Архив рубрики: Stock news, Quarter results announcements

Prudence prevails in New York. Gainers include only Home Depot…

IT.paperblog.com  21.06.2015

 

VimpelCom shares were down 2.71% on the Nasdaq.

 

Salgono soltanto Home Depot Nike e Caterpillar, in calo The Travelers, Microsoft e Visa. Sul Nasdaq bene Biogen ed eBay. Seduta negativa con finale a sorpresa, prendiamo ad esempio il Dow Jones. Prime due ore di contrattazione con l’indice che perde fra i 15 ed i 35 punti, altre due ore ed il ribasso si attesta sui 55 punti, ancora due ore e di nuovo giu a -95 punti e siamo cosi arrivati all’ultima mezz’ora di contrattazione. Nella quale per i primi quindici minuti guadagna 35 punti, perdendone 40 negli ultimi quindici!!! Bilancio finale per l’indice piu vecchio del mondo: – 100 punti. Come va interpretato? Nessun dato macro in programma, nessuna trimestrale, quindi? Occhi puntati sulla Grecia? Forse, ma il prezzo dell’oro e rimasto inchiodato ai 1200 dollari l’oncia, ed il cambio dell’Eur/Usd non si e mosso da quota 1,135 per cui possiamo dire calma piatta su tutti i fronti. Si su tutti i fronti tranne quello azionario, i tre principali indici di Borsa americani, infatti, hanno trascorso l’intera seduta in territorio negativo e visto che non c’era uno straccio di notizia sul fronte interno e presumibile che il sentiment negativo fosse dovuto ad eventi esterni. A mio avviso, pero, piu della Grecia puo avere influito su Wall Street il -6,4% dell’SSE, l’indice di Borsa di Shanghai, chiariamo subito che nonostante la batosta odierna il listino cinese si trova ancora su livelli stratosferici, la performance nell’ultimo anno, messa a segno fino a pochi giorni fa, era del 150% quindi un momento di riflessione … ci sta! Cio che ci si domanda, pero, e se non sia appena cominciato lo scoppio della bolla sui titoli cinesi, ovviamente non e una ipotesi che si possa escludere a priori. Dow Jones (-0,54%) soltanto tre I titoli che hanno terminato le contrattazioni con un rialzo, si tratta di Home Depot (+0,52%), Nike (+0,50%) quindi Caterpillar (+0,09%) Invece i maggiori ribassi sono risultati quelli di The Travelers (-1,99%), Microsoft (-1,33%) e Visa (-1,17%). S&P500 (-0,54%) svetta Biogen (+2,37%) davanti a Walgreens (+0,82%) ed eBay (+0,79%) I maggiori ribassi sono risultati quelli di Allstate (-2,78%), Oracle (-2,69%) e Schlumberger (-2,27%). Nasdaq (-0,31%) gran balzo di Maxim Integrated (+3,31%), molto bene anche Fiserv (+3,12%), quindi Garmin (+0,62%). Ancora un ribasso per Vimpelcom (-2,71%), Wynn Resorts (-2,04%) e Sandisk (-1,98%). Giancarlo Marcotti per Finanza In Chiaro

 

http://it.paperblog.com/prevale-la-prudenza-a-new-york-salgono-soltanto-home-depo-2885126/

 

No decline for the NASDAQ

Paperblog IT.com  21.06.2015

 

 
The NASDAQ upped + 1.34% and witnessed a great rebound of + 6.74% for VimpelCom on the closing of the week June 15-21.

 

