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Stock Market & Financial Investment News

News Breaks
April 29, 2014
04:55 EDTWM, WM, WM, WCN, WCN, WCN, TREX, TREX, TREX, TTEK, TTEK, TTEK, RBA, RBA, RBA, PH, PH, PH, HRS, HRS, HRS, GT, GT, GT, CMI, CMI, CMI, CAT, CAT, CAT, T, T, T, AXP, AXP, AXPPenton to hold an expo
WasteExpo 2014 is being held in Atlanta, Georgia on April 29-May 1.
News For AXP;T;CAT;CMI;GT;HRS;PH;RBA;TTEK;TREX;WCN;WM From The Last 14 Days
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February 4, 2016
06:28 EDTTNews Corp not interested in Yahoo acquisition, Business Insider says
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05:49 EDTTVerizon initiated with a Neutral at DA Davidson
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05:48 EDTTAT&T initiated with a Buy at DA Davidson
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February 3, 2016
18:41 EDTTYahoo hires Qatalyst to advise on strategic alternatives, Re/code says
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14:48 EDTCMINotable companies reporting before tomorrow's open
Notable companies reporting before tomorrow's open, with earnings consensus, include Philip Morris (PM), consensus 81c... AstraZeneca (AZN), consensus 88c... Occidental Petroleum (OXY), consensus (12c)... ConocoPhillips (COP), consensus (65c)... Cigna (CI), consensus $1.80... Intercontinental Exchange (ICE), consensus $3.01... Boston Scientific (BSX), consensus 25c... Charter Communications (CHTR), consensus (12c)... Ralph Lauren (RL), consensus $2.13... Dunkin' Brands (DNKN), consensus 50c... GrubHub (GRUB), consensus 14c... Level 3 (LVLT), consensus 53c... AmerisourceBergen (ABC), consensus $1.25... Cummins (CMI), consensus $2.11.
14:09 EDTTBain, TPG among PE firms weighing bid for Yahoo core, FT reports
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13:37 EDTTComcast to be possible bidder for wireless airwaves, Bloomberg says
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08:51 EDTHRSHarris weakness overdone, says Sterne Agee CRT
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07:08 EDTTREXEmerald Asset Management to hold a forum
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February 2, 2016
12:03 EDTHRSOn The Fly: Top stock stories at midday
Wall Street began the session in negative territory and the averages have remained there throughout the day as oil once again weighs on stocks. The price of oil has slid another 4%, giving the commodity a roughly 10% loss over the past two trading sessions. The market's late day rally yesterday gave hope for a decoupling between equities and oil prices, but that appears to be a one day reprieve as the stocks are back in lock-step with crude prices. ECONOMIC EVENTS: In the U.S., the economic calendar was quiet. In Europe, statistics agency Eurostat reported that unemployment across the eurozone decreased by 49,000 to a total of 16.75M in December dropping the unemployment rate to its lowest since September 2011 at 10.4%. In central bank news, the Reserve Bank of Australia and Reserve Bank of India both held their benchmark interest rates steady, as expected. COMPANY NEWS: Class A shares of Alphabet (GOOGL) advanced 5% in the wake of its report of better than expected quarterly earnings and revenue, pushing Google's parent company to overtake Apple (AAPL) as the world's most valuable publicly-traded company in the process... Exxon Mobil (XOM) reported better than expected revenue and profits in the fourth quarter, but its shares slid 2.5% amid the renewed weakness in oil prices. Shares of fellow oil major BP (BP) plunged 8% in New York trading after reporting a steep quarterly loss, largely due to $2.6B in charges related to impairments of Upstream assets as well as restructuring... Pfizer (PFE) reported better than expected fourth quarter results, but forecast 2016 revenue and earnings below analysts' estimates, pushing its shares down fractionally. MAJOR MOVERS: Among the notable gainers was Syngenta (SYT), which rallied 4.5% after Bloomberg reported that ChemChina was close to a deal to buy the company for nearly $43B. Also higher were Mattel (MAT), Michael Kors (KORS), and Fabrinet (FN), which gained 12%, 22%, and 12.5%, respectively, after reporting quarterly earnings. Among the noteworthy losers was Twitter (TWTR), which fell 8% after it was downgraded to Sell at Stifel and following a report claimed that tweets on the service are down 50% from their peak. Also lower were AGCO (AGCO), Harris (HRS), and Pitney Bowes (PBI), which were down 10%, 9.5%, and 11%, respectively, after reporting quarterly earnings. In addition, Ford (F) and General Motors (GM) lost 4% and 3.6%, respectively, after reporting U.S. sales for the month of January. INDEXES: Near midday, the Dow was down 239.86, or 1.46%, to 16,209.32, the Nasdaq was down 64.83, or 1.4%, to 4,555.54, and the S&P 500 was down 27.87, or 1.44%, to 1,911.51.
