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Thread: NYSE Analytics

  1. #11

    Default NYSE Analytics 22 October

    Spyder ETF grows before NYSE opening bell.
     European Indexes are in positive side
    SPY (intraday chart) uptrend at extended hours. Resistance: 175.00 , Support: 174.00
    Pre-market NYSE/NASDAQ:
    Gapping up:
    • In reaction to strong earnings/guidance: NUS +13.6%, VMW +10.2%, NFLX +9.3% (also upgraded to Overweight from Equal Weight at Evercore), ILMN +6.4%, WHR +6.1%, FRX +5.6%, LXK +4.7%, GNTX +4%, LMT +3.4%, DAL +2.9%, TJX +2.8%, TRV +2.4%, HXL +2.1%, (light volume), CIT +2%, R +1.8% (light volume), FCX +1.8%, NVS +1.6%, HOG +1.3% (light volume), DD +0.7%, PII +0.7%.
    • M&A news: SYMM +49.9% (Symmetricom to be acquired by MicroSemi Corporation (MSCC) for $7.18 per share).
    • China internet names higher: RENN +5.2%, YOKU +2.9%, BIDU +0.5%
    • A few solar names are trading higher: ASTI +10.3%, SPWR +3.9%, FSLR +2.5%
    • Other news: OXBT +74.3% (signs agreement to acquire Phase 3, FDA Fast track product), DEPO +14.1% and PDLI +0.4%(Depomed sells Type 2 diabetes royalties and milestones to PDL BioPharma (PDLI) for $240.5 mln), ONCY +12.1% (Oncolytics Biotech announces progression free survival data for Phase 2 study of REOLYSIN in squamous cell lung cancer; of the evaluable patients who had more than one cycle of therapy, 23 (92%) exhibited overall tumour shrinkage), ARIA +6.8% (confirms Conference Call and Webcast Discussion of Third Quarter 2013 Financial Results on November 6), NCTY +6% (announces signing of non-binding term sheet with strategic investor Shanghai Oriental Pearl Culture Development Co., Ltd.), QEP +6% ( comments on JANA Partners' filing out last night; says 'QEP's Board and management team are focused on developing strategies and taking actions that they believe will create value for all of our shareholders'), EMC +5.9% (following VNW results), RIG +4.4% ( RIG to replace DELL in the S&P 500), BHP +2.3% ( announced in the September 2013 quarter as production increased by 11% from the prior corresponding period), HLF +2.3% (up with NUS), KOG +1.4% (Announces Third Quarter 2013 Sales Volumes and Provides Operations Update; Q3-13 average daily sales volumes of 35,400 BOE/d, representing a 54% increase from Q2-13 average daily production volumes), YHOO +1.3% (Yahoo! will offer Taiwan residents Microsoft's (MSFT) Bing search engine following order by Judge, according to reports), SAP +1.2% (following earnings yesterday), NFG +1% ( provides Q4 update for exploration and production operations: total production for FY13 increased 45%), FB +0.8% (still checking), TPH +0.7% (TPH / WY saw late volatility on reports of potential deal for TPH to buy WY homebuilding unit), AAPL +0.5% (ahead of iPad Event)
    Analyst comments: SNDK +0.7% ( upgraded to Market Perform from Underperform at BMO Capital)
    Gapping down:
    • In reaction to disappointing earnings/guidance: DANG -10.4%, RSH -7.7% (saw late spike that was attributed to debt refinancing), RCII -5.6%, DFS -4%, EMC -3.7%, BNNY -3.5%, (also appoints Zahir Ibrahim as Chief Financial Officer), TXN -3.1%, COH -2.5%, RF -2.4%, ARMH -1.9%, ITW -1.4%, ICUI -1.2% (light volume).
    • Other news: END -16.4% (announces completion of strategic review, organizational changes, and cost savings initiatives), GRPN -3.8% (still checking), MDVN -3.7% (Medivation and Astellas announce the Phase 3 PREVAIL trial of enzalutamide meets both co-primary endpoints of overall survival and radiographic progression-free survival in chemotherapy-naive patients with advanced prostate cancer), VE -3.2% (still checking), LEAP -2.7% (discloses certain financial statements should no longer be relied upon), O -2.2% ( prices upsized offering of 8.5 mln shares of common stock at $40.63; offering was upsized by 2 mln shares), LHO -1.6% ( Announces Sale of 6,700,000 Common Shares), GWRE -1% ( plans to commence an underwritten public offering of 6.5 mln shares of its common stock), AAN -1% (following RCII results).
    • Analyst comments: FST -2.9% (downgraded to Underweight at Morgan Stanley, downgraded to Sell from Neutral at Goldman), AKS -2% (downgraded to Sell from Neutral at UBS), SDRL -1.1% (downgraded to Neutral from Overweight at JPMorgan), GPS -0.6% (Gap downgraded to Market Perform from Outperform at BMO Capital), X -0.5% (downgraded to Neutral from Buy at UBS), NOK -0.3% (downgraded to Sell from Buy at Nordea)
    Earnings stocks:
    Today before market open: ABG AKS ASTE AXE BKU CIT CNC COH CPLA CSL DAL DD EMC ENTG FCX FMER FRX GNTX GSBC HAFC HOG IDXX IRWD ITW KMB LMT LRY LXK MHFI MLI NUS PCH PEBO PII PNR R RAI REDF RF RSH SBNY SIAL SNV STT TRV TWIN UTX WAT WHR XRS
    Yesterday after market close: ACC ANCB BBCN BXS CAFI CATY CTG DFS EGBN ELS FIBK FUBC FWRD HLX HSTM HXL ICUI ILMN NFLX PLXT RCII SBSI SONC TRST TXN UCTT VMW WASH WIBC WRB ZION
    Trading Ideas NYSE & NASDAQ:
    • ILMN – short below 86.00
    • FRX – short below 46.00
    • DAL – short below 25.50, лонг выше 26.00
    • TJX – long above 60.10
    • HOG – long above premarket high
    • DANG – long above 11.00
    • RCII – long above premarket high
    • DFS – long above premarket high
    • COH – long above premarket high

