuation of entry parameters:

TheStreet score: A-
Zacks Rank: Buy
Weiss Ratings recommendation: B- (Buy)
Yahoo Finance recommendation: Hold / Buy
MarketBeat recommendation: Hold / Buy
Yahoo Finance target price: $141.09
MarketBeat target price: $135.50
Piotroski F-Score: 6
Moody’s Daily Credit Risk: 3
InvestorsObserver Overall Score: 60

KIMBERLY-CLARK CORP (KMB)

Sector: Consumer Non-Durables
Industry: Household/Personal Care
Description: Kimberly-Clark Corp. engages in the manufacture and marketing of products made from natural or synthetic fibers. It operates through the following segments: Personal Care, Consumer Tissue, and K-C Professional (KCP).
Dividend: Kimberly Clark pays an annual dividend of $4.28 per share, with a dividend yield of 2.86%. KMB's most recent quarterly dividend payment was made to shareholders of record on Friday, October 2. The company has grown its dividend for the last 24 consecutive years and is increasing its dividend by an average of 3.84% each year. Kimberly Clark pays out 62.12% of its earnings out as a dividend.
Current valuation: $149.58

Valuation of entry parameters:

TheStreet score: A
Zacks Rank: Hold
Weiss Ratings recommendation: B (Buy)
Yahoo Finance recommendation: Hold / Buy
MarketBeat recommendation: Hold / Buy
Yahoo Finance target price: $160.08
MarketBeat target price: $157.88
Piotroski F-Score: 7
Moody’s Daily Credit Risk: 1
InvestorsObserver Overall Score: 64

MANTECH INTL CORP (MANT)

Sector: Technology Services
Industry: Packaged Software
Description: ManTech International Corp. engages in the provision of information technology and technical services solutions. It also offers cyber security, software and systems development, enterprise information technology, multi-disciplined intelligence, program protection and mission assurance, system engineering, test and evaluation, command, control, communications, computers, intelligence, training, supply chain, and management consulting.
Dividend: Mantech International pays an annual dividend of $1.28 per share, with a dividend yield of 1.82%. MANT's most recent quarterly dividend payment was made to shareholders of record on Friday, September 25. The company has grown its dividend for the last 1 consecutive years and is increasing its dividend by an average of 8.74% each year. Mantech International pays out 43.99% of its earnings out as a dividend.
Current valuation: $70.08

Valuation of entry parameters:

TheStreet score: A-
Zacks Rank: Hold
Weiss Ratings recommendation: B- (Buy)
Yahoo Finance recommendation: Hold / Buy
MarketBeat recommendation: Buy
Yahoo Finance target price: $82.43
MarketBeat target price: $82.33
Piotroski F-Score: 8
Moody’s Daily Credit Risk: 6
InvestorsObserver Overall Score: 50

MERCK & CO (MRK)

Sector: Health Technology
Industry: Pharmaceuticals: Major
Description: Merck & Co., Inc. engages in the provision of health solutions through its prescription medicines, vaccines, biologic therapies, animal health, and consumer care products. It operates through the following segments: Pharmaceutical, Animal Health, Healthcare Services, and Alliances.
Dividend: Merck & Co., Inc. pays an annual dividend of $2.44 per share, with a dividend yield of 3.11%. MRK's most recent quarterly dividend payment was made to shareholders of record on Wednesday, October 7. The company has grown its dividend for the last 1 consecutive years and is increasing its dividend by an average of 6.90% each year. Merck & Co., Inc. pays out 47.01% of its earnings out as a dividend.
Current valuation: $78.45

Valuation of entry parameters:

TheStreet score: A-
Zacks Rank: Hold
Weiss Ratings recommendation: B (Buy)
Yahoo Finance recommendation: Buy
MarketBeat recommendation: Buy
Yahoo Finance target price: $95.5
MarketBeat target price: $95.08
Piotroski F-Score: 8
Moody’s Daily Credit Risk: 3
InvestorsObserver Overall Score: 57

SONY CORP (SNE)

Sector: Consumer Durables
Industry: Electronics/Appliances
Description: Sony Corp. engages in the development, design, manufacture, and sale of electronic equipment, instruments, devices, game consoles, and software for consumers, professionals and industrial markets. It operates through the following segments: Game and Network Services, Music, Pictures, Home Entertainment and Sound, Imaging Products and Solutions, Mobile Communications, Semiconductors, Financial Services, and All Others.
Dividend: Sony pays an annual dividend of $0.34 per share, with a dividend yield of 0.45%. SNE's most recent n/a dividend payment was made to shareholders of record on Friday, June 9. The company has grown its dividend for the last 1 consecutive years and is increasing its dividend by an average of 27.24% each year. Sony pays out 8.02% of its earnings out as a dividend.
Current valuation: $75.52

Valuation of entry parameters:

TheStreet score: A-
Zacks Rank: Hold
Weiss Ratings recommendation: B- (Buy)
Yahoo Finance recommendation: Strong Buy
MarketBeat recommendation: Buy
Yahoo Finance target price: $100.48
MarketBeat target price: $96.00
Piotroski F-Score: 5
Moody’s Daily Credit Risk: NA
InvestorsObserver Overall Score: 75

SANOFI (SNY)

Sector: Health Technology
Industry: Pharmaceuticals: Major
Description: Sanofi engages in the research, production, and distribution of pharmaceutical products. It operates through the following business segments: Pharmaceuticals, Consumer Healthcare, and Vaccines. The Pharmaceuticals segment comprises the commercial operations of the following global franchises: specialty care, diabetes and cardiovascular, established prescription products and generics, and research, development, and production activities. The Consumer Healthcare segment includes the commercial operations for its Consumer Healthcare products. The Vaccines segment consists commercial operations of Sanofi Pasteur.
Dividend: Sanofi pays an annual dividend of $1.17 per share, with a dividend yield of 2.34%. SNY's most recent annually dividend payment was made to shareholders of record on Tuesday, May 26. Sanofi pays out 37.38% of its earnings out as a dividend.
Current valuation: $50.13

