COMPLEX ROBINSON
COMPLEX     ROBINSON 
 The United States STOCK MARKET recommendation as of 05/28/2026 is ~~~~  MARKET TREND UP 

DIA 507 AAPL 312 1/2 AMZN 274
HOLD-S SELL SELL
BAC 50 3/4 BRK.A 715660 EBAY 112
HOLD HOLD SELL
META 635 1/4 GM 84 1/4 GOOG 386
HOLD HOLD-S SELL
GDX 87 1/8 DOG 22 3/8 BITO 10
HOLD HOLD-B HOLD-B
TSLA 442 WYNN 101 1/2 FICO 1296
HOLD-S HOLD HOLD
DOW JONES 50668.00 for the week just ended  +383.00     BANKS    63.38 for the week just ended unchnged
APPLE INC   312.50 for the week just ended    +7.50    RETAIL    85.50 for the week just ended    +3.75
CRUDE OIL    88.50 for the week just ended    -9.00    NVIDIA   214.25 for the week just ended    -5.25
GOLD BUGS  4524.00 for the week just ended   -18.00 EXXONMOBI   147.00 for the week just ended    -8.25
 64 week

   
High....... Low........ Symbol Name.......................................... Recommendation THURSDAY
Close....
Share....
Volume...
Earnings P/E...
Ratio...
Div.. Yield        
2 0 1/4 ARAY Accuray Inc -O HOLD 0 3/8 5,470,000 -9.99 -.04
421 3/4 227 5/8 ADBE Adobe Systems Inc -O HOLD-B 241 3/8 3,380,000 0.05 999.99
527 1/8 83 5/8 AMD Adv Micro Devices -O SELL 518 31,260,000 0.58 893.10
155 98 7/8 A Agilent Technologies -N BUY 135 3/8 6,510,000 0.19 712.50 1.15 .85%
204 124 1/8 ALGN Align Technology -O HOLD 173 1/4 1,590,000 0.17 999.99
399 147 1/2 GOOG Alphabet Cl C -O SELL 386 20,770,000 0.11 999.99 0.61 .16%
312 3/4 186 AAPL Apple Inc -O SELL 312 1/2 48,130,000 0.15 999.99 0.90 .29%
457 5/8 123 7/8 AMAT Applied Materials -O SELL 449 5/8 5,640,000 0.15 999.99 1.26 .28%
329 217 1/8 ADSK Autodesk Inc -O HOLD 241 4,020,000 0.18 999.99
129 3/8 1 1/8 AXTI Axt Inc -O SELL 115 5/8 6,470,000 -0.55 -99.99
342 1/8 219 3/8 BIO Bio-Rad Laboratories -N HOLD-S 318 1/8 652,400 0.15 999.99
72 3/4 50 BMRN Biomarin Pharmaceuticals -O HOLD-B 52 5/8 1,810,000 0.67 78.54
379 232 3/8 CDNS Cadence Design Sys -O SELL 373 7/8 1,920,000 0.26 999.99
51 1/8 41 7/8 CWT California Water Service Gro-N HOLD 43 3/4 488,600 0.48 91.15 1.41 3.22%
36 7/8 26 5/8 CENTA Central Garden & Pet -O HOLD-S 34 7/8 296,800 0.41 85.06
68 5/8 14 1/4 CENX Century Aluminum C -O HOLD-S 67 1/2 2,040,000 3.68 18.34
120 5/8 54 3/8 CSCO Cisco Systems Inc -O SELL 118 1/2 19,850,000 0.42 282.14 1.38 1.16%