    Original: NYSE Analytics 22 October - Shark Traders

  2. #12

    Default NYSE Analytics 23 October

    Spyder ETF declines before NYSE opening bell.
     European Indexes are in negative side
    SPY (intraday chart) downtrend at extended hours. Resistance: 175.00 , Support: 174.00
    Pre-market NYSE/NASDAQ:
    Gapping up:
    • In reaction to strong earnings/guidance: GLW +22.9% (also Corning and Samsung strengthen Strategic Collaborations; Corning board authorizes additional $2 billion share repurchase program), APOL +16%, SIFY +5.5%, FBRC +5% (light volume), BA +3.7%, LL +2.9%, WYN +2.5%, MTSN +1.9% (light volume), NSC +1.7% (light volume), CP +1.6%, (light volume), AMGN +1.5%, NOC +1.5% (light volume), MSI +0.9%, (light volume), LLY +0.7%.
    • M&A news: COLE +15.1% and ARCP +4.9% (Cole Real Estate Investments and American Realty Capital Properties announce merger agreement; Cole stockholders may elect to receive 1.0929 shares of ARCP common stock or $13.82 cash for each share of Cole common stock), SWY +4.1% ( PE Firms are considering a deal to purchase all or parts of SWY, according to reports).
    • Other news: IMMU +3.9% (develops Dendritic-Cell vaccine technology for Lymphomas and Leukemias), SRC +1.7% (still checking), EOX +1.1% (following MadMoney segment), DV +0.7% (following APOL earnings; ecently was served with a complaint in a qui tam action filed under the federal False Claims Act and the Minnesota False Claims Act by two former employees of a customer of DeVry's subsidiary), VE +0.7% (still checking), .
    • Analyst comments: SYT +2% (upgraded to Overweight from Neutral at HSBC ), TCPC +1.2% (light volume, initiated with a Mkt Perform at JMP Securities; tgt $18), FINL +0.3% (upgraded to Buy from Hold at Canaccord Genuity)
    Gapping down:
    • In reaction to disappointing earnings/guidance: DTLK -16.5% (light volume), UIS -15.7%, CREE -15.6%, USNA -10.3%, IRBT -9.5%, BRCM -7.9%, FTI -7.2%, VOCS -7.2%, (light volume), RFMD -7%, STM -6.4%, ALTR -6.2%, XOOM -5.7%, CBST -4.8%, (light volume), PNRA -4.3%, CAT -3.6%, ZIOP -3.4% (also announces offering of $50 mln of shares of its common stock), HA -2.2% (light volume), RHI -1.8% (light volume), JNPR -1.8%, GSK -0.6%, BPOP -0.5%, (light volume), .
    • M&A related: MW -0.7% (Men's Wearhouse considering buying Allen Edmonds, according to WSJ.com), .
    • Select financial related names showing weakness: NBG -3.8%, RBS -3.6% (downgraded to Underperform from Market Perform at Keefe Bruyette), SAN -3%, DB -2.2%, IRE -2.2%, HBC -1.8%, BBVA -1.7%, BAC -1.2%, C -0.7%, RF -0.8% (Regions Financial downgraded to Neutral from Buy at SunTrust) .
    • Select metals/mining stocks trading lower: RIO -2.8%, MT -1.6%, BBL -1.5%, SLV -0.6%, GLD -0.5%, VALE -0.4%, .
    • Select telecom related names showing early weakness: ORAN -4%, CHU -4%, TEF -2.8%.
    • A few solar names are lower: SOL -3.6%, SPWR -2.9%, FSLR -1.5%
    • Other news: CMFO -65% (announces going dark and voluntary delisting from NYSE), RPRX -49.3% (receives FDA guidance for Androzal clinical program), APPY -11.2% ( files to sell $20 mln of common stock), AMRN -5.3% (plans to reduce expenses by decreasing staff following recent FDA Advisory Committee vote), NFLX -4.5% (Icahn filed 13-D disclosing reduced stake in co following recent stock sales), FB -2.3% (still checking, may be attributed to rule tightening on violent content), SNE -2% (still checking), DE -1.6% / MTW -1.5% (following CAT results), XLNX -1.5% (following BRCM results), CENX -1.4% (following late spike on volume), CCI -1.2% ( prices 36 mln shares of common stock at $74.00 per share; prices 8.5 mln shares of its 4.50% Mandatory Conv Pref Stock at $100.00 per share ), QCOM -0.8% (following BRCM results), SNDK -0.5% ( to offer $1 bln of convertible senior notes).
    • Analyst comments: ARMH -2.7% (downgraded to Neutral from Buy at UBS), COH -1.4% (downgraded to Neutral from Buy at BofA/Merrill, downgraded at Argus), EXC -1.4% (downgraded to Underperform from Hold at Jefferies), INFI -1.3% (downgraded to Neutral from Buy at UBS), BAX -1.1% (downgraded to Market Perform from Outperform at Cowen)
    Earnings stocks:
    Today before market open: AEP AMAG ARG ATI ATMI BA BEAV BMY BPOP CAT CBZ CMC CSE DPS EAT EEFT FBP FBRC FCF FDML FMBI GD GRA HCBK JAKK JMP LAD LCC LL LLY LO MDCO MHH MKTX MOLX MPX MSA MSI MTH NDAQ NEO NLSN NOC NSC NURO NYCB OC OCR OSIS PB PLD PPBI RES ROL SIX SLGN SMED SYBT TMO TNC TUP UNF UTL WLP WYN
    Yesterday after market close: ABAX AEC AKR ALTR AMGN AMSG APOL BCR BRCM CBST CBU CLMS CREE CVGI DTLK DYAX EXAC FBC FFIC FTI FULT GLF HA HMN HVB IBKC IEX IRBT JNPR MANH MCRI MTSN OKSB PACB PFBC PNRA PZN RFMD RHI RPT SFG SMCI SUPX SYMM TRMK TSS UIS UMBF USNA VASC VICR VOCS VPFG WCN WSBC XOOM ZIXI
    Trading Ideas NYSE & NASDAQ:
    • CREE – long above 65.00
    • FTI – short below premarket low
    • LLY – long above 51.00
    • NSC – long above premarket high
    • BRCM – лонг при закреплении выше 25.00