Valuation of entry parameters:

TheStreet score: A-
Zacks Rank: Hold
Weiss Ratings recommendation: B- (Buy)
Yahoo Finance recommendation: Buy
MarketBeat recommendation: Hold / Buy
Yahoo Finance target price: $61.13
MarketBeat target price: $57.00
Piotroski F-Score: 6
Moody’s Daily Credit Risk: NA
InvestorsObserver Overall Score: 58

STERIS PLC (STE)

Sector: Health Technology
Industry: Medical Specialties
Description: STERIS plc provides infection prevention and other procedural products and services worldwide. It operates in four segments: Healthcare Products, Healthcare Specialty Services, Life Sciences, and Applied Sterilization Technologies.
Dividend: Steris pays an annual dividend of $1.60 per share, with a dividend yield of 0.85%. STE's most recent quarterly dividend payment was made to shareholders of record on Thursday, September 24. The company has grown its dividend for the last 14 consecutive years and is increasing its dividend by an average of 10.24% each year. Steris pays out 28.37% of its earnings out as a dividend.
Current valuation: $188.72

Valuation of entry parameters:

TheStreet score: A
Zacks Rank: Buy
Weiss Ratings recommendation: B (Buy)
Yahoo Finance recommendation: Buy
MarketBeat recommendation: Buy
Yahoo Finance target price: $200.0
MarketBeat target price: $200.00
Piotroski F-Score: 7
Moody’s Daily Credit Risk: NA
InvestorsObserver Overall Score: 64

UNITEDHEALTH GROUP INC (UNH)

Sector: Health Services
Industry: Managed Health Care
Description: UnitedHealth Group, Inc. engages in the provision of health care coverage, software, and data consultancy services. It operates through the following segments: UnitedHealthcare, OptumHealth, OptumInsight, and OptumRx. The UnitedHealthcare segment utilizes Optum's capabilities to help coordinate patient care, improve affordability of medical care, analyze cost trends, manage pharmacy benefits, work with care providers more effectively, and create a simpler consumer experience. The OptumHealth segment provides health services business serving the broad health care marketplace, including payers, care providers, employers, government, life sciences companies, and consumers. The OptumInsight segment focuses on data and analytics, technology, and information to help major participants in the health care industry. The OptumRx segment provides pharmacy care services.
Dividend: UnitedHealth Group pays an annual dividend of $5.00 per share, with a dividend yield of 1.53%. UNH's most recent quarterly dividend payment was made to shareholders of record on Tuesday, September 22. The company has grown its dividend for the last 10 consecutive years and is increasing its dividend by an average of 20.35% each year. UnitedHealth Group pays out 33.09% of its earnings out as a dividend.
Current valuation: $326.58

Valuation of entry parameters:

TheStreet score: A-
Zacks Rank: Hold
Weiss Ratings recommendation: B- (Buy)
Yahoo Finance recommendation: Buy
MarketBeat recommendation: Buy
Yahoo Finance target price: $357.84
MarketBeat target price: $346.68
Piotroski F-Score: 8
Moody’s Daily Credit Risk: NA
InvestorsObserver Overall Score: 81

VERIZON COMMUNICATIONS INC (VZ)

Sector: Communications
Industry: Major Telecommunications
Description: Verizon Communications Inc. is a holding company. The Company, through its subsidiaries, provides communications, information and entertainment products and services to consumers, businesses and governmental agencies. Its segments include Wireless and Wireline.
Dividend: Verizon Communications pays an annual dividend of $2.51 per share, with a dividend yield of 4.38%. VZ's next quarterly dividend payment will be made to shareholders of record on Monday, November 2. The company has grown its dividend for the last 13 consecutive years and is increasing its dividend by an average of 2.15% each year. Verizon Communications pays out 52.18% of its earnings out as a dividend.
Current valuation: $57.36

Valuation of entry parameters:

TheStreet score: A-
Zacks Rank: Hold
Weiss Ratings recommendation: A- (Strong Buy)
Yahoo Finance recommendation: Hold / Buy
MarketBeat recommendation: Hold / Buy
Yahoo Finance target price: $61.26
MarketBeat target price: $62.24
Piotroski F-Score: 7
Moody’s Daily Credit Risk: 1
InvestorsObserver Overall Score: 62

WERNER ENTERPRISES INC (WERN)

Sector: Transportation
Industry: Trucking
Description: Werner Enterprises, Inc. engages in the provision of logistics services. It operates through the Truckload Transportation Services and Werner Logistics segments. The Truckload Transportation Services segment consists of one-way truckload and specialized services units such as the medium-to-long haul van fleet which provides a consumer non durable products and commodities in truckload quantities. The Werner Logistics segment provides non-trucking services to customers such as truck brokerages which uses contracted carriers to complete customer shipments.
Dividend: Werner Enterprises pays an annual dividend of $0.36 per share, with a dividend yield of 0.87%. WERN's most recent quarterly dividend payment was made to shareholders of record on Tuesday, October 20. The company has grown its dividend for the last 1 consecutive years and is increasing its dividend by an average of 4.00% each year. Werner Enterprises pays out 15.06% of its earnings out as a dividend.
Current valuation: $41.5

Valuation of entry parameters:

TheStreet score: A-
Zacks Rank: Buy
Weiss Ratings recommendation: B (Buy)
Yahoo Finance recommendation: Hold / Buy
MarketBeat recommendation: Buy
Yahoo Finance target price: $49.53
MarketBeat target price: $47.13
Piotroski F-Score: 6
Moody’s Daily Credit Risk: 4
InvestorsObserver Overall Score: 70

Now, a few words on the criteria I'm using and sources of data.

