Спайдер незначительно повышается перед открытием торгов на NYSE.
Европейские индексы на положительной территории.
SPY (внутридневной график) боковое движение на премаркете. Сопротивление: 171.00 Поддержка: 171.50 Премаркет NYSE/NASDAQ: Gapping up:
In reaction to strong earnings/guidance: AFOP +13.4%, ADBE +5.7%, FDX +2.8%, GIS +0.6%.
M&A news: GRPN +0.8% (cquires local experience startup SideTour).
Select EU financial related names showing strength: IRE +1.9%, SAN +1.9%, HBC +1.4%, BCS +1.2%.
Other news: CIS +0% (enters into a merger agreement for a 'going private' transaction;), INVN +4.9% (still checking), DLTR +3.5% (announced $2 bln share repurchase authorization) CPRX +2.4% (still checking), WDAY +1.2% (Salesforce.com (CRM) announced plans to integrate the entire Salesforce and Workday product lines), AAPL +1.1% (releasing iOS 7 today, also Pacific Crest's increases estimates), BMRN +1% (possitive mention on Mad Money), CRZO +1% (possitive mention on Mad Money).
Analyst comments: FI +4.9% (initiated with an Overweight at Barclays, initiated with a Buy at UBS), NOK +3.5% (upgraded to Outperform from Neutral at Credit Suisse), AON +2.2% (initiated with a Buy at Guggenheim), VIPS +1.8% (upgraded to Buy from Hold at Deutsche Bank), ARUN +1.5% (initiated with an Overweight at Piper Jaffray), CL +1.2% (upgraded to Overweight from Equal Weight at Barclays), CTSH +1.1% (upgraded to Overweight from Equal Weight at Barclays).
Gapping down:
In reaction to disappointing earnings/guidance: CBRL -2.8%, AXLL -0.9%.
Other news: CBMX -6.7% (filed for $10 mln offering of Class A Units and Class B Units), FIVE -3.2% (announced secondary offering of 7.1 mln shares by selling shareholders; Executive Chairman to sell 100k shares), FLTX -2.2% (prices follow-on offering of 5,976,443 of its ordinary shares at a price to the public of $46.79/share), QIWI -1.6% (public offering of 8,197,866 ADSs by selling shareholders).
Analyst comments: VPHM -1.9% (downgraded to Neutral from Buy at BofA/Merrill), JOY -1.2% (downgraded to Neutral at Robert W. Baird ), INTU -1% (downgraded to Underweight from Equal-Weight at Morgan Stanley), PG -0.9% (downgraded to Equal Weight from Overweight at Barclays), NRG -0.8% (downgraded to Neutral from Buy at Goldman; removed from Conviction Buy list), CLX -0.7% ( downgraded to Underweight from Equal Weight at Barclays), CAT -0.6% (downgraded to Neutral at Robert W. Baird).
Ну обосрался разок по-крупному, чего так армагедонить? На крайняк инвест программу зарежут, персонал децимируют, долю кого нибудь получит в подарок, вот и вышли в плюс
На графике видно, отработана фигура похожая на ГиП ,(локальный разворот), увеличу позицию на 195 если на дневном графике отработает фигура похожая на перевернутую ГиП,
примерная цель 300
вечерний репост
Уехавшие за границу украинцы опасаются усиления мобилизации в стране — Washington Post
Живущие в Европе украинцы недовольны новым законом об усилении мобилизации на Украине,...
до 2026 года газпром выгодней купить) тут риск огромный и ни какой страховки, так как контора частная, а если долг не погасят, компания потеряет ~50% активов, активы могут продать