    Original: NYSE Analytics 23 October - Shark Traders

  3. #13

    Default NYSE Analytics 24 October

    Spyder ETF grows before NYSE opening bell.
     European Indexes are in positive side
    SPY (intraday chart) downtrend at extended hours. Resistance: 175.50 , Support: 175.00
    Pre-market NYSE/NASDAQ:
    Gapping up:
    • In reaction to strong earnings/guidance: BABY +17.5% (light volume), MMSI +12.4%, FTNT +9.7%, STMP +8.3%, EQIX +7.9%, FOE +6.8%, TEX +3.4%, CAKE +6.3%, AEM +5.6% (upgraded to Outperform from Mkt Perform at BMO Capital Mkts,upgraded to Buy from Hold at Desjardins ), CTXS +5.2%, SHPG +5.2%, MCK +4.9% (also McKesson agrees to purchase Celesio in transaction valued at $8.3bln), CSGP +4.7% (light volume), TSCO +4.5%, YNDX +4.2%, F +3.9%, KKR +3.7%, ALXN +3.7%, HOT +3.6%, LUV +3.6%, BSX +3.3%, KMT +3.2%, RDWR +3%, (light volume), RRD +2.8%, PACR +2.5%, FFIV +2.2%, LRCX +2.1%, PHM +1.9%, RTN +1.3% (light volume), WLL +1.2%, MO +1.2%, MO +0.9%, CELG +0.6%, WPPGY +0.3%, NOW +0.1%, (light volume).
    • M&A news: HOME +25.4% (Cascade Bancorp and Federal Bancorp (HOME) merge in transaction valued at $265.7 mln).
    • Select metals/mining stocks trading higher: SVM +2.1%, GOLD +2%, GDX +1.7%, ABX +1.6%, SLW +1.6%, AU +1.5%, BHP +1.4%, BBL +1.4%, MT +1.3%, SLV +0.7%, GLD +0.5%, .
    • Select oil/gas related names showing strength: RDS.A +6.1%, SD +2.2%, BP +1.2%, STO +1.1%.
    • Other news: AMRS +8.1% (Amyris to enter partnership to supply renewable jet fuel to GOL Airlines), LVS +5.1% (FT details news that Japan may be close to ending casino ban), YGE +2.8% (to supply 59 MW of PV modules for China Three Gorges New Energy), NBG +2.7% (still checking), SWY +2.6% (continued strength on PE speculation), GM +2.4% (up on F results), ARIA +1.6% (Camber Capital disclosed 5.4% passive stake in 13G filing), NUAN +1.2% ( Successfully Concludes CooTek Patent Infringement Case), VOYA +1.1% (prices 33 mln shares of common stock offered by ING Group at $29.50 per share), MPEL +1% (FT details news that Japan may be close to ending casino ban), BSX +0.9% (announces restructuring program for 2014), SBUX +0.7% (Starbucks plans to open 'Tea Bar' in NYC, according to reports ), VMW +0.6% (following CTXS/FFIVresults), RVBD +0.6% (following CTXS/FFIVresults), QTWW +0.5% (Seamans Capital disclosed 5.9% passive stake in 13G filing), HLF +0.4% and NFLX +0.3% ( Icahn says if he did not have such a large position in NFLX that he would have held on to his position; reiterates HLF is undervalued ), PCLN +0.2% (on TRIP results).
    • Analyst comments: LCC +2.8% (upgraded to Buy from Hold at Deutsche Bank), RBA +1.6% (upgraded to Outperform from Underperform at BMO Capital Mkts), ARCP +0.8% (upgraded to Outperform from Market Perform at BMO Capital), CHK +0.6% (Chesapeake upgraded to Buy from Neutral at Citigroup)
    Gapping down:
    • In reaction to disappointing earnings/guidance: FIO -15.3%, SYMC -13.1%, ANGI -12.3%, TQNT -11%, AKAM -9.8%, KFN -7.1%, VAR -7%, WRLD -6.3%, (light volume), FORM -6%, ALV -5.7%, ORLY -5.4%, EGHT -5.2%, TKR -5.2%, (light volume), XRX -4.5%, DOW -3.5%, TER -3.3%, ETFC -3.1%, DNKN -3%, SKX -3%, (light volume), CS -3%, SIRI -3%, ESI -2.8%, (light volume), LSI -2.7%, GNC -2.2%, CVA -2.1% (light volume), DO -1.9%, (light volume), UA -1.6%, POT -1.3%, TRIP -1.3%, MLNX -1.1%, CMO -0.9% (light volume), IP -0.5%, (light volume).
    • Other news: NVDQ -6% (announces public offering of common shares; size not disclosed), ZIOP -5.7% (prices public offering of 14.3 mln shares of its common stock at $3.50 per share), RIGL -5.6% (Rigel Pharma provides pipeline update; R333 did not meet the primary endpoint in a recently completed Phase 2 clinical study; co has decided not to pursue this indication further with R333), SWKS -1.8% (following TQNT results), NOK -1.8% and DEO -1.1% (still checking), ZINC -1% (announces public offering 5 mln shares of common stock).
    • Analyst comments: USB -0.6% (U.S. Bancorp downgraded to Hold from Buy at Deutsche Bank).
    Earnings stocks:
    Today before market open: AB ACAT AGEN AIMC ALK ALV ALXN AN AVT BABY BBW BC BCO BEN BG BHE BLL BMS BSX CAB CAM CCE CELG CFX CHH CL CLI CLRO CMCO CNMD COLB CRAI CRI CSH CWEI DDE DFT DLX DNKN DO DOW DST DVD EFSC EME EQM EQT ESI ESV F FAF FLIR FORM GMT GNC GNRC GPI HERO HOT HSY IP IVC JNS KKR KMG KMT LAWS LAZ LBAI LSTR LTM LUV MCK MDP MDSO MGI MGLN MHO MJN MMM MNI MNRO MO MTRN MYE NBL NWE ODFL ORI PACR PATK PCP PHM PTEN PVR QSII RCL RDWR REV RS RTN RXN RYN SEIC SFE SIRI SLAB STBZ STC SUBK TDY TKR UA UAL UCBI USG UTHR VCI VDSI VLY VNTV WAB WCC WMAR WRLD XEL XRX ZMH
    Yesterday after market close: AIZ AKAM ALGT ANGI ASGN AVB AWH BANR BDN BRKL BVSN CAKE CDNS CLGX CLUB CLW CMO CMRE CMS CSGP CTXS CVA CVBF DAVE DEL EFX EGHT EQIX ETFC ETH EVR FBHS FFIV FIO FISI FNF FORR FTNT GGG HRC INFN KFN KNX LEG LRCX MKSI MLNX MMSI MORN NOW NVEC NXPI ORLY PDFS PDH PLCM PLXS QDEL QTM QUMU RE RJF SBRA SCI SGMO SHBI SKX SNBC SPTN SRCL STMP SUSQ SWFT SYA SYMC T TAL TBI TCBI TER TESS TEX TILE TIS TMK TQNT TRIP TSCO TYL VAR WLL WRE
    Trading Ideas NYSE & NASDAQ:
    • FTNT – long above 22.00
    • SYNC – long above 22.00, short below premarket low
    • AEM – long above premarket high
    • TEX – long above 35.00
    • AKAM – short below 45.00
    • LRCX – long above premarket high
    • FFIV – long above 90.00