1. TheStreet score

The first filtering step is to get stocks with Buy recommendation at TheStreet stock screener (https://www.thestreet.com/r/ratings/reports/ir-screener.html). I'm only keeping stocks with A+, A or A- rating (top ones), although A-, B+, B and B- are Buys as well.

From thestreet.com:

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.

And about the methodology (source: https://www.thestreet.com/r/ratings/reports/detail/T.html):

TheStreet Ratings' stock model projects a stock's total return potential over a 12-month period including both price appreciation and dividends. Our Buy, Hold or Sell ratings designate how we expect these stocks to perform against a general benchmark of the equities market and interest rates. While our model is quantitative, it utilizes both subjective and objective elements. For instance, subjective elements include expected equities market returns, future interest rates, implied industry outlook and forecasted company earnings. Objective elements include volatility of past operating revenues, financial strength, and company cash flows.

2. Zacks Rank

It is required that the Zacks Rank is Hold, Buy or Strong Buy (so we're avoiding stocks with Sell and Strong Sell recommendations). The Zacks Rating utilizes a completely different system, based on company earnings-related data, in particular earnings estimate revisions and earnings surprises, to predict profitability of holding the company's shares. More from [https://www.zacks.com/education/stock-education/zacks-rank-guide-6](http://(average, from experts)):

The Zacks Rank is a proprietary stock-rating model that uses trends in earnings estimate revisions and EPS surprises to classify stocks into five groups: Strong Sell, Sell, Hold, Buy, Strong Buy.

A portfolio of Zacks Rank #1 (Strong Buy) stocks has beaten the market in 26 of the last 31 years with an average annual return of +24.3% a year; more than double that of the S&P 500's +10.6% .

3. Weiss Ratings recommendation

We're only keeping stocks with Buy (B) or Strong Buy (A) recommendation.

Wjat are these scores? This is what I found at their website (https://weissratings.com/help/rating-definitions):

"A" Rating: Excellent. The company’s stock has an excellent track record for providing strong performance with lower-than-average risk, and it is trading at a price that represents good value relative to the company’s earnings prospects. While past performance is no guarantee of future results, our opinion is that this stock is among the most likely to deliver superior performance relative to risk in the future. Of course, even the best stocks can decline in a down market. But our “A” rating can generally be considered the equivalent of a "Strong Buy".

"B" rating: Good. The company’s stock has a good track record for delivering a balance of performance and risk. While the risk-adjusted performance of any stock is subject to change, our opinion is that this stock is a good value, with good prospects for outperforming the market. Although even good investments can decline in a down market, our “B” rating is considered the equivalent of a "Buy".

4. Yahoo Finance recommendation and target price

It is required that the Yahoo Finance stock recommendation is at least mixed Buy/Hold from experts. Additionally, the predicted target price (average, from experts) should be at least 5% higher than the current one.

5. MarketBeat recommendation and taget price

Similar to Yahoo Finance, it is required that the MarketBeat stock recommendation is at least mixed Buy/Hold. Additionally, the predicted target price (average, from experts) should be at least 5% higher than the current valuation.

6. Piotroski F-Score

The Piotroski score is a number between 0-9 that reflects nine criteria used to determine the strength of a company's financial situation, including profitability, leverage or operating efficiency. Zero is the worst value and nine is the best. As we can read in Piotroski’s paper from 2000:

In addition, an investment strategy that buys expected winners and shorts expected losers generates a 23% annual return between 1976 and 1996, and the strategy appears to be robust across time and to controls for alternative investment strategies.

It is required that the score is 4 or higher. The values were retrieved from https://www.gurufocus.com.

7. Moody's Daily Credit Risk

Moody’s Daily Credit Risk Score is a 1-10 score, which provides a forward-looking, one-year measure of credit risk. It is updated daily and takes into account day-to-day market movements compared to a company’s liabilities.

The value is retrieved from https://markets.businessinsider.com and is expected to be in the range of 1-6.

8. InvestorsObserver Overall Score

The rank has a value in between 0 and 100. It takes into account both technical analysis and fundamental stock data. An Overall Rank of N means that a given company is rated above N% of stocks, therefore the higher the number, the better. My requirement is that the company has InvestorsObserver Overall score of at least 50.

More detailed explanation from https://www.investorsobserver.com/learning-center/what-the-scores-mean/what-does-the-overall-score-mean:

The Overall Score combines our two technical scores (Short Term and Long Term) with our Fundamental Score into one metric. This makes our overall score a great place to start when evaluating stocks, regardless of your investing style.

A low score doesn’t necessarily mean a stock is likely to go down, just that our system doesn’t think there’s much of a bullish case for it.

Please note that the company profile data (short description) was taken from https://www.tradingview.com (sometimes I shortened it) and dividend data was retrieved from MarketBeat.

I hope you enjoyed the reading. What do you think about this stock selection and the strategy? Feel free to leave a comment below.

Michael

Disclosures:

  • What you see here is my personal opinion, my own investments and should not be treated as investing advice
  • I’m an amateur investor

Sunday, October 18, 2020

Adjusting PWM Frequency on D6? (RAMPS 1.4)

Hi all, Modifying Marlin to work with my CNC setup running on RAMPS1.4, namely configuring the spindle speed control to D6 PWM. I have a chinese speed controller that accepts a PWM input via optocoupler. However it looks like it uses Mach 3 (~12V VPP 1,000-10,000 Hz as shown by the documentation I was able to hunt down. Scaled up the voltage from PWM via P55NF06L with 10k pull-up, voltmeter says the 0-12V PWM works nicely (yay). Problem is frequency is way too slow by the look of things. When PWM is off, Spindle reads ~0V. But then no matter how I scale it, it's always stuck at 52V. I read that PWM on all pins is 490/980Hz by default, but can be adjusted up to 8MHz by adjusting the timers. Then reading into some Marlin documentation I discover that D6 uses TIMER4A. This looks like a custom timer breakout that doesn't quite fit the naming convention I've seen elsewhere on guidance for changing frequency.

