78.330High77.770Low5.75MVolume78.300Open78.090Pre Close449.02MTurnover2.86%Turnover Ratio--P/E (Static)201.10MShares79.15052wk High--P/B15.72BFloat Cap63.73352wk Low2.16Dividend TTM201.10MShs Float79.150Historical High2.76%Div YieldTTM0.72%Amplitude24.403Historical Low78.084Avg Price1Lot Size
The dominance of decliners over advancers across both NYSE and NASDAQ was reflected in the trading session. Yesterday session saw the major indexes ended mixed, with S&P 500, NASDAQ and Russell 2000 giving their fifth consecuti...
Consumer price index excluding food and energy climbed 0.4%. February increase of CPI have Fed believe that it pay to be more cautious in cutting rates. Beyond any one month's data, there are other reasons to be concerned that this underlying trend could accelerate. If that happens, inflation could get stuck at a level inconsistent wi...
US stock futures were higher, with S&P Index futures advancing 0.3% before the start of trading.
Housing starts and permits for October will be released at 8:30 am ET, followed by e-commerce retail sales for Q3 and the Census Bureau services survey for Q3 at 10 am ET. The Baker Hughes North American rig count for the week ended Nov. 17 will be released at 1 pm ET.
In premarket action, bitcoin was up 0.9% and the cryptocurrency fund ProShares Bitcoin Strategy ETF (BITO) r...
$Tesla(TSLA.US)$ shares fell by 0.43%, closing at $260.05. Its options trading volume is 1.93 million. Call contracts account for 53.9% of the whole trading volume. The most traded calls are contracts of $250 strike price that expire on October 6th. The total volume reaches 95,450 with an open interest of 14,924. The most traded puts are contracts of a $245 stri...
Back in 2021, Fractional Trading was one of the suggestions that I made to the MooMoo Products Managers.
In 2023, FUTU MooMoo ( $Futu Holdings Ltd(FUTU.US)$ ) surprises Mooers with many new features, such as Fractional Trading. I fee...
$Futu Holdings Ltd(FUTU.US)$ $Charles Schwab(SCHW.US)$ $Consumer Staples Select Sector SPDR Fund(XLP.US)$ $Philip Morris International(PM.US)$ $Lululemon Athletica(LULU.US)$ $Advanced Micro Devices(AMD.US)$ $Microsoft(MSFT.US)$ $Meta Platforms(META.US)$ $Nike(NKE.US)$ $Under Armour-C(UA.US)$ $Amazon(AMZN.US)$ $LVMH Moet Hennessy Louis Vuitton(LVMHF.US)$ $Netflix(NFLX.US)$
Portfolio 1 consists of:
$SPDR S&P 500 ETF(SPY.US)$ (70%)
$Invesco QQQ Trust(QQQ.US)$ (20%)
$Vanguard Long-Term Treasury ETF(VGLT.US)$ (10%)
Aim: to capitalise on the growth sector while maintaining some of that “diversification” that comes from SPY and VGLT
Portfolio 2 consists of:
$Invesco QQQ Trust(QQQ.US)$ (60%)
$Consumer Staples Select Sector SPDR Fund(XLP.US)$ (20%)
$The Health Care Select Sector SPDR® Fund(XLV.US)$ (20%) ...
No comment yet