    Original: NYSE Analytics 24 October - Shark Traders

  4. #14

    Default NYSE Analytics 25 October

    Spyder ETF grows before NYSE opening bell.
     European Indexes are in positive side
    SPY (intraday chart) uptrend at extended hours. Resistance: 175.50 , Support: 175.00
    Pre-market NYSE/NASDAQ:
    Gapping up:
    • In reaction to strong earnings/guidance: BLDR +19.4%, ELY +15.7%, DECK +13.8%, ZNGA +12.7% (also appointed Clive Downie as Chief Operating Officer, effective November 4, 2013 ), CTCT +9.5% (also upgraded to Buy from Hold at Needham), MKTO +9.3%, AMZN +8.7%, (Amazon.com upgraded to Strong Buy from Market Perform at Raymond James), AFOP +7.6%, OUTR +7.3%, LSCC +7.1%, MSFT +6.5%, INFA +6.2%, (light volume), MXIM +5.7%, IMGN +4.3%, MXWL +4.1%, NWL +2.9%, (light volume), WY +2.3%, CA +2%, (light volume), COG +1.9%, NOV +1.8%, (light volume), LEA +1.8%, UPS +1.6%, BCOV +1.3%, CLF +0.9%, (also Announces the Appointment of New President and Chief Operating Officer), COLM +0.7%, (light volume).
    • Select oil/gas related names showing strength: TOT +1.5%, RDS.A +1.2%, STO +1.1%, BP +1%.
    • A few European drug names are trading higher: AZN +1.3%, SNY +1.2%, GSK +0.8%
    • Other news: CECO +51.3% (reaches agreement to Sell European Education Properties; consideration is expected to be $305 mln, less certain distributions and adjustments prior to closing), COCO +12.9% (up with CECO), ALU +3.6% (still checking), OPTT +3.6% (continued strength), PRKR +3.4% (modestly rebounding), PBNY +3% (to join S&P SmallCap 600), GLUU +3% (continued strength), ATRS +2.7% ( Announces the Issuance of a New U.S. Patent on the VIBEX Device Platform; Provides Additional Long-Term Protection For Proprietary Product Pipeline Including OTREXUP), ARMH +2.4% (continued strength on IBM news), DD +2.3% (announces separation of performance chemicals segment to enhance shareholder value; upgraded to Buy from Neutral at Citigroup), AMD +2.2% (still checking), TSLA +1.6% (FT discusses comments from Tesla (TSLA) exec Elon Musk that valuation in its shares may be higher than it deserves), LCC +1.5% (Business groups want settlement in US Airways (LCC)/AAMRQ antitrust suit, according to reports), BCS +1.3% (still checking), FB +1.2% (TWTR Reports out that IPO's expected price range is $17-$20; Expected to offer 70 mln shares), DIS +1.1% (Walt Disney plans China stores, according to reports ), LUV +1.1% (WSJ discusses that Southwest Airlines may consider fees on bags), RIO +0.3% ( Glencore plans to purchase stake in RIO Clermont coal mine, according to reports), BA +0.2% (Boeing received commitments of $20.7 billion in 737 Max's from China, according to reports).
    • Analyst comments: VLCCF +3% (ticking higher, upgraded to Equal Weight from Underweight at Evercore ), ESI +1.1% (upgraded to Neutral from Underweight at JPMorgan), CL +0.7% (upgraded to Hold from Sell at Canaccord Genuity ), F +0.5% (upgraded to Outperform from Underperform at Credit Agricole)
    Gapping down:
    • In reaction to disappointing earnings/guidance: QLIK -19.4%, HWAY -15.4%, RMD -7.7%, NTGR -7.6%, ECHO -7.1% (also downgraded to Mkt Perform at FBR Capital), FSL -6.8%, (light volume), SYNA -5.7%, ESRX -4.3%, KLAC -3.5%, B -3.2%, (light volume), AAN -3.1%, CERN -3%, CUB -2.9%, (light volume), BMRN -2.4%, WYNN -2.2%, EMN -2%, WDC -0.6%, MTW -0.5%.
    • Select metals/mining stocks trading lower: AU -2.5%, AG -2.3%, HMY -2.2%, PAAS -1.3%, SLV -1.2%, GLD -0.2%.
    • Other news: RNF -11.7% (lowers third quarter 2013 distribution to $0.27 per unit), TI -5.8% (Telecom Italia seeing notable weakness, being attributed to potential dividend cut), SDR -5.6% (SandRidge Mississippian Trust II Announces Quarterly Distribution), DVAX -4.3% ( announces proposed public offerings of common stock and Series B convertible preferred stock), PHG -1.7% (still checking), UL -1.1% (reported earnings yesterday), SI -1.1% (still checking), CP -0.3% (announces public offering of 5,965,304 of Canadian Pacific's common shares by certain funds managed by Pershing Square).
    • Analyst comments: EMN -2% ( downgraded to Neutral at from Buy Goldman; removed from Conviction Buy List), CS -1.6% (downgraded to Neutral from Overweight at JPMorgan ), SIRI -1% (downgraded to Neutral from Buy at Goldman, downgraded to Equal Weight from Overweight at Evercore), STM -0.8% (downgraded to Neutral from Buy at Goldman), RS -0.5% (downgraded to Neutral from Outperform at Credit Suisse), CAT -0.3% (downgraded to Neutral from Overweight at Atlantic Equities)
    Earnings stocks:
    Today before market open: AB ACAT AGEN AIMC ALK ALV ALXN AN AVT BABY BBW BC BCO BEN BG BHE BLL BMS BSX CAB CAM CCE CELG CFX CHH CL CLI CLRO CMCO CNMD COLB CRAI CRI CSH CWEI DDE DFT DLX DNKN DO DOW DST DVD EFSC EME EQM EQT ESI ESV F FAF FLIR FORM GMT GNC GNRC GPI HERO HOT HSY IP IVC JNS KKR KMG KMT LAWS LAZ LBAI LSTR LTM LUV MCK MDP MDSO MGI MGLN MHO MJN MMM MNI MNRO MO MTRN MYE NBL NWE ODFL ORI PACR PATK PCP PHM PTEN PVR QSII RCL RDWR REV RS RTN RXN RYN SEIC SFE SIRI SLAB STBZ STC SUBK TDY TKR UA UAL UCBI USG UTHR VCI VDSI VLY VNTV WAB WCC WMAR WRLD XEL XRX ZMH
    Yesterday after market close: AIZ AKAM ALGT ANGI ASGN AVB AWH BANR BDN BRKL BVSN CAKE CDNS CLGX CLUB CLW CMO CMRE CMS CSGP CTXS CVA CVBF DAVE DEL EFX EGHT EQIX ETFC ETH EVR FBHS FFIV FIO FISI FNF FORR FTNT GGG HRC INFN KFN KNX LEG LRCX MKSI MLNX MMSI MORN NOW NVEC NXPI ORLY PDFS PDH PLCM PLXS QDEL QTM QUMU RE RJF SBRA SCI SGMO SHBI SKX SNBC SPTN SRCL STMP SUSQ SWFT SYA SYMC T TAL TBI TCBI TER TESS TEX TILE TIS TMK TQNT TRIP TSCO TYL VAR WLL WRE
    Trading Ideas NYSE & NASDAQ:
    • NWL – long above 30.00
    • WY –long above premarket high
    • ABBV – long above premarket high
    • EBAY – long above 53.00
    • AON – short below premarket low
    • LEA – long above premarket high
    • UPS – long above premarket high