Essentially I'm a little bit in over my head, looking to get pin D6 running at say, 5kHz, smack-bang in the middle of the accepted Mach3 range, and I would love any guidance on how!

Thank you very much for your time :D

Wednesday, October 7, 2020

My selection of ten stocks to buy this week: ACN ADI CHE ICE LMT MANT MRK SNE SNY UNH

Here is a couple of stocks that might be worth your attention.

This short list was compiled with help of various sources of data, including Buy recommendations from several renowned stock data providers and analytical services. This is why I'm calling the approach a consensus strategy. The stocks I'm going to present you below are generally believed to outperform the stock market in the coming months, they have a consensus recommendation of Buy, their fundamentals are scored considerably better than most stocks and their average target price by stock analysts is above current market valuation.

In order to consider buying the stock's shares, the following criteria need to be satisfied:

  • TheStreet score: A+, A or A-
  • Zacks Rank: 1 (Strong Buy), 2 (Buy) or 3 (Hold)
  • Weiss Ratings recommendation: A or B
  • Yahoo Finance recommendation: at least mixed Buy/Hold
  • MarketBeat recommendation: at least mixed Buy/Hold
  • Yahoo Finance target price: min. 5% higher than current price
  • MarketBeat target price: min. 5% higher than current price
  • Piotroski F-Score: min. 4
  • Moody's Daily Credit Risk: 1 to 6
  • InvestorsObserver Overall Score: min. 50

Note: Descriptions of those criteria are provided at the end of this post as well as HERE.

If you decide to buy any of the below stocks, you might want to consider the following selling conditions (at least one of them should be satisfied):

  • price is higher or close to target
  • profit is in range 20% - 30%
  • loss is higher than 50%
  • TheStreet recommendation is changed to Sell
  • Weiss Ratings recommendation is changed to Sell
  • Yahoo Finance recommendation is changed to Sell
Let's now take a look at the stocks I've identified with this strategy today.

ACCENTURE PLC (ACN)

Sector: Technology Services
Industry: Information Technology Services
Description: Accenture Plc engages in the provision of management consulting, technology, and outsourcing services. It operates through the following segments: Communications, Media, and Technology; Financial Services; Health and Public Service; Products; Resources; and Other.
Dividend: Accenture pays an annual dividend of $3.20 per share, with a dividend yield of 1.45%. ACN's next quarterly dividend payment will be made to shareholders of record on Friday, November 13. The company has grown its dividend for the last 1 consecutive years and is increasing its dividend by an average of -0.73% each year. Accenture pays out 42.90% of its earnings out as a dividend.
Current valuation: $221.07

Valuation of entry parameters:

TheStreet score: A-
Zacks Rank: Hold
Weiss Ratings recommendation: B (Buy)
Yahoo Finance recommendation: Buy
MarketBeat recommendation: Buy
Yahoo Finance target price: $240.22
MarketBeat target price: $232.48
Piotroski F-Score: 6
Moody’s Daily Credit Risk: 1
InvestorsObserver Overall Score: 64

ANALOG DEVICES (ADI)

Sector: Electronic Technology
Industry: Semiconductors
Description: Analog Devices, Inc. engages in the design, development, manufacture, and marketing of integrated circuits (ICs). Its products include industrial process control systems, medical imaging equipment, factory process automation systems, patient vital signs monitoring devices, instrumentation and measurement systems, wireless infrastructure equipment, energy management systems, networking equipment, aerospace and defense electronics, optical systems, automobiles, and portable consumer devices.
Dividend: Analog Devices pays an annual dividend of $2.48 per share, with a dividend yield of 2.11%. ADI's most recent quarterly dividend payment was made to shareholders of record on Wednesday, September 9. The company has grown its dividend for the last 1 consecutive years and is increasing its dividend by an average of 8.74% each year. Analog Devices pays out 48.16% of its earnings out as a dividend.
Current valuation: $117.25

Valuation of entry parameters:

TheStreet score: A-
Zacks Rank: Hold
Weiss Ratings recommendation: B- (Buy)
Yahoo Finance recommendation: Buy
MarketBeat recommendation: Buy
Yahoo Finance target price: $138.16
MarketBeat target price: $127.50
Piotroski F-Score: 6
Moody’s Daily Credit Risk: 6
InvestorsObserver Overall Score: 53

CHEMED CORP (CHE)

Sector: Health Services
Industry: Medical/Nursing Services
Description: Chemed Corp. engages in the provision of healthcare and maintenance services. It operates through the following segments: VITAS and Roto-Rooter. The VITAS segment offers hospice and palliative care services to patients through a network of physicians, registered nurses, home health aides, social workers, clergy, and volunteers. The Roto-Rooter segment includes plumbing, drain cleaning, water restoration, and other related services to residential and commercial customers.
Dividend: Chemed pays an annual dividend of $1.36 per share, with a dividend yield of 0.28%. CHE's most recent quarterly dividend payment was made to shareholders of record on Friday, September 4. The company has grown its dividend for the last 11 consecutive years and is increasing its dividend by an average of 7.43% each year. Chemed pays out 9.75% of its earnings out as a dividend.
Current valuation: $477.56

Valuation of entry parameters:

