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Stock Market & Financial Investment News

News For NOSYMBOL From The Last 14 Days
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June 30, 2015
16:05 EDTWeek of 7/11 Redbook to be released at 08:55
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16:05 EDTImport Prices data reported.
June Import Prices at % for the month.
15:25 EDTTreasury Closing Summary:
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14:43 EDTAverages remain higher as Greek headlines continue crossing
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14:20 EDTFed's Fischer said the FOMC will consider hiking rates in coming months
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13:58 EDTGreece willing to suspend referendum if talks reopen, Times of Malta reports
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13:15 EDTGlobal X Funds volatility elevated as Greece near default
Global X Funds (GREK) July call option implied volatility is at 124, August is at 93, September is at 88, December at 74; compared to its 52-week range of 31 to 110, suggesting large price movement.
12:40 EDTTreasury Action: bonds have erased early losses and yields are lower
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12:28 EDTMerkel says no new negotiations before Greek referendum, Bloomberg reports
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12:00 EDTU.S. equities pared gains into the European close
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11:45 EDTTreasury's $30 B 4-week bill sale was ok
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11:40 EDTTreasury Option Action: some call spread liquidation
Treasury Option Action: some call spread liquidation has been amid today's positioning, along with a large block purchase. Meanwhile Friday's 10-year straddle (after payrolls Thursday) is trading at 9 tic premium compared to the average 15 tic premium for the past 6-months, suggesting that the July 4th weekend is seen reducing rather than increasing trading risks around the number. Specifically, there was a purchase of 10k in August 124 puts blocked overnight and purchase of 5k in September 125.5 puts vs a sale of 5k in August 125 puts on 10-year futures. There was also a sale of 2k in August 158/160 call spreads on bond futures and a sale of 7k in August 118 puts/120.75 call combos on 5-year futures. September 10s are 2.5-tics lower near 126-04.
11:25 EDTToday's U.S. reports
Today's U.S. reports revealed June gains for both Chicago PMI and consumer confidence, and an April NSA rise for the S&P Case-Shiller home price index of 1.1%, though only the consumer confidence rise beat expectations, as the Chicago bounce still left a lean 49.4 reading, while the home price rise fell short of the seasonal norm. The consumer confidence bounce to the same 101.4 seen in April left the measure still-below the 103.8 cycle-high in January, as is the case with all the major sentiment surveys that ratcheted higher into the start of 2015 before oscillating below early-year peaks. Both producer sentiment and confidence have shown an upturn in June.
11:15 EDTRepo rates spiked today amid quarter end pressures
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10:30 EDTFX Action: The CAD has underperformed notably today
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10:30 EDTEuro$ interest rate options: some bullish positioning
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10:25 EDTThe June U.S. consumer confidence rise
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10:15 EDTU.S. consumer confidence surged to 101.4 in June
U.S. consumer confidence surged to 101.4 in June from 94.6 in May (revised down from 95.4). It ties the March reading, and is the second highest print this year, bested only by the 103.8 in January. The latter was the highest since June 2007. The present situations component rose to 111.6 from 107.1 (revised from 108.1). The expectations index was 94.6 from 86.2 previously (revised from 86.9). The labor market differential improved to -4.3 versus -6.6.
10:15 EDTTreasury Action: yields steadied above lows
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10:13 EDTConsumer Confidence data reported
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