    Original: NYSE Analytics 25 October - Shark Traders

  5. #15

    Default NYSE Analytics 28 October

    Spyder ETF declines before NYSE opening bell.
     European Indexes are in positive side
    SPY (intraday chart) downtrend at extended hours. Resistance: 176.30 , Support: 175.40
    Pre-market NYSE/NASDAQ:
    Gapping up:
    • In reaction to strong earnings/guidance: BIIB +3.9%, CHA +2.9%, (light volume), AMX +1.3%, L +1.2%, (light volume).
    • M&A news: DNDN +16.2% (reports out Friday indicate seeking takeover offers).
    • Select solar related names showing strength: SCTY +3.4% (reinstated with an Outperform at Credit Suisse), JKS +3%, YGE +2.1%, LDK +2%, JASO +1.7%, SUNE +1.1%.
    • Select metals/mining stocks trading higher: SLW +0.9%, ABX +0.8%, IAG +0.8%.
    • Other news: ZGNX +21.7% ( confirms FDA approval for Zohydro ER Extended-Release Capsules), NQ +5.4% (modestly rebounding), PBR +4.5% (still checking), DARA +3% (Announces Sales Force Expansion and Agreement With Mission Pharmacal in the Oncology Market), CF +2.8% and MOS +2.3% ( The Mosaic Company (MOS) to acquire Florida phosphate business from CF Industries for $1.2 bln), FIO +2.7% (still checking), BMY +2.7% ( presents efficacy and safety data from Phase IIb dose-ranging study of subcutaneous clazakizumab; all arms met the primary endpoint; upgraded to Overweight from Equal Weight at Morgan Stanley ), PT +2.4% (still checking), ARIA +1.7% (still checking), TSLA +1.5% (wants to sell 10K cars in Germany by 2015, CEO says, according to reports), AMX +1.3% ( Carlos Slim Helϊ discloses 15.8% active stake in amended 13D filing out Friday after the close; up from 15.2 % reported on 8/8), FRM +1.1% (ticking higher on positive Barron's mention ), BT +0.9% (still checking).
    • Analyst comments: AZN +1.2% (upgraded to Neutral from Underperform at BofA/Merrill),
    Gapping down:
    • In reaction to disappointing earnings/guidance: CYOU -18%, SOHU -8.8%, BWP -2.4% (light volume), RNF -2.4% (light volume), BRFS -1.9%, MRK -1.7%, ROP -1.5%, ILMN -1.4%, ( signed a definitive agreement to acquire Santa Clara-based NextBio; terms not dislcosed; reaffirms FY13 guidance).
    • Select financial related names showing weakness: BCS -2.3%, SAN -1.2%, DB -1%.
    • Other news: CNX -3.8% ( takes transformative step to advance E&P Growth Strategy - sells Consolidation Coal Company (5 WV mines, related assets) for $3.5 bln; deal delevers CNX and and advances gas growth production strategy; cuts dividend 50%), TEVA -1.7% (Teva Pharma early weakness may be attributed to speculation related to CEO departure).
    Analyst comments: CROX -4.2% (downgraded to Neutral from Overweight at Piper Jaffray), RIG -1% (downgraded to Sell from Neutral at Goldman), ARMH -0.9% (downgraded to Hold at The Benchmark Company), BIDU -0.9% (downgraded to Hold from Buy at Exane BNP Paribas), BA -0.3% (downgraded to Neutral from Buy at Buckingham Research)
    Earnings stocks:
    Today before market open: ARLP AWI BIIB BKW BOH BWP CNA CYOU DCOM EDR EW HAE KEX L MCY ONB ROP SBCF SOHU STNG TEN TGE TRS UFPT
    Trading Ideas NYSE & NASDAQ:
    • DNDN – long above premarket high
    • SCTY – long above 60.00
    • SOHU – short below premarket low