TheStreet score: A-
Zacks Rank: Hold
Weiss Ratings recommendation: B (Buy)
Yahoo Finance recommendation: Buy
MarketBeat recommendation: Buy
Yahoo Finance target price: $565.0
MarketBeat target price: $520.00
Piotroski F-Score: 7
Moody’s Daily Credit Risk: 1
InvestorsObserver Overall Score: 66

INTERCONTINENTAL EXCHANGE (ICE)

Sector: Finance
Industry: Investment Banks/Brokers
Description: Intercontinental Exchange, Inc. engages in the management of online marketplace. It operates through the Trading and Clearing; and Data and Listings segments. The Trading and Clearing segment offers transaction-based executions and clearing activities. The Data and Listings segment includes securities and subscription-based data services.
Dividend: Intercontinental Exchange pays an annual dividend of $1.20 per share, with a dividend yield of 1.19%. ICE's next quarterly dividend payment will be made to shareholders of record on Thursday, December 31. The company has grown its dividend for the last 1 consecutive years and is increasing its dividend by an average of 17.39% each year. Intercontinental Exchange pays out 30.93% of its earnings out as a dividend.
Current valuation: $100.97

Valuation of entry parameters:

TheStreet score: A
Zacks Rank: Hold
Weiss Ratings recommendation: B (Buy)
Yahoo Finance recommendation: Buy
MarketBeat recommendation: Buy
Yahoo Finance target price: $112.82
MarketBeat target price: $107.42
Piotroski F-Score: 7
Moody’s Daily Credit Risk: 4
InvestorsObserver Overall Score: 58

LOCKHEED MARTIN CORP (LMT)

Sector: Electronic Technology
Industry: Aerospace & Defense
Description: Lockheed Martin Corp. operates as a global security and aerospace company, which engages in the research, design, development, manufacture, integration, and sustainment of technology systems, products, and services. It operates through the following business segments: Aeronautics, Missiles and Fire Control (MFC), Rotary and Mission Systems (RMS) and Space.
Dividend: Lockheed Martin pays an annual dividend of $9.60 per share, with a dividend yield of 2.52%. LMT's next quarterly dividend payment will be made to shareholders of record on Thursday, December 24. The company has grown its dividend for the last 17 consecutive years and is increasing its dividend by an average of 9.96% each year. Lockheed Martin pays out 43.74% of its earnings out as a dividend.
Current valuation: $380.78

Valuation of entry parameters:

TheStreet score: A-
Zacks Rank: Hold
Weiss Ratings recommendation: B- (Buy)
Yahoo Finance recommendation: Buy
MarketBeat recommendation: Buy
Yahoo Finance target price: $435.95
MarketBeat target price: $448.33
Piotroski F-Score: 8
Moody’s Daily Credit Risk: 3
InvestorsObserver Overall Score: 63

MANTECH INTL CORP (MANT)

Sector: Technology Services
Industry: Packaged Software
Description: ManTech International Corp. engages in the provision of information technology and technical services solutions. It also offers cyber security, software and systems development, enterprise information technology, multi-disciplined intelligence, program protection and mission assurance, system engineering, test and evaluation, command, control, communications, computers, intelligence, training, supply chain, and management consulting.
Dividend: Mantech International pays an annual dividend of $1.28 per share, with a dividend yield of 1.82%. MANT's most recent quarterly dividend payment was made to shareholders of record on Friday, September 25. The company has grown its dividend for the last 1 consecutive years and is increasing its dividend by an average of 8.74% each year. Mantech International pays out 43.99% of its earnings out as a dividend.
Current valuation: $70.52

Valuation of entry parameters:

TheStreet score: A-
Zacks Rank: Buy
Weiss Ratings recommendation: B- (Buy)
Yahoo Finance recommendation: Buy/Hold
MarketBeat recommendation: Buy
Yahoo Finance target price: $82.43
MarketBeat target price: $82.33
Piotroski F-Score: 8
Moody’s Daily Credit Risk: 6
InvestorsObserver Overall Score: 51

MERCK & CO (MRK)

Sector: Health Technology
Industry: Pharmaceuticals: Major
Description: Merck & Co., Inc. engages in the provision of health solutions through its prescription medicines, vaccines, biologic therapies, animal health, and consumer care products. It operates through the following segments: Pharmaceutical, Animal Health, Healthcare Services, and Alliances.
Dividend: Merck & Co., Inc. pays an annual dividend of $2.44 per share, with a dividend yield of 3.05%. MRK's most recent quarterly dividend payment was made to shareholders of record on Wednesday, October 7. The company has grown its dividend for the last 1 consecutive years and is increasing its dividend by an average of 6.90% each year. Merck & Co., Inc. pays out 47.01% of its earnings out as a dividend.
Current valuation: $80.01

Valuation of entry parameters:

TheStreet score: A-
Zacks Rank: Hold
Weiss Ratings recommendation: B (Buy)
Yahoo Finance recommendation: Buy
MarketBeat recommendation: Buy
Yahoo Finance target price: $95.5
MarketBeat target price: $94.07
Piotroski F-Score: 8
Moody’s Daily Credit Risk: 3
InvestorsObserver Overall Score: 62

SONY CORP (SNE)

Sector: Consumer Durables
Industry: Electronics/Appliances
Description: Sony Corp. engages in the development, design, manufacture, and sale of electronic equipment, instruments, devices, game consoles, and software for consumers, professionals and industrial markets. It operates through the following segments: Game and Network Services, Music, Pictures, Home Entertainment and Sound, Imaging Products and Solutions, Mobile Communications, Semiconductors, Financial Services, and All Others.
Dividend: Sony pays an annual dividend of $0.34 per share, with a dividend yield of 0.46%. SNE's most recent n/a dividend payment was made to shareholders of record on Friday, June 9. The company has grown its dividend for the last 1 consecutive years and is increasing its dividend by an average of 27.24% each year. Sony pays out 8.02% of its earnings out as a dividend.
Current valuation: $73.25