09:31 EDTHRSHarris names Rahul Ghai as SVP, CFO, effective February 11
Harris Corporation has named Rahul Ghai, SVP and CFO, reporting to Harris Chairman, President and CEO William M. Brown, effective February 11, 2016. Ghai succeeds Mick Lopez, who is leaving Harris to pursue other opportunities. Ghai joined Harris in March 2015 as Vice President, Finance - Integration and has led all finance activities associated with the integration of Exelis.
08:04 EDTTForum Global to hold a conference
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06:39 EDTHRSHarris reports Q2 Communication Systems revenue $489M
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06:38 EDTHRSHarris expects to exit 2017 with annual run-rate savings of $140M-$150M
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06:34 EDTHRSHarris raises FY16 EPS to $5.70-$5.80 from $5.60-$5.80, consensus $5.76
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06:33 EDTHRSHarris reports Q2 non-GAAP EPS $1.49, consensus $1.36
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06:20 EDTTYahoo investors waiting on explicit sale signals, Re/code says
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February 1, 2016
10:02 EDTTREXOn The Fly: Analyst Downgrade Summary
Today's noteworthy downgrades include: AIG (AIG) downgraded at BMO Capital... ARMOUR Residential (ARR) downgraded to Underweight from Equal Weight at Barclays... Abraxas Petroleum (AXAS) downgraded to Neutral from Buy at SunTrust... Anchor BanCorp Wisconsin (ABCW) downgraded to Equal Weight from Overweight at Stephens... Ashford Hospitality Prime (AHP) downgraded to Hold from Buy at Canaccord... Ashford Hospitality (AHT) downgraded to Hold from Buy at Canaccord... Axiall (AXLL) downgraded to Neutral from Buy at Citi... Boston Private Financial (BPFH) downgraded to Neutral from Buy at SunTrust... Colliers International (CIGI) downgraded to Sector Perform from Outperform at RBC Capital... Companhia Brasileira de Distribuicao (CBD) downgraded to Neutral at Credit Suisse... Connecticut Water (CTWS) downgraded to Market Perform from Outperform at Wells Fargo... Duke Realty (DRE) downgraded on valuation, growth outlook at BMO Capital... EP Energy (EPE) downgraded to Neutral from Buy at SunTrust... Eastman Chemical (EMN) downgraded at SunTrust... Equity Residential (EQR) downgraded to Neutral from Buy at Mizuho... Genuine Parts (GPC) downgraded to Neutral from Overweight at JPMorgan... Hersha Hospitality (HT) downgraded to Hold from Buy at Canaccord... Jones Energy (JONE) downgraded to Neutral from Buy at SunTrust... Mondelez (MDLZ) downgraded to Neutral from Positive at Susquehanna... Nokia (NOK) downgraded to Hold from Buy at Canaccord... Ollie's Bargain Outlet (OLLI) downgraded to Neutral from Outperform at Credit Suisse... Oshkosh (OSK) downgraded to Hold from Buy at Drexel Hamilton... Outerwall (OUTR) downgraded on Redbox weakness at Roth Capital... PACCAR (PCAR) downgraded to Underperform from Peer Perform at Wolfe Research... Restoration Hardware (RH) downgraded to Market Perform from Outperform at Cowen... Rex Energy (REXX) downgraded to Neutral from Buy at SunTrust... Sanchez Energy (SN) downgraded to Neutral from Buy at SunTrust... SandRidge Energy (SD) downgraded to Neutral from Buy at SunTrust... Santander Consumer (SC) downgraded to Underperform from Neutral at BofA/Merrill... Tiffany (TIF) downgraded to Market Perform from Outperform at Cowen... Trex Company (TREX) downgraded to Hold from Buy at BB&T... U.S. Steel (X) downgraded to Neutral from Outperform at Macquarie... United Community Financial (UCFC) downgraded to Neutral from Outperform at Boenning & Scattergood... Xerox (XRX) downgraded to Equal Weight from Overweight at Morgan Stanley.
06:56 EDTTREXTrex Company downgraded to Hold from Buy at BB&T
BB&T analyst Matthew McCall downgraded Trex Company to Hold due to the risk to higher-end consumer confidence. The analyst said higher-end consumer confidence declined in January greater than 10% versus December and may be indicative of slower demand for Trex products ahead.
05:13 EDTTAT&T implied volatility of 16 at lower end of index mean range
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