Looks like a good turn around play. The previous 2Q’s were bad, but the MRQ saw a big recovery with quality earnings. Those 2Q’s were bad EPS misses which cause an average 2.91% EPS miss. R has actually staued consistent. NI took a hit, but rebounded well, same with CFO. Margins went down, but also rebounded well. Despite their trouble, they still maintained a high 16.84% average margine and a very good 87.64% YoY margin.

The VCP looks early, I’d like to see another drawdown on declining volume. The daily strength is showing weakness. Weakly looks stronger, but is showing overbought conditions. There could be some pullback which may complete the VCP. Keep watch for that.