Valuation of entry parameters:

TheStreet score: A-
Zacks Rank: Hold
Weiss Ratings recommendation: B (Buy)
Yahoo Finance recommendation: Strong Buy
MarketBeat recommendation: Buy
Yahoo Finance target price: $100.55
MarketBeat target price: $96.00
Piotroski F-Score: 5
Moody’s Daily Credit Risk: 2
InvestorsObserver Overall Score: 79

SANOFI (SNY)

Sector: Health Technology
Industry: Pharmaceuticals: Major
Description: Sanofi engages in the research, production, and distribution of pharmaceutical products. It operates through the following business segments: Pharmaceuticals, Consumer Healthcare, and Vaccines.
Dividend: Sanofi pays an annual dividend of $1.17 per share, with a dividend yield of 2.37%. SNY's most recent annually dividend payment was made to shareholders of record on Tuesday, May 26. Sanofi pays out 37.38% of its earnings out as a dividend.
Current valuation: $49.34

Valuation of entry parameters:

TheStreet score: A-
Zacks Rank: Hold
Weiss Ratings recommendation: B- (Buy)
Yahoo Finance recommendation: Buy
MarketBeat recommendation: Buy/Hold
Yahoo Finance target price: $61.13
MarketBeat target price: $57.00
Piotroski F-Score: 6
Moody’s Daily Credit Risk: NA
InvestorsObserver Overall Score: 60

UNITEDHEALTH GROUP INC (UNH)

Sector: Health Services
Industry: Managed Health Care
Description: UnitedHealth Group, Inc. engages in the provision of health care coverage, software, and data consultancy services. It operates through the following segments: UnitedHealthcare, OptumHealth, OptumInsight, and OptumRx.
Dividend: UnitedHealth Group pays an annual dividend of $5.00 per share, with a dividend yield of 1.55%. UNH's most recent quarterly dividend payment was made to shareholders of record on Tuesday, September 22. The company has grown its dividend for the last 10 consecutive years and is increasing its dividend by an average of 20.35% each year. UnitedHealth Group pays out 33.09% of its earnings out as a dividend.
Current valuation: $322.33

Valuation of entry parameters:

TheStreet score: A-
Zacks Rank: Hold
Weiss Ratings recommendation: B (Buy)
Yahoo Finance recommendation: Buy
MarketBeat recommendation: Buy
Yahoo Finance target price: $345.8
MarketBeat target price: $339.52
Piotroski F-Score: 7
Moody’s Daily Credit Risk: 4
InvestorsObserver Overall Score: 77

Now, a few words on the criteria I'm using and sources of data.

1. TheStreet score

The first filtering step is to get stocks with Buy recommendation at TheStreet stock screener (https://www.thestreet.com/r/ratings/reports/ir-screener.html). I'm only keeping stocks with A+, A or A- rating (top ones), although A-, B+, B and B- are Buys as well.

From thestreet.com:

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.

And about the methodology (source: https://www.thestreet.com/r/ratings/reports/detail/T.html):

TheStreet Ratings' stock model projects a stock's total return potential over a 12-month period including both price appreciation and dividends. Our Buy, Hold or Sell ratings designate how we expect these stocks to perform against a general benchmark of the equities market and interest rates. While our model is quantitative, it utilizes both subjective and objective elements. For instance, subjective elements include expected equities market returns, future interest rates, implied industry outlook and forecasted company earnings. Objective elements include volatility of past operating revenues, financial strength, and company cash flows.

2. Zacks Rank

It is required that the Zacks Rank is Hold, Buy or Strong Buy (so we're avoiding stocks with Sell and Strong Sell recommendations). The Zacks Rating utilizes a completely different system, based on company earnings-related data, in particular earnings estimate revisions and earnings surprises, to predict profitability of holding the company's shares. More from [https://www.zacks.com/education/stock-education/zacks-rank-guide-6](http://(average, from experts)):

The Zacks Rank is a proprietary stock-rating model that uses trends in earnings estimate revisions and EPS surprises to classify stocks into five groups: Strong Sell, Sell, Hold, Buy, Strong Buy

A portfolio of Zacks Rank #1 (Strong Buy) stocks has beaten the market in 26 of the last 31 years with an average annual return of +24.3% a year; more than double that of the S&P 500's +10.6% .

3. Weiss Ratings recommendation

We're only keeping stocks with Buy (B) or Strong Buy (A) recommendation.

Wjat are these scores? This is what I found at their website (https://weissratings.com/help/rating-definitions):

"A" Rating: Excellent. The company’s stock has an excellent track record for providing strong performance with lower-than-average risk, and it is trading at a price that represents good value relative to the company’s earnings prospects. While past performance is no guarantee of future results, our opinion is that this stock is among the most likely to deliver superior performance relative to risk in the future. Of course, even the best stocks can decline in a down market. But our “A” rating can generally be considered the equivalent of a "Strong Buy".

"B" rating: Good. The company’s stock has a good track record for delivering a balance of performance and risk. While the risk-adjusted performance of any stock is subject to change, our opinion is that this stock is a good value, with good prospects for outperforming the market. Although even good investments can decline in a down market, our “B” rating is considered the equivalent of a "Buy".

4. Yahoo Finance recommendation and target price

It is required that the Yahoo Finance stock recommendation is at least mixed Buy/Hold from experts. Additionally, the predicted target price (average, from experts) should be at least 5% higher than the current one.

5. MarketBeat recommendation and taget price

Similar to Yahoo Finance, it is required that the MarketBeat stock recommendation is at least mixed Buy/Hold. Additionally, the predicted target price (average, from experts) should be at least 5% higher than the current valuation.