150 3/4 86 CLX Clorox Company -N HOLD 96 1/8 2,040,000 0.13 739.42 6.16 6.41%
411 3/4 45 1/2 COHR Coherent Corp -N SELL 377 3,690,000 0.70 538.57 0.02 .01%
90 58 7/8 COO Cooper Companies -O BUY +5> 61 2,160,000 0.40 152.50
63 3/4 32 1/8 CPRT Copart Inc -O HOLD-B 33 1/4 10,350,000 0.44 75.57
203 1/8 135 1/2 DLR Digital Realty Trust -N HOLD 191 3/8 1,380,000 0.29 659.91 4.45 2.33%
81 7/8 52 3/8 DLB Dolby Laboratories -N HOLD-B 55 1/4 703,900 0.34 162.50 1.61 2.91%
118 7/8 61 5/8 EBAY Ebay Inc -O SELL 112 5,060,000 0.27 414.81 1.04 .93%
8 1/8 1 1/8 EHTH Ehealth Inc -O HOLD-B 1 1/2 367,000 -7.03 -.21
204 7/8 135 EA Electronic Arts Inc -O HOLD 201 1/8 1,640,000 0.33 609.47 0.66 .33%
1124 724 5/8 EQIX Equinix Inc -O HOLD-S 1069 443,000 0.08 999.99 9.99 .93%
306 3/4 238 1/2 ESS Essex Property Trust -N SELL 276 3/8 356,200 0.11 999.99 9.99 3.61%
52 7/8 34 1/8 EXEL Exelixis Inc -O HOLD-S 51 3/8 3,570,000 0.38 135.20
82 7/8 53 1/2 EXPO Exponent Inc -O HOLD-B 58 3/8 445,000 0.39 149.68 1.47 2.52%
151 1/2 22 3/4 FORM Formfactor Inc -O HOLD-S 130 1/8 960,900 1.86 69.96
32 3/8 17 1/8 BEN Franklin Resources -N HOLD-S 31 1/8 3,580,000 0.91 34.20 1.22 3.92%
157 93 3/8 GILD Gilead Sciences Inc -O HOLD 136 1/8 5,610,000 0.14 972.32 3.12 2.29%
12 7/8 1 3/4 GSIT Gsi Technology Inc -O HOLD-S 10 5/8 1,660,000 -2.78 -3.82
17 5/8 8 1/8 HLIT Harmonic Inc -O SELL 17 6,220,000 -2.88 -5.90
29 3/8 18 HPQ HP Inc -N SELL 25 36,530,000 0.36 69.44 1.26 5.04%
129 3/4 18 1/8 INTC Intel Corp -O SELL 120 7/8 96,530,000 -0.43 -99.99 0.03 .02%
790 3/8 302 3/8 INTU Intuit Inc -O HOLD-W 313 7,480,000 0.04 999.99 6.88 2.20%
590 414 3/4 ISRG Intuitive Surg Inc -O HOLD-B 423 1/2 2,180,000 0.11 999.99
1961 559 3/4 KLAC K L A-Tencor Corp -O SELL 1928 885,100 0.04 999.99 5.53 .29%
322 1/2 57 7/8 LRCX Lam Research Corp -O SELL 318 8,380,000 0.30 999.99 0.65 .20%
123 67 1/8 LOGI Logitech Int S.A. -O HOLD-S 111 3/4 985,000 0.23 485.87 1.52 1.36%
126 1/4 96 1/4 MGRC Mcgrath Rentcorp -O HOLD 111 3/8 101,900 0.16 696.09 1.93 1.73%
983 1/4 639 1/8 MCK Mckesson Corp -N HOLD-B 757 1,440,000 0.02 999.99 3.52 .46%
1657 451 1/4 MPWR Monolithic Power Sys -O SELL 1633 501,000 0.10 999.99 5.62 .34%
95 1/8 0 1/2 NKTR Nektar Therapeutics -O HOLD 64 7/8 384,000 -0.50 -99.99
143 1/2 74 3/4 NTAP Netapp Inc -O SELL 142 3/8 5,970,000 0.18 790.97 2.01 1.41%
