STATE OF THE MARKETS

Yields fell as markets hedge. While US stocks closed in the green, with Dow (+0.30%), S&P (-0.34%) and Nasdaq (+0.01%) settled higher; yields on 2Y, 5Y and 10Y US bonds continue to drift lower as of this writing. The benchmark 10Y fell below 1.3% while the 5Y is below 0.78%, and 2Y to below 0.22% as markets hedged riskier assets on Wednesday.

In the commodities market, crude futures continue to drift lower for the second day, settling around $72.20/bl, as the OPEC+ drama saga between Saudi and UAE continues. On a different note, gold closed higher, above $1,803/oz, after FOMC minutes revealed a divided camp in Feds on rate hike.

In the FX space, risk-off tone exacerbated with more flows into Yen than Dollar with hedging seen in Kiwi. Loonie, Aussie and Euro were offered more across the board, while Sterling and Swiss remained relatively unchanged. Markets now await further data on unemployment claims on Thursday.

 


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G8 CURRENCIES SENTIMENTS

ST NZD JPY USD GBP CHF AUD CAD EUR ST
MT JPY CHF NZD USD GBP AUD EUR CAD MT
LT USD JPY GBP NZD CHF EUR CAD AUD LT
** ST refers to Short-Term daily turnover, MT is Medium Term weekly 
and LT refers to Long-Term monthly turnover.

WALL ST MOST ACTIVE

TICKER LAST PRICE

% CHANGE

VOLUME 90 DAYS AVG
XELA 3.29 + 22.76 334,558.9K 22,146.6K
DARE 1.88 + 23.68 219,751.0K 1,866.8K
DIDI 11.91 – 4.64 135,131.8K 191,483.0K
AAPL 144.57 + 1.80 104,725.8K 91,816.7K
SQQQ 8.65 – 0.75 99,217.5K 85,293.7K
AMC 45.07 – 9.79 94,852.0K 141,229.0K
NIO 46.04 – 8.45 85,640.1K 84,614.7K
WISH 10.95 – 7.91 84,796.1K 40,484.1K
ONCS 3.40 + 21.86 81,063.0K 226.0K
NEGG 67.57 + 148.42 75,984.9K 853.2K
** % Change here refer to price

WALL ST TOP FLOWS

TICKER LAST PRICE

VOLUME

% CHANGE FUNDS FLOW $
AMZN 3,696.58 5,321.7K + 53.00 19,672.1M
AAPL 144.57 104,725.8K + 37.15 15,140.2M
TSLA 644.65 18,749.0K – 19.11 12,086.5M
NVDA 814.87 10,449.8K – 4.98 8,515.2M
MSFT 279.93 23,236.2K – 0.66 6,504.5M
NEGG 67.57 75,984.9K + 1,317.42 5,134.3M
FB 350.49 14,214.3K – 10.36 4,982.0M
AMD 90.54 51,414.3K + 24.34 4,655.1M
AMC 45.07 94,852.0K – 37.83 4,275.0M
NIO 46.04 85,640.1K + 32.85 3,942.9M
** % change here refers to volume

TOP 5 BLOCK ORDERS

SYMBOL PRICE / STRIKE TYPE VOL/OI FUNDS FLOW $
TTD 77.64 / 75.00 stock options/call 154.43 707.5M
ORCL 86.09 / 87.00 stock options/call 62.40 1,804.5M
GC 1,800.40 – 1802.00 gold futures 500 90.1M
ZN 133.09 – 133.18 US bonds futures 9,085 120,974.5M
CL 58.33 – 72.75 crude oil futures 5,118 364.3M

OUR PICK – Cabot Oil & Gas (COG, NYSE)

Still accumulating as the dividend increased. Our pick for COG back in March didn’t bode well for leveraged traders as it hit our stop loss but worked well for cash accounts without stop loss as the stock increased its dividend payout from 10 cents to 11 cents a share giving a trailing 12 months yield of 2.41%. Given the fact that COG also bought back its shares in 2020, yielding 2.66%, that’s a 5.12% yield for last year. Not bad, but the best was when COG bought back its shares in 2019 at 9.22% yields, as crude prices collapsed, for a total yield (including dividends)  of 11.23% for that year! Fairly valued at $23 by Morning Star. Income investors and annuities love this stock, and so do we.

HORIZON STRATEGY SL TP1 TP2
Short-Term Buy (leveraged) 15.15 18.30 19.15
Medium-Term Buy (cash) 19.15 20.20
Long-Term Buy (cash) 20.20 22.50

Note: If you require fundamental reports for this stock, please contact your account manager or support@mfmsecurities.com for a copy.

 

Disclaimer:

This article is for general information purpose only. It is not an investment advice or a solicitation to buy or sell any securities. Opinions expressed are of the authors and not necessarily of MFM Securities Limited or any of its affiliates, subsidiaries, officers or directors. Leveraged trading is high risk and not suitable for all. You could lose all of your deposited funds.

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