    Original: NYSE Analytics 28 October - Shark Traders

  6. #16

    Default NYSE Analytics 29 October

    Spyder ETF grows before NYSE opening bell.
     European Indexes are in positive side
    SPY (intraday chart) uptrend at extended hours. Support: 176.20
    Pre-market NYSE/NASDAQ:
    Gapping up:
    • In reaction to strong earnings/guidance: ONP +21.1% (light volume), NTRI +12.5%, DATA +9.2% (also files registration statement for proposed secondary offering), NOK +7.3%, XYL +7.2%, CIE +5.5%, BP +4.9%, MAS +4.7%, AMKR +3.5%, ICON +3.1%, ACT +2.8%, PRE +2.5%, (light volume), HIG +2.4%, ALLT +2.3%, LINE +1.8%, VLO +1.7%, MIC +1%, ACI +0.7%, JCI +0.6%, GGP +0.5%, (light volume), PBI +0.5%, (light volume), AAPL +0.4%, OXY +0.3%.
    • M&A news: LCC +5% (AMR, US Airways & the US Government have agreed to go to mediator to find a resolution in the antitrust case, according to reports ), BTH +3.2% (saw late spike - attributed to reports of CVSL offer).
    • Select oil/gas related names showing strength boosted by BP earnings: RDS.A +1%, STO +0.7%, TOT +0.6%.
    • European drug names are higher: GSK +0.8%, NVS +0.8%
    • Other news: IBN +5% and HDB +1.3% (India rate news), KORS +4.3% (to join the S&P500), ALU +3.1% (ahead of earnings later this week, NOK also reported), GLUU +3.1% (continued strength), ITUB +2.1% (still checking), STM +1.6% (still checking), TSLA +1.6% (not seeing anything specific), TLM +1% ( Icahn discloses 6.96% stake, up from 5.97% stake reported on Oct 7), DAL +1% (on LCC / AAMRQ news) LL +0.9% (following positive mention on MadMoney), GPS +0.8% (Lone Pine Capital discloses 5.4% passive stake in 13G filing), BMY +0.4% (Barron's profiles positive view on Bristol-Myers), TSCO +0.3% (following positive mention on MadMoney).
    • Analyst comments: ONTX +1.9% ( upgraded to Buy from Neutral at Citigroup), YHOO +0.8% (upgraded to Outperform from Market Perform at Bernstein), GME +0.5% (initiated with a Buy at Stifel)
    Gapping down:
    • In reaction to disappointing earnings/guidance: VOLC -16.7% (also several downgrades), PMCS -10.4%, PSMI -6.9%, ECOM -6.5%, (also ChannelAdvisor Announces Proposed Follow-On Offering), UBS -5.5%, CMI -5.1%, ETR -4.9%, (light volume), ARR -4.8%, STX -4.1%, ICAD -3.8%, SANM -3.8%, (light volume), AGNC -3.6%, DDD -3.1%, IVR -2.4%, (light volume), GT -2.1%, LYB -2%, X -1.8%, DB -1.7%, PCL -1.3% (also announces public offering of 14.1 mln shares of common stock), AET -1.3%, HLF -1%.
    • Select metals/mining stocks trading lower: NEM -2.5%, GOLD -2.4%, RIO -0.9%, GLD -0.7%, GG -0.7% (downgraded to Neutral from Overweight at HSBC), GFI -0.6%, SLW -0.5%, SLV -0.4%.
    • Other news: CLSN -14.5% ( announces 1 for 4.5 reverse stock split), EROC -4.8% (decreases quarterly distribution ~32% to $0.15 from $0.22 per unit; sees Q3 adjusted EBITDA of $62.8 mln, downgraded to Neutral from Buy at BofA/Merrill ), SHO -3.4% (announces public offering of 20,000,000 shares of common stock), CLNY -2.9% (announces public offering of 10 mln shares of common stock ), ERJ -2.7% (still checking), RBS -2.6% (still checking), FNB -2.2% (announces capital action plan and commences $50 million common stock offering), SSYS -2% (on DDD results), SLG -1.2% (announces proposed offering of 2.6 mln shares of common stock), RCL -0.9% (still checking), BKU -0.7% ( prices 9 mln shares of its common stock by selling shareholders at $30.75 per share), NYX -0.5% (KORS replcing in S&P 500), .
    • Analyst comments: CYOU -0.2% (downgraded to Hold from Buy at Brean)
    Earnings stocks:
    Today before market open: ACI ACT ADM AET AGCO AGN ALR AME AMTD APD AVX CAS CBR CCBG CCMP CIE CMI CMLS CNX CRS CRVL CRY CVLT CYNO DAN DDD DHX DIN DORM ECL ETR EXAS FDP FIS FLWS GK GOV GT HBCP HCP HRS HSII HUN ICON IIVI ISSI IVR JBLU JCI LBY LCAV LLL LYB MDC MWV NCI OXY PAG PBI PFE PROV RTIX SCBT SCHN SCOR SFI SNH SPAR ST STBA SUI TRW UDR UTHR VLO VRTX VSH WDR WM X XRAY XYL
    Yesterday after market close: ARLP AWI BIIB BKW BOH BWP CNA CYOU DCOM EDR EW HAE KEX L MCY ONB ROP SBCF SOHU STNG TEN TGE TRS UFPT
    Trading Ideas NYSE & NASDAQ:
    • DATA – шорт ниже 68.00
    • CIE – long above premarket high, short below 24.00
    • HIG – long above premarket high
    • VLO – long above premarket high
    • STX – long above premarket high
    • DDD – лонг выше 56.00
    • LYB – short below premarket low
    Original: NYSE Analytics 29 October - Shark Traders