Nessun ribasso fra i titoli che compongono il Dow Jones. In salita 3M, The Travelers e J&J. Sul Nasdaq vola di nuovo l’intero comparto biotech. Ufficialmente la riunione dell’Eurogruppo che doveva prendere una decisione “definitiva” sulla Grecia si e conclusa con un nulla di fatto, ma, visto che e stato convocato un nuovo vertice straordinario per lunedi prossimo Wall Street ha pensato bene di festeggiare in anticipo. Insomma, sul floor del New York Stock Exchange l’annuncio di una nuova riunione viene interpretato come un “mezzo accordo”, ma su cosa avrebbero trovato un accordo l’Ue e la Grecia? Al solito, su di un rinvio! L’avevo gia previsto giorni fa che si sarebbe cercato di far passare l’estate e forse arrivare fino alla fine dell’anno, insomma questa Europa assomiglia molto all’Italia, se appena puo … rinvia, sperando che … nel frattempo … Come se rinviare delle decisioni sia mai servito a risolvere problemi, prendo solo “a caso” i titoli di due articoli apparsi su Finanza In Chiaro: Crisi: pronto il patto Ue per la Grecia – 12 febbraio 2010 Grecia, ok della Troika alla richiesta di Atene: due anni in piu per sistemare i conti pubblici – 15 ottobre 2012 Ed oggi sappiamo che tutti questi rinvii non hanno fatto altro che peggiorare la situazione, ma tanto chi si ricorda di cosa era stato fatto nel 2010? Non ricordiamo neppure che nel 2012 la Grecia non aveva pagato i titoli di Stato in scadenza! Ma torniamo a Wall Street perche c’e un indice che oggi ha stabilito il proprio massimo storico, si tratta del Nasdaq che, con un fixing a 5.132,95 punti, ha superato il precedente record che risaliva allo scorso 27 maggio. E si va avanti cosi. Ma oggi, come tutti i giovedi, erano in programma diversi dati macro, si cominciava con quelli che riguardavano il mercato del lavoro. Le prime richieste di sussidi alla disoccupazione sono scese a sole 267.000 unita, un livello molto inferiore alle previsioni degli economisti (276.000 unita). Si proseguiva con il dato sull’inflazione, l’indice dei prezzi al consumo e aumentato dello 0,4% una variazione consistente, ma inferiore alle attese degli economisti (+0,5%), sui dodici mesi, pero, la variazione e nulla. Si arrivava cosi al deficit delle partite correnti, salito a 113,3 miliardi di dollari nel primo quarto dell’anno, gli economisti, pero, si attendevano un dato ancora superiore (116,7 miliardi di dollari). A mercato aperto arrivava prima il Philadelphia Fed, ossia l’indice che monitora il sentiment del settore manifatturiero nel distretto di Filadelfia, ebbene il balzo e stato davvero imprevedibile (da 6,7 a 15,2 punti) quando le stime si fermavano a 8 punti. Ed infine il superindice, salito a maggio dello 0,7%, quasi il doppio del consenso (+0,4%). Insomma dati davvero esaltanti che spiegherebbero l’entusiasmo di Wall Street, se non che, ormai da tempo, avevamo giustificato i cali degli indici americani in presenza di buoni dati macro, in quanto si diceva che avrebbero accelerato il momento in cui la Fed avrebbe preso la decisione di aumentare i tassi. Ma proprio oggi, Goldman Sachs ha diramato una nota in cui afferma di attendersi l’inizio della stretta monetaria non piu a settembre, bensi a dicembre. Una previsione che va a cozzare con quella che vede i tassi americani salire di mezzo punto percentuale entro la fine dell’anno. Mah! Vedremo. Dow Jones (+1,18%) i migliori, 3M Comp. (+1,70%), seguito da The Travelers (+1,69%) quindi Johnson & Johnson (+1,65%) nessun titolo ha fatto segnare un ribasso nella giornata odierna (si e comprato di tutto) S&P500 (+1,19%) ancora una volta in auge il settore delle biotecnologie: Amgen (+2,87%), Abbott Laborat. (+2,82%), ed ancora Biogen (+2,73%) Crolla dopo la trimestrale Oracle (-4,83%) che pero termina molto sopra il prezzo di apertura ed a distanza siderale dal minimo di giornata. In ribasso anche i petroliferi Halliburton (-2,47%) e Schlumberger (-1,16%). Nasdaq (+1,34%) gran rimbalzo per Vimpelcom (+6,74%), a seguire il biotecnologico Celgene (+4,24%), quindi ancora un’ottima seduta per Tripadvisor (+3,45%) Veramente limitati i ribassi, Keurig Green Mountain (-0,32%), Dish Network (-0,11%) ed Altera Corp. (-0,08%).

 

http://it.paperblog.com/massimo-storico-per-il-nasdaq-nessun-ribasso-fra-i-titoli-2883641/

 

Wall Street does not believe

Yahoo Finanza Italia  20.06.2015

 

June 20, 2015 VimpelCom’s stocks on Wall Street plunged 2.71%.

 

Scritto da Giancarlo Marcotti | Trend Online – 2 minuti 22 secondi fa Seduta negativa con finale a sorpresa, prendiamo ad esempio il Dow Jones. Prime due ore di contrattazione con l’indice che perde fra i 15 ed i 35 punti, altre due ore ed il ribasso si attesta sui 55 punti, ancora due ore e di nuovo giu a -95 punti e siamo cosi arrivati all’ultima mezz’ora di contrattazione. Nella quale per i primi quindici minuti guadagna 35 punti, perdendone 40 negli ultimi quindici!!! Bilancio finale per l’indice piu vecchio del mondo: — 100 punti. Come va interpretato? Nessun dato macro in programma, nessuna trimestrale, quindi? Occhi puntati sulla Grecia? Forse, ma il prezzo dell’oro e rimasto inchiodato ai 1200 dollari l’oncia, ed il cambio dell’Eur/Usd non si e mosso da quota 1,135 per cui possiamo dire calma piatta su tutti i fronti. Si su tutti i fronti tranne quello azionario, i tre principali indici di Borsa americani, infatti, hanno trascorso l’intera seduta in territorio negativo e visto che non c’era uno straccio di notizia sul fronte interno e presumibile che il sentiment negativo fosse dovuto ad eventi esterni. A mio avviso, pero, piu della Grecia puo avere influito su Wall Street il -6,4% dell’SSE (Londra: SSE.L — notizie ) , l’indice di Borsa di Shanghai, chiariamo subito che nonostante la batosta odierna il listino cinese si trova ancora su livelli stratosferici, la performance nell’ultimo anno, messa a segno fino a pochi giorni fa, era del 150% quindi un momento di riflessione … ci sta! Cio che ci si domanda, pero, e se non sia appena cominciato lo scoppio della bolla sui titoli cinesi, ovviamente non e una ipotesi che si possa escludere a priori. Dow Jones (-0,54%) soltanto tre I titoli che hanno terminato le contrattazioni con un rialzo, si tratta di Home Depot (+0,52%), Nike (+0,50%) quindi Caterpillar (+0,09%) Invece i maggiori ribassi sono risultati quelli di The Travelers (-1,99%), Microsoft (NasdaqGS: MSFT — notizie ) (-1,33%) e Visa (-1,17%). S&P500 (-0,54%) svetta Biogen (Swiss: BIIB.SW — notizie ) (+2,37%) davanti a Walgreens (+0,82%) ed eBay (+0,79%) I maggiori ribassi sono risultati quelli di Allstate (-2,78%), Oracle (NYSE: ORCL — notizie ) (-2,69