COMPLEX ROBINSON
COMPLEX     ROBINSON 
 The United States STOCK MARKET recommendation as of 07/30/2020 is ~~~~  MARKET TREND UP 





DOW JONES 26314.00 for the week just ended  -338.00     BANKS    74.75 for the week just ended    -1.13
      VIX    24.75 for the week just ended    -1.25    RETAIL  1796.00 for the week just ended   +26.00
TRIN/ARMS      .75 for the week just ended     -.38 52 WK HGs    57.00 for the week just ended   -42.00
GOLD BUGS   339.50 for the week just ended    +9.25 52 WK LWs     4.00 for the week just ended    +1.00
 64 week

   
High....... Low........ Symbol Name.......................................... Recommendation THURSDAY
Close....
Share....
Volume...
Earnings P/E...
Ratio...
Div.. Yield        
4 1/4 1 3/8 ARAY Accuray Incorporated -O HOLD 2 1/4 369,800 0.03 100.17
463 3/4 262 ADBE Adobe Systems Inc -O HOLD-S 438 7/8 1,448,900 7.59 45.72
78 7/8 26 AMD Adv Micro Devices -O SELL 78 1/8 80,286,800 0.41 105.73
98 62 1/8 A Agilent Technologies -N SELL 95 7/8 1,663,300 2.18 35.36 0.62 .65%
330 5/8 142 1/2 ALGN Align Technology -O HOLD-S 296 755,100 23.85 9.00
1572 1048 GOOG Alphabet Cl C -O HOLD-S 1531 1,671,300 49.57 25.68
43 1/4 23 ALTR Altair Engineering Inc Cl A -O HOLD-S 40 1/2 134,600 -0.21 -99.90
389 175 AAPL Apple Inc -O SELL 384 3/4 39,532,500 12.76 21.63 2.51 .65%
67 7/8 37 3/4 AMAT Applied Materials -O HOLD-S 64 3/8 5,525,000 3.14 16.89 0.76 1.18%
251 3/8 135 1/2 ADSK Autodesk Inc -O HOLD-S 236 713,100 1.37 134.72
5 3/4 2 1/4 AXTI Axt Inc -O HOLD 4 5/8 264,300 -0.05 -78.40
540 281 5/8 BIO Bio-Rad Laboratories -N SELL 535 1/2 160,200 52.17 7.65
129 1/8 64 3/4 BMRN Biomarin Pharmaceuticals -O HOLD-S 121 5/8 816,100 0.61 153.96
108 54 1/2 CDNS Cadence Design Sys -O SELL 107 5/8 1,427,300 3.54 20.71
57 1/4 41 7/8 CWT California Water Service Gro-N HOLD 48 299,100 -1.45 -33.52 0.90 1.88%
35 5/8 20 7/8 CENTA Central Garden & Pet -O HOLD-S 35 1/4 305,400 1.54 17.95
8 3/8 3 CENX Century Aluminum C -O HOLD-S 7 5/8 513,000 -0.55 -10.30
58 1/8 33 CSCO Cisco Systems Inc -O HOLD 46 3/8 15,385,100 2.72 16.67 1.44 3.11%
233 144 1/4 CLX Clorox Company -N SELL 231 1/4 821,300 6.82 26.65 3.78 1.63%
175 88 5/8 COHR Coherent Inc -O HOLD 139 3/4 124,500 -9.90 -7.43
358 3/4 246 5/8 COO Cooper Companies -N HOLD 282 5/8 247,000 6.75 44.62 0.06 .02%
103 3/4 59 3/4 CPRT Copart Inc -O HOLD-S 92 5/8 1,185,600 2.88 27.88
40 7/8 21 1/8 CORE Core Mark Holding -O HOLD 26 1/2 154,600 1.32 23.44 0.60 2.26%
159 3/8 110 7/8 DLR Digital Realty Trust -N HOLD-S 158 5/8 1,956,600 2.79 47.20 4.16 2.62%