  7. #17

    Default NYSE Analytics 30 October

    Spyder ETF grows before NYSE opening bell.
     European Indexes are in positive side
    SPY (intraday chart) uptrend at extended hours. Support: 177.25, resistance 177.75
    Pre-market NYSE/NASDAQ:
    Gapping up:
    • In reaction to strong earnings/guidance: RPXC +9.6% (light volume), BWLD +8.9%, DWA +8.7%, BBSI +8.4% (light volume), LOCK +7.5%, TRLA +7.1%, UMC +5.8%, (light volume), EA +5.7%, BIDU +5.5%, SAVE +4.5%, LUX +4.4%, (light volume), IPHI +3.3%, BCS +3.3%, GM +2.7%, SNY +2.6%, GPRE +2.4%, (light volume), GLW +2.2%, QGEN +2.2%, TTWO +1.9%, ROG +1.7% (light volume), STO +1.2%, GILD +1.1%, ULTI +1.1%, (light volume), LVLT +1.1%, (light volume), CBI +1%, (light volume), S +1%, CMCSA +0.8%, DLB +0.6%, (light volume), AMP +0.6% (light volume), SM +0.6%.
    • M&A news: PXD +0.9% (Bloomberg discusses that PXD may be a possible takeover target by Chevron (CVX) -- article out yesterday afternoon).
    • Metals/mining stocks trading higher: SLW +1.9%, SLV +1.4%, MT +1.1%, GOLD +1%, GDX +0.9%, GLD +0.5%, .
    • Select oil/gas related names showing strength: e +2.6%, BP +2% (BP upgraded to Buy from Hold at Societe Generale), RDS.A +1.2% (following STO results), .
    • China internet names gapping up on BIDU results: QIHU +3.8%, DANG +2.2%, SINA +2.2%, YY +0.9%, SOHU +0.6%
    • Solar names trading higher: SOL +4.8%, JKS +4%, TSL +4%, YGE +3.9%, ASTI +3.3% (secures $10 million registered direct financing with Ironridge Technology), CSIQ +1.5%, SPWR +1.1%, FSLR +0.4%
    • Other news: MNKD +4.4% (announces FDA Acknowledgement of Resubmission of New Drug Application for AFREZZA), VOLC +3.6% (announces new two-year results of largest prospective study of use of IVUS in stent placement), NQ +3.5% (checking for anything new),ARIA +3.2% (Sarissa Capital Management filed 13D), WPRT +2.8% (Westport Announces Purchase Order for 900 Westport iCE pack LNG Tank Systems), ARMH +2.5% (still checking), SYMC +2.4% (higher after CEO disclosed 100K share purchase on 10/28 at $22.0578/share), JMP +1.5% (increases quarterly dividend by 14% to $0.04 per share from $0.035 per share), TSLA +1.4% (Tesla Motors and Panasonic (PCRFY) reach agreement to expand supply of automotive grade battery cells), BBRY +1.2% (after BBRY lifted yesterday on reports of prior talks with FB), NYNY +0.9% (after 29% move higher yesterday), MDLZ +0.4% (attributed to renewed push from Nelson Peltz ), F +0.2% (following GM earnings).
    • Analyst comments: NVAX +3.8% (initiated with a Outperform at FBR Capital; tgt $11), NKE +1.7% (upgraded to Overweight from Equal Weight at Morgan Stanley), FB +1.2% (Facebook upgraded to Buy from Neutral at BTIG), NOK +1.2% ( upgraded to Buy from Sell at Danske Bank)
    Gapping down:
