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Stock Market & Financial Investment News

News For NOSYMBOL From The Last 14 Days
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April 7, 2015
07:11 EDTJefferies to hold a summit
2015 Electronic Payments Summit is being held in New York on April 7.
07:00 EDTFX Update:
FX Update: EUR-USD led a broader dollar rebound as European markets re-joined the fray after the prolonger Easter break. This helped USD-JPY briefly pierce above 120.00, while euro underperformance saw EUR-JPY and other euro crosses trade lower. Elsewhere, the AUD outperformed after the RBA refrained from cutting interest rates after its policy review today.
06:55 EDTFX Update:
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05:53 EDTOn The Fly: Morning Wrap-Up for April 7
Globex S&P futures are recently down 1.00 from previous day’s SPX cash close. Nikkei 225 up 1.25%, DAX up 1.03%. WTI Crude oil is recently at 51.41, natural gas up 1.61%, gold at $1209 an ounce, copper up 0.96%.
05:50 EDTApril front month equity options last day to trade is April 17, 2015
02:50 EDTFX Update: EUR-USD has settled back below 1.1000
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April 6, 2015
16:05 EDT 3-Month Bill Auction to be released at 11:30
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16:05 EDT 6-Month Bill Auction to be released at 11:30
16:05 EDT 4-Week Bill Announcement to be released at 11:00
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15:15 EDTU.S. Consumer Credit Preview
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14:10 EDTEuro$ interest rate futures are extending declines
Euro$ interest rate futures are extending declines as the rate complex takes a hit across the board with stocks gapping higher on hike delay sentiment, perversely backing out Friday's gains. The June 2015 contract is still flat at 99.69, but the deferreds are now down by as much as 11-ticks out the back-end (triple opening losses of 1-3 ticks). Perhaps the thought is that a steeper trajectory will be required if hikes are deferred, with the long-end of the Treasury curve singing from the same hymn sheet as well.
14:00 EDTStocks hover near session highs in afternoon trading
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13:20 EDTTreasury Action: Treasuries have extended declines
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13:10 EDTDetails on phasing out sanctions on Iran
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12:10 EDTTreasury Action: yields are catching up
Treasury Action: yields are catching up with the rebound in stocks as Fed dovishness rises from the ashes of the damp payrolls report, lifting yields along the rate spectrum. The 2-year yield has inched back over 0.49% from post-payrolls lows of 0.472%, but is still some way from highs of 0.544% Friday highs. The 5-year yield is busy filling in gaps to highs of 1.305% compared to "Bad Friday's" 1.355-1.239% range and the 10-year yield climbed back over 1.90% vs 1.906-1.802% on Friday. The cash bond at 2.57% is pacing the move, having eclipsed Friday highs of 2.569% as the bond market reads inflation risks into Fed delay - taking Dudley's higher yield forecast and 2% inflation target at face value. As a consequence, the 2s-10s spread has steepened back over +140 bp from the +137 bp area earlier, while the 5s-30s spread has widened over +126 bp. Seems commodity and energy prices are reflecting this risk-on trade, amplified by still relatively light global holiday liquidity.
12:05 EDTEnergy Action: NYMEX crude has touched $51.74
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11:50 EDT Cleveland Federal Reserve Bank President Loretta Mester Speech to be released at 13:10
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11:50 EDT Federal Reserve Chair Stanley Fischer Speech to be released at 13:00
11:50 EDT Richmond Federal Reserve Bank President Jeffrey Lacker Speech to be released at 19:30
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11:50 EDT St Louis Federal Reserve Bank President James Bullard Speech to be released at 09:00
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