1331 1 NFLX Netflix Inc -O HOLD-W 86 1/4 38,650,000 0.27 319.44 0.31 .36%
36 1/2 19 1/4 NTGR Netgear Inc -O HOLD 25 5/8 326,300 -1.05 -24.40
236 1/2 92 NVDA Nvidia Corp -O HOLD-S 214 1/4 141,750,000 0.26 824.04 0.03 .01%
51 1/2 25 3/8 OMCL Omnicell Inc -O HOLD-S 44 5/8 298,400 2.59 17.23
311 127 ORCL Oracle Corp -N HOLD-S 203 5/8 24,790,000 0.15 999.99 2.31 1.13%
19 13 1/4 PCG Pacific Gas & Electric Compa-N HOLD 16 1/4 15,030,000 0.78 20.83 0.20 1.23%
40 1/4 22 7/8 PAY Paymentus Holdings Inc Cl A -N HOLD-B 23 1/4 1,210,000 1.49 15.60
87 7/8 31 3/8 POWI Power Integratn -O SELL 87 1,770,000 4.48 19.42 0.64 .74%
153 3/8 40 3/4 RMBS Rambus Inc -O HOLD-S 148 1,870,000 0.58 255.17
52 1/8 15 3/4 RIGL Rigel Pharmaceuticals -O HOLD 30 299,200 0.04 750.00
54 3/4 22 3/8 RHI Robert Half Inc -N HOLD 28 3/8 1,310,000 0.59 48.09 2.75 9.69%
233 122 3/8 ROST Ross Stores Inc -O HOLD-S 227 1/8 3,440,000 0.19 999.99 1.42 .63%
292 1/8 164 1/4 CRM Salesforce Inc -N HOLD 176 1/8 21,330,000 0.10 999.99 1.22 .69%
1698 28 1/4 SNDK Sandisk Corp -O SELL 1642 9,920,000 0.07 999.99
210 1/2 137 3/8 SSD Simpson Manufacturing Compan-N HOLD 191 1/8 258,700 0.12 999.99 1.13 .59%
58 1/2 21 3/8 SMCI Super Micro Computer -O SELL 41 1/4 70,240,000 0.46 89.67
143 3/4 45 1/4 SYNA Synaptics Inc -O SELL 143 1/4 826,300 -0.35 -99.99
247 3/4 94 3/8 SNX Synnex Corp -N SELL 246 1/8 877,000 0.11 999.99 1.43 .58%
625 3/8 379 1/2 SNPS Synopsys Inc -O HOLD 480 1/2 4,740,000 0.16 999.99
9 7/8 9 3/4 BEBE Tge Value Creative Solutions-O HOLD 9 7/8 100 -3.02 -3.27
85 54 TRMB Trimble Navigation -O HOLD-W 54 7/8 2,460,000 0.43 127.62
1617 9 ADVS TSX Advancing Stocks -J HOLD 1245 0 .00 .00
568 1/2 420 7/8 DSPG U.S. Personal Goods Index -J HOLD 465 7/8 69,800,000 .00 .00
90 3/4 16 5/8 UCTT Ultra Clean Holdings -O SELL 87 1/4 1,060,000 -0.55 -99.99
371 294 1/4 V Visa Inc -N HOLD 325 8,100,000 0.08 999.99 2.84 .87%
200 5/8 150 1/4 WCN Waste Connections Inc -N HOLD-B 151 1,480,000 0.21 719.05 1.64 1.09%
96 1/8 59 5/8 WFC Wells Fargo & Company -N HOLD 76 5/8 14,150,000 0.14 547.32 2.12 2.77%
55 1/2 42 WABC Westamerica Bancorp -O HOLD-S 55 1/4 106,700 0.24 230.21 1.71 3.10%
222 130 WSM Williams-Sonoma -N HOLD-S 205 1/2 1,150,000 0.11 999.99 2.96 1.44%
226 1/2 119 WLFC Willis Lease Fin C -O HOLD 182 1/2 90,100 0.08 999.99 1.03 .56%