    • In reaction to disappointing earnings/guidance: WU -19.4%, CETV -18.2%, INVN -14.1%, IACI -13.6%, CYNI -12.2%, SODA -11.7%, SFLY -10.8%, YELP -8.9%, ( files mixed shelf offering; Specific terms of these offerings and securities will be provided in one or more supplements to this prospectus), QCOR -8.5%, PRXL -7.5%, RBCN -7.4%, HES -6%, (light volume), CALX -5.6%, (light volume), WBMD -5%, AUDC -4.8%, (light volume), XCO -4.4%, CAP -4.1%, (light volume), LNKD -3.7%, AFL -3%, (light volume), HTS -2.7% (light volume), MX -2.2%, CRUS -2.1%, GNW -1.9%, FLEX -1.7%, RYL -1.3%, DLR -1.3% (Digital Realty downgraded to Market Perform from Outperform at Raymond James, downgraded to Equal Weight from Overweight at Evercore), EXXI -0.9% (light volume), SO -0.5%.
    • Other news: MACK -17.2% (announces results from A Phase 2 Study Of MM-121 (SAR256212) in combination with Paclitaxel; MM-121 misses primary endpoint; ongoing biomarker analysis identifies a potential subpopulation of patients benefiting from MM-121 in combination with paclitaxel), AMRN -15.8% ( discloses FDA has rescinded the ANCHOR study special protocol assessment agreement, downgraded to Mkt Perform from Outperform at Leerink Swann ), PERI -14.8% (following IACI results), MTGE -5.9% (still checking), USU -3.2% (following late spike on DoE update), TEVA -2.7% (announces departure of President and CEO), MZOR -1.7% (price 2.4 mln ADSs at $17.00 per ADS), GRPN -1% (following YELP results), HCA -0.7% (announces 30 mln share sponsor secondary offering and concurrent company $500 mln share repurchase from sponsors).
    • Analyst comments: EW -4.1% (downgraded to Underweight from Neutral at JPMorgan ), CHKR -3.6% (downgraded to Sell from Neutral at Goldman), X -1.1% (downgraded to Hold from Buy at Deutsche Bank), UBS -0.4% (UBS downgraded to Neutral from Buy at BofA/Merrill)
    Earnings stocks:
    Today before market open: ACCO ADP AEGR AIT AMT ARW AUDC BAH BDC BLKB BOKF BWA BXC CDI CETV CEVA CFFN CFR CMCSA CPF DBD DXYN EDGW EGN EXC EXLS FELE GAS GLW GPK GRMN H HEP HES HPY IBCP IMN INGR JNY KVHI LFUS LGND LPLA LVLT MCGC MDXG MRGE MSM NOR NVMI OIIM PAR PCG PEG PES PSX PSXP PX S SAIA SAVE SEE SO SODA SPW STE TASR TEL TFX TOWR TRK WEC WEX WLT
    Yesterday after market close: ACHC ACMP ACPW AEGN AFG AFL AJG AMP ANEN ARTC ATRC AZPN BBOX BFS BGFV BIDU BTUI BUSE BWLD BXMT BXP CACI CALX CAP CBG CBI CBT CCUR CEMP CERS CLD CRL CRUS CSGS CVD CZR DAC DLB DLR DWA EA EIX ENTR EXAR FALC FEIC FISV FLEX FSP GILD GNW GPRE HCC HGR HIW IACI INVN IPHI KFRC KIM KTCC KWR LAND LMAT LNKD LOCK LOPE MBTF MOVE MRCY MWA MX NANO NATL NBIX NCIT NUVA PBNY PLT PRXL PSEM PULB QCOR RBCN REMY ROG RPXC RRC RYL SFLY SIMG SKT SM SONS SWI SYX TGI TRLA TTWO UHS ULGX ULTI VPRT VRTS WBMD WEYS WNC WSH WTS WU XCO XXIA YELP
    Trading Ideas NYSE & NASDAQ:
    • DWA – long above 30.50, short below 30.00
    • TRLA – long above 44.00
    • SAVE – long above 46.00
    • GILD – long above 71.00
    • INVN – long above premarket high
    • IACI – long above 50.00
    • SODA – long above 60.00
    • SFLY – long above 48.00
    • YELP – long above 64.00
    Original: NYSE Analytics 30 October - Shark Traders

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