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News For NOSYMBOL From The Last 14 Days
Check below for free stories on NOSYMBOL the last two weeks.
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July 14, 2014
14:50 EDTU.S. Retail Sales Preview
U.S. Retail Sales Preview: June retail sales data will be released on Tuesday and the headline should be up 0.6% (median 0.6%) with the accompanying ex-autos figure up by 0.6% as well. Another firm month for chain store sales points to upside risk for the report as discussed in today's commentary.
14:25 EDTFed Discount Rate meeting minutes showed ongoing improvement
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13:35 EDTU.S. dollar swap spreads widened back out
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13:05 EDTEuro$ interest rate options: more bearish positioning
Euro$ interest rate options: more bearish positioning included a 9k purchase of Gold December 65 puts, while there was also a sale of 4k in Blue December 72 strangles (volatility). September 2014 contracts are still flat at 99.76, while the deferreds 1-4.5 ticks lower, continuing to inch lower as risk aversion abates, stocks gain and markets brace for Yellen.
12:50 EDTU.S. corporate debt: a 3-trancher from Bed, Batch & Beyond
U.S. corporate debt: a 3-trancher from Bed, Batch & Beyond will include 10-, 20- and 30-year legs (guidance +125 bp, +160 bp, +185 bp respectively), while Bank of Nova Scotia has a 2-trancher of 3- and 7-year maturities (+40 bp, +70 bp). Other investment grade deals on deck are a $284 M 22-year deal from CVS Caremark, a $250 M 40-year bond from Mutual of Omaha, a 2-year note via Toronto-Dominion and a $250 M perpetual from Wells Fargo. In the high yield sector there's a 3-trancher from American Energy of 5-, 7- and 8-year maturities and a slew of intermediate offerings from Cardtronics, Dryships, Infinity, Light Tower, McGraw-Hill, among others. Look for some light hedging and unwinds related to these deals to add some chop to underlying Treasuries and futures, though Yellen's midweek testimony will keep a lid on the price action for now.
11:55 EDTU.S. equities topped up opening gains with Europe
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11:45 EDTTreasury's $48 B 3- and 6-month bill sale was strong
Treasury's $48 B 3- and 6-month bill sale was strong as traders still scramble for supply. The $25 B 3-month bill stopped at 0.025%, just through the 0.030% at the bid deadline and a little richer than last week's 0.04%. There were $119.9 B in bids for a 4.82 cover, the highest in five weeks, as well as the 4.71 average. Indirect bidders were awarded 27.4% compared to last week's small 14.8% and the 22.5% average. The $23 B 6-month bill was awarded at 0.06%, right on the screws, and just under last week's 0.065%. Bids totaled $112.5 B in bids for a 4.93 cover, also the best since June 9 and fractionally better than the 4.92 average. Indirect bidders took 37.1% compared to 35.5% previously and 35.9% average.
11:40 EDTFX Action: USD-CAD has finished off remaining 1.0725 bids
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11:20 EDTTreasury announced a $35 B 4-week bill sale for Tuesday
Treasury announced a $35 B 4-week bill sale for Tuesday, unchanged from last week but up from the volumes of the prior several weeks. The only supply this week is bills, with today's $48 B 3- and 6-month offering, and tomorrow's 4-week sale.
11:20 EDTNY Fed bought $1.33 B in bonds
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11:00 EDTEuro$ interest rate options: mixed action
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10:45 EDTFX Action: The dollar continues to make modest inroads
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10:35 EDTTreasury Action: Treasuries are at risk to a major jump in yields
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10:25 EDTNY Fed outright purchase: the Fed is buying $1 B to $1.25 B in bonds
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09:43 EDTEarnings optimism, M&A lift market at open
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09:35 EDTUpside Risk for U.S. Retail Sales in June:
Upside Risk for U.S. Retail Sales in June: Analysts expect solid 0.6% June gains in headline and ex-auto retail sales, with upside risk signaled by continued strength in chain store sales, a new cycle high for vehicle sales, a likely further climb in building material sales, a 2%-3% June gasoline price pop, and an upward Q2 tilt in consumer confidence with support from rising stock market valuations.
09:30 EDTTreasury Option Action: bearish positioning
Treasury Option Action: bearish positioning reportedly involved the purchase of 3k in Sep 121.5/123/124.5 put butterflies, with the grain of the opening sell-off on underlying Sep 10-year futures, which are 3.5-ticks lower near 125-035 compared to their 125-08 to 125-035 range.
09:20 EDTBoard of Governors of the Federal Reserve to hold a closed meeting
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09:20 EDTU.S. equities are on the mend
U.S. equities are on the mend as Europe starts out the week on firmer footing following last week's turmoil in Portugal, with earnings and M&A front-and-center. Healthy gains in Asia also saw Japan's N-225 close 0.88% higher, while the Shanghai Comp rose 0.96% and the Euro Stoxx 50 is 0.6% higher. The Dow is 83-points firmer, S&P rose 8-points and NASDAQ rallied 18-points in pre-open action. Citigroup rallied nearly 4% after reaching a $7 B settlement on its mortgage probe and its earnings are due today as well. Shire agreed to a $53 B merger with Abbvie. Mylan reached a deal to buy the non-U.S. businesses of Abbott Labs for $5.3 B. Apple was boosted by an "overweight" buy rating from Barclays. And Aecom plans to purchase URS for $6 B. Note, gold is down sharply to $1,304 from $1,339.40 highs as tensions in Europe abate.
09:11 EDTMorgan Stanley macro analyst team holds analyst/industry conference call
Analysts provide global macro outlook on an Analyst/Industry conference call to be held on July 14 at 11 am.
<< 1 | 2 | 3 | 4 | 5 | 6 | 7 | 8 | 9 | 10 | 11 | 12 | 13 | 14 | 15 | 16 | 17 | 18 | 19 | 20 | 21 | 22 | 23 | 24 | 25 | 26 | 27 | 28 | 29 | 30 | all recent NOSYMBOL news | >>

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