6. Piotroski F-Score

The Piotroski score is a number between 0-9 that reflects nine criteria used to determine the strength of a company's financial situation, including profitability, leverage or operating efficiency. Zero is the worst value and nine is the best. As we can read in Piotroski’s paper from 2000:

In addition, an investment strategy that buys expected winners and shorts expected losers generates a 23% annual return between 1976 and 1996, and the strategy appears to be robust across time and to controls for alternative investment strategies.

It is required that the score is 4 or higher. The values were retrieved from https://www.gurufocus.com.

7. Moody's Daily Credit Risk

Moody’s Daily Credit Risk Score is a 1-10 score, which provides a forward-looking, one-year measure of credit risk. It is updated daily and takes into account day-to-day market movements compared to a company’s liabilities.

The value is retrieved from https://markets.businessinsider.com and is expected to be in the range of 1-6.

8. InvestorsObserver Overall Score

The rank has a value in between 0 and 100. It takes into account both technical analysis and fundamental stock data. An Overall Rank of N means that a given company is rated above N% of stocks, therefore the higher the number, the better. My requirement is that the company has InvestorsObserver Overall score of at least 50.

More detailed explanation from https://www.investorsobserver.com/learning-center/what-the-scores-mean/what-does-the-overall-score-mean:

The Overall Score combines our two technical scores (Short Term and Long Term) with our Fundamental Score into one metric. This makes our overall score a great place to start when evaluating stocks, regardless of your investing style.

A low score doesn’t necessarily mean a stock is likely to go down, just that our system doesn’t think there’s much of a bullish case for it.

Please note that the company profile data (short description) was taken from https://www.tradingview.com (sometimes I shortened it) and dividend data was retrieved from MarketBeat.

I hope you enjoyed the reading. What do you think about this stock selection and the strategy? Feel free to leave a comment below.

Michael

Disclosures:

  • What you see here is my personal opinion, my own investments and should not be treated as investing advice
  • I’m an amateur investor

Wednesday, September 30, 2020

[HIRING] Data Scientist III at ManTech International Corporation in Herndon, VA 20171

ManTech International Corporation is searching for a Data Scientist III in Herndon, VA 20171 with the following skills: SAS, Machine Learning, Database

Secure our Nation, Ignite your Future Do you have a desire to offer your skills and experience in support of a program that will impact the way Department of Veteran’s Affairs... apply or read more here: https://www.datayoshi.com/offer/987603/data-scientist-iii-mantech-international-corporation

[HIRING] Data Scientist III at ManTech International Corporation in Herndon, VA 20171

ManTech International Corporation is searching for a Data Scientist III in Herndon, VA 20171 with the following skills: SAS, Machine Learning, Database

Secure our Nation, Ignite your Future Do you have a desire to offer your skills and experience in support of a program that will impact the way Department of Veteran’s Affairs... apply or read more here: https://www.datayoshi.com/offer/987603/data-scientist-iii-mantech-international-corporation

ManTech International Corporation is looking for a remote Administrative/Clerical Assistant III #workathome #remotework #digitalnomad #remotejobs #techjobs https://t.co/OHaEPPby6G

https://twitter.com/BestRemoteJobs1/status/1311353243797270531

Friday, September 25, 2020

[HIRING] 40 Jobs in MD Hiring Now!

Company Name Title City
ACTS Retirement- Life Communities Registered Nurse 501 e Campus Avenue- Chestertown- Maryland 21620
Technatomy Corporation System Engineer Journeyman with Security Clearance Aber Prov Grd
Linquest Corporation Senior Systems Engineer II with Security Clearance Aber Prov Grd
Kelly Services Inc. Technical Support (Avionics Equipment) with Security Clearance Aber Prov Grd
Caci Senior Electrical Engineer with Security Clearance Aber Prov Grd
Science and Technology Corp. Bioinformatics Programmer with Security Clearance Aber Prov Grd
Darkblade Systems Corporation SIGINT/EW SME with Security Clearance Aber Prov Grd
Darkblade Systems Corporation Systems Engineer with Security Clearance Aber Prov Grd
iQuasar LLC Software Engineer with Security Clearance Aber Prov Grd
Pixelmatters IE with Security Clearance Aber Prov Grd
Kavaliro Help Desk Support with Security Clearance Aber Prov Grd
Teksouth Corporation Data Analytics Desktop Tools Developer/Human Resources with Security Clearance Aber Prov Grd
Anonymous Employer Desktop Support Specialist with Security Clearance Aber Prov Grd
Whitney, Bradley and Brown Application Systems Analyst Aberdeen
T2S Solutions Army Cloud Engineer Aberdeen Proving Ground
General Dynamics Information Technology General Dynamics Information Technology: Biomedical Equipment Technician Aberdeen Proving Ground
Latitude, Inc. .Net Developer Aberdeen Proving Ground
The Tatitlek Corporation Clinical Laboratory Senior Scientist - Tatitlek Federal Services (4708-205) Aberdeen Proving Ground
ASRC Federal Technical Writer with Security Clearance Aberdeen Proving Ground
Mantech International Corporation Network Engineer Junior (Secret Clearance Required) Aberdeen Proving Ground
ClearedJobsNet Hardware in-the-loop Software Development Engineer Aberdeen Proving Ground
Ukpeagvik Inupiat Corporation Program Administrative Assistant Aberdeen Proving Ground
JCS Solutions LLC SAP Finance Business Analyst with Security Clearance Aberdeen Proving Ground
22nd Century Technologies, Inc. Network Specialist Aberdeen Proving Ground
ClearedJobsNet Systems Administrator Aberdeen Proving Ground
CACI International CACI International: Field Service Engineer (It Infrastructure) Aberdeen Proving Ground
UICGS and Bowhead Family of Companies Budget Analyst - Journeyman with Security Clearance Aberdeen Proving Ground
Sev1Tech Installer with Security Clearance Aberdeen Proving Ground
Information Management Group Service Desk Specialist Level 2 with TS/SCI with Security Clearance Aberdeen Proving Ground
RoadOne IntermodaLogistics CDL-A Owner Operator - Intermodal - 1 yr EXP Required (Aberdeen Proving Ground) Aberdeen Proving Ground
JCS Solutions LLC SAP ERP: Subject Matter Expert Aberdeen Proving Ground
DynCorp International Logistics Management Principal Aberdeen Proving Ground
ASRC Federal Lead (Windows/Linux) System Administrator (Active Secret Security Clearance Required) Aberdeen Proving Ground
Serco Group Site Information Systems Security Officer - (ARL) DSRC, Aberdeen Proving Ground, Maryland Aberdeen Proving Ground
Pci (AECSS FIRES1) Program Systems Analyst II - APG (MD) with Security Clearance Aberdeen Proving Grounds
The Tatitlek Corporation Clinical Laboratory Consultant - Tatitlek Federal Services with Security Clearance Aberdeen Proving Grounds
Pci (AECSS RAD 2) RAM Engineer III - APG (MD) with Security Clearance Aberdeen Proving Grounds
Keaki Technologies Systems Administrator, Senior with Security Clearance Aberdeen Proving Grounds
IAP Worldwide Services, Inc Data Scientist, Journeyman with Security Clearance Aberdeen Proving Grounds
IAP Worldwide Services, Inc Contracts Manager (Aberdeen, MD) with Security Clearance Aberdeen Proving Grounds

