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Option Update: Bank of America volatility elevated into EPS & outlook

Bank of America (NYSE: BAC) closed at $26.50 Thursday.

BAC is scheduled to report Q2 EPS on July 21. Keefe Bruyette and Woods says: "BAC brings risky CountryWide assets on Balance sheet, lowering estimates."

BAC August call option implied volatility went out at 64, puts at 97, above its 26-week average of 45 according to Track Data, suggesting larger price movement.

Financial Select Sector-XLF overall volatility at 46; 26-week average is 37.

Option Update is provided by Stock Specialist Paul Foster of theflyonthewall.com

Option Update: Genentech volatility flat at 29 into EPS

Genentech (NYSE: DNA), the manufacture of Avastin, a treatment for patients with advanced lung, colon, or breast cancer, is scheduled to report Q2 EPS on July 14. DNA August option implied volatility of 29 is near its 26-week average according to Track Data, suggesting non-directional price movement.

Financial Select Sector-XLF overall volatility at 42; 26-week average is 34

Option Update is provided by Stock Specialist Paul Foster of theflyonthewall.com

Option Update: Cisco Systems May volatility at 36 into EPS & outlook

Cisco Systems (NASDAQ: CSCO) is scheduled to report Q3 EPS after the market close on May 6.

CSCO May option implied volatility of 36 is above its 26-week average of 33 according to Track Data, suggesting larger movement.

Financial Select Sector-XLF overall volatility at 32; 26-week average is 35.

Options Update is provided by Stock Specialist Paul Foster of theflyonthewall.com

Option Update: Royal Dutch Shell volatility flat as oil trades above $117

Royal Dutch Shell (NYSE: RDS.A) closed at $76.39. Crude futures are up 0.45% to $117.21, according to Bloomberg. RDS over all option implied volatility of 23 is near its 26-week average of 25 according to Track Data, suggesting non-directional fluctuations.

The Volatility Index for S&P 500 Options (VIX) is at 20.12; the 10-day moving average is 22.06.

Financial Select Sector (XLF) overall volatility is at 33; the 26-week average is 35.

Options Update is provided by Stock Specialist Paul Foster of theflyonthewall.com.

Option update: Volatility indexes spike as equity markets sell off

Volatility Index S&P 500 Options: VIX up 3.30 to 27.90.

Volatility Index NASDAQ 100: VXN up 2.55 to 30.05.

Financial Select Sector: XLF March volatility at 51; 26-week average is 34.

Option volume leaders today were: Washington Mutual, Inc. (NYSE: WM), Citigroup Inc. (NYSE: C), Merrill Lynch & Co., Inc. (NYSE: MER) and The Bear Stearns Companies Inc. (NYSE: BSC) according to Track Data.

Option Update is provided by Stock Specialist Paul Foster of theflyonthewall.com

Option update: Financial Select Sector put volume suggests downside risk

Financial Select Sector SPDR (AMEX: XLF) is recently down $1.05 to $29.46. XLF call option volume of 16,078 contracts compares to put volume of 59,665 contracts. XLF December option implied volatility of 40 is above its 26-week average is 25 according to Track Data, suggesting hedging for continued downside risk.

Dicks Sporting Goods Inc. (NYSE: DKS), an operator of 314 sporting goods stores, is expected to report EPS of five cents on November 20 according to Thompson First Call. Nollenberger Capital Partners says, "we would use this pullback as a unique opportunity to buy the stock at a compelling valuation." DKS December option implied volatility of 64 is above its 26-week average of 34 according to Track Data, suggesting larger price action.

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DJIA-74.9212,454.83
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S&P 500-2.861,317.82

Last updated: May 28, 2012: 09:44 AM

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