713 477 DSPG DJ US PERSGOODS -J HOLD-S 658 73,292,300 -0.11 -99.90
659 1/2 650 3/4 DSPG DJ US PERSGOODS -J HOLD-W 658 73,292,300 -0.11 -99.90
73 1/8 48 7/8 DLB Dolby Laboratories -N HOLD-S 69 312,300 3.13 18.83 0.76 1.10%
60 1/2 27 1/8 EBAY Ebay Inc -O HOLD-S 54 5/8 8,018,200 2.16 18.03 0.50 .92%
141 1/8 54 7/8 EHTH Ehealth Inc -O HOLD-B 72 1/4 2,012,400 2.41 42.51
139 1/2 86 3/4 EA Electronic Arts Inc -O SELL 138 1/2 2,717,600 10.25 10.61
787 5/8 483 5/8 EQIX Equinix Inc -O SELL 778 461,500 5.94 100.69 9.15 1.18%
331 5/8 189 1/4 ESS Essex Property Trust -N HOLD-B 220 1/2 520,400 9.62 26.51 9.13 4.14%
26 3/8 14 3/4 EXEL Exelixis Inc -O HOLD 23 3/4 1,836,900 0.93 22.30
84 1/8 55 1/8 EXPO Exponent Inc -O HOLD-S 83 3/8 229,700 1.60 43.61 0.68 .82%
32 1/4 14 1/4 FORM Formfactor Inc -O HOLD-S 30 3/4 538,200 0.64 35.41
35 3/4 14 7/8 BEN Franklin Resources -N HOLD 20 5/8 3,363,600 1.95 12.99 1.26 6.11%
22 3/8 5 1/4 GPS Gap Inc -N HOLD-S 13 5/8 9,198,900 -2.10 -5.98 1.06 7.78%
84 61 7/8 GILD Gilead Sciences Inc -O HOLD 72 1/4 9,274,100 3.89 18.88 2.66 3.68%
8 3/4 5 1/4 GSIT Gsi Technology Inc -O HOLD 6 1/2 68,700 -0.45 -15.28
8 1/4 4 1/2 HLIT Harmonic Inc -O HOLD 5 3/4 701,200 -0.18 -36.14
22 3/4 13 3/8 HPQ Hp Inc -N HOLD 17 1/8 8,938,700 2.00 9.12 0.75 4.38%
8 1/4 2 3/4 INFN Infinera Corp -O HOLD-S 7 7/8 1,919,800 -2.02 -2.76
67 7/8 42 3/4 INTC Intel Corp -O HOLD-W 47 7/8 39,735,100 5.17 10.92 1.24 2.59%
7 1/2 3 1/4 IVAC Intevac Inc -O HOLD-S 6 1/8 65,500 0.09 60.28
311 199 3/8 INTU Intuit Inc -O HOLD-S 303 7/8 867,300 5.06 48.87 1.78 .59%
699 5/8 391 1/4 ISRG Intuitive Surg Inc -O SELL 687 3/8 546,900 11.60 42.22
4 2 1/8 JMP JMP Group Inc -N HOLD 2 5/8 15,300 -1.18 -2.62
27 3/8 17 1/2 JNPR Juniper Networks -N HOLD-S 24 7/8 1,851,800 0.97 22.05 0.75 3.02%
209 1/4 102 5/8 KLAC K L A-Tencor Corp -O HOLD-S 197 7/8 1,166,900 6.41 24.00 2.71 1.37%
381 1/2 173 1/2 LRCX Lam Research Corp -O SELL 378 1/2 2,567,800 13.90 18.70 3.80 1.00%
12 3/8 7 1/2 LNDC Landec Cp -O HOLD 9 5/8 143,000 -0.75 -13.33
119 1/4 73 1/8 LSI Life Storage -N HOLD 97 199,400 5.59 16.72 4.25 4.38%
72 3/4 31 1/2 LOGI Logitech Int S.A. -O SELL 72 3/4 363,100 2.65 17.91 0.56 .77%
70 1/8 43 3/4 MXIM Maxim Integrated -O HOLD-S 69 3,367,900 2.97 18.12 1.68 2.43%
81 3/4 45 5/8 MGRC Mcgrath Rentcorp -O HOLD 59 7/8 211,600 3.99 16.07 2.02 3.37%
171 1/8 119 1/2 MCK Mckesson Corp -N HOLD 153 1/2 748,100 5.02 28.36 1.52 .99%
271 3/4 116 1/8 MPWR Monolithic Power Sys -O SELL 269 3/4 337,200 2.61 69.56 1.60 .59%
36 5/8 14 NKTR Nektar Therapeutics -O HOLD 23 1/4 790,100 -2.62 -9.63