Hey guys, here are some recent job openings in md. Feel free to comment here or send me a private message if you have any questions, I'm at the community's disposal! If you encounter any problems with any of these job openings please let me know that I will modify the table accordingly. Thanks!

Monday, September 21, 2020

[HIRING] 40 Jobs in MD Hiring Now!

Company Name Title City
R. E. Garrison CDL-A Driving Jobs - Dedicated Lanes Abell
Kuehne & Nagel Logistics, Inc. Inbound/Outbound Coordinator Aberdeen
Roehl Transport Inc CDL-A Refrigerated Truck Driver - Flexible Home Time! Aberdeen
Capstone Logistics Travel Team Unloader Aberdeen
Strategic Resources Inc (SRI) Cybersecurity Analyst Aberdeen
Boyd Bros Transportation Boyd Bros Transportation: Cdl-A Experienced Flatbed Truck Driver Aberdeen
DCS CORPORATION DCS CORPORATION: Foreign Military Sales (Fms) Program Analyst Aberdeen
MITRE MITRE: Lead Artificial Intelligence Engineer Aberdeen
MITRE MITRE: Ai/Ml Expert Aberdeen
HealthCare Traveler Jobs Neuro ICU - Critical Care Unit RN - Travel (Aberdeen) Aberdeen
The Y of Central Maryland Y Academic Support Teacher Aberdeen Proving Gro
The Y of Central Maryland Y Academic Support Center Manager Aberdeen Proving Gro
Johnson Controls, Inc. Entry Level Installer - Low Voltage Electronic Security Systems Aberdeen Proving Ground
Telesis DevOps Engineer - Senior Aberdeen Proving Ground
ClearedJobsNet Systems Administrator Aberdeen Proving Ground
ClearedJobsNet Hardware in-the-loop Software Development Engineer Aberdeen Proving Ground
General Dynamics Information Technology Biomedical Equipment Technician (BMET) Aberdeen Proving Ground
Oasis Systems, Inc. Data Manager Aberdeen Proving Ground
PDS Tech, Inc. Technical Support Engineer - Clearance Aberdeen Proving Ground
KeyLogic Human Factors Analyst II Aberdeen Proving Ground
General Dynamics Information Technology General Dynamics Information Technology: Biomedical Equipment Technician Aberdeen Proving Ground
Healthpro Heritage School Speech Language Pathologist (SLP) Aberdeen Proving Ground
Alakaina Foundation Family Of Companies Senior Systems Administrator Aberdeen Proving Ground
Mantech International Corporation Systems Administrator, Junior (Windows / Unix) Aberdeen Proving Ground
The Tatitlek Corporation Clinical Laboratory Senior Scientist - Tatitlek Federal Services (4708-205) Aberdeen Proving Ground
R. E. Garrison CDL-A Driving Jobs - Dedicated Lanes Aberdeen Proving Ground
Ukpeagvik Inupiat Corporation Program Administrative Assistant Aberdeen Proving Ground
CompQsoft,Inc . SAP Consultant Aberdeen Proving Ground
iGov Trainer (Must be able to obtain a Secret Security Clearance) Aberdeen Proving Ground
Oasis Systems, Inc. General Test Engineer Aberdeen Proving Ground
IAP Worldwide Services Data Scientist, Journeyman Aberdeen Proving Ground
R. E. Garrison CDL-A Driving Jobs - Dedicated Lanes Abingdon
Habitat America Maintenance Technician Abingdon
Walgreens Customer Service Associate Abingdon
Vistronix, Inc. Automated Test Engineer / Software Engineer Abingdon
Midwest Transport, Inc. CDL A Driver for Home Daily Postal Route Accident
Department of the Navy Department of the Navy: Personnel Management And Program Analyst Accokeek
The Asbury Group Integrated Technologies Service Desk Analyst Adamstown
Adelphi Nursing & Rehab Registered Nurse Adelphi
Leidos Holdings Inc. Cyber Security Analyst Adelphi

Hey guys, here are some recent job openings in md. Feel free to comment here or send me a private message if you have any questions, I'm at the community's disposal! If you encounter any problems with any of these job openings please let me know that I will modify the table accordingly. Thanks!