69 7/8 35 3/4 NTAP Netapp Inc -O HOLD 42 3/4 2,526,300 3.54 14.13 2.27 5.31%
525 1/2 260 3/8 NFLX Netflix Inc -O HOLD-S 485 3/4 6,608,500 4.66 77.93
36 5/8 16 7/8 NTGR Netgear Inc -O HOLD-S 29 7/8 255,400 0.27 96.07
424 7/8 135 3/8 NVDA Nvidia Corp -O SELL 424 1/2 7,722,000 5.36 49.73 0.45 .11%
92 1/2 54 1/8 OMCL Omnicell Inc -O HOLD 71 1/4 259,200 1.61 46.30
60 39 5/8 ORCL Oracle Corp -N HOLD 55 1/4 7,633,200 3.09 16.22 0.87 1.57%
25 1/8 4 PCG Pacific Gas & Electric Compa-N HOLD 9 1/4 22,771,900 -9.90 -0.98
951 3/8 905 7/8 PLT Platinum Index -J HOLD-W 905 7/8 0 -9.90 -1.14
1036 7 1/8 PLT Platinum Index -J HOLD 905 7/8 0 -9.90 -1.14
126 1/4 64 7/8 POWI Power Integratn -O HOLD-S 125 1/2 259,600 6.72 14.50 0.68 .54%
16 7/8 9 5/8 RMBS Rambus Inc -O HOLD 14 1/2 480,100 -0.65 -19.99
5 1/8 1 1/4 RIGL Rigel Pharmaceuticals -O HOLD 2 3/8 4,038,800 -0.17 -12.74
63 3/4 34 3/8 RHI Robert Half International In-N HOLD 50 7/8 1,084,800 3.76 12.81 1.26 2.48%
124 1/8 63 3/4 ROST Ross Stores Inc -O HOLD 88 7/8 2,524,000 2.58 34.97
202 3/4 130 CRM Salesforce.com Inc -N HOLD-S 191 5/8 3,587,400 -0.17 -99.90
98 1/2 54 3/4 SSD Simpson Manufacturing Compan-N SELL 97 1/4 375,300 3.31 21.55 0.83 .85%
74 1/2 50 3/4 SJW SJW Corp -N HOLD 63 1/2 69,700 0.69 87.38 1.29 2.03%
32 16 SMCI Super Micro Computer -O HOLD-S 29 5/8 230,100 1.71 14.35
271 127 1/2 SIVB Svb Financial Group -O HOLD 225 3/8 168,000 18.84 10.57
82 3/8 26 1/4 SYNA Synaptics Inc -O SELL 79 1/8 519,100 -0.51 -99.90
150 71 1/2 SNX Synnex Corp -N HOLD-S 124 1/8 155,600 10.41 9.85
204 7/8 109 1/8 SNPS Synopsys Inc -O SELL 199 1/4 375,000 3.07 49.28
46 5/8 25 TRMB Trimble Navigation -O HOLD-S 45 1/2 558,300 2.04 16.34
1520 59 ADVS TSX Advancing Stocks -J HOLD 680 129,028,500 .00 .00
30 7/8 11 5/8 UCTT Ultra Clean Holdings -O SELL 30 3/4 2,361,200 -0.02 -99.90
149 1/2 92 1/8 VAR Varian Medical Systems -N HOLD-S 138 1/4 1,127,600 2.57 46.63
213 5/8 145 5/8 V Visa Inc -N HOLD 194 10,499,300 5.56 31.30 1.10 .57%
206 3/8 96 3/8 VMW Vmware Inc -N HOLD 138 7/8 825,200 3.28 41.08
104 73 7/8 WCN Waste Connections Inc -N SELL 101 7/8 683,500 2.21 39.83 0.73 .72%
54 3/8 22 WFC Wells Fargo & Company -N HOLD-B 24 5/8 51,019,200 2.83 13.56 3.00 12.18%
69 46 7/8 WABC Westamerica Bancorp -O HOLD 61 78,200 2.87 20.21 1.77 2.90%
88 1/4 34 1/2 WSM Williams-Sonoma -N HOLD-S 87 5/8 1,523,800 4.30 13.29 1.31 1.50%
74 3/8 14 WLFC Willis Lease Fin C -O HOLD-B 20 5/8 13,400 7.72 5.74
127 7/8 67 5/8 XLNX Xilinx Inc -O SELL 111 7/8 4,840,700 3.11 32.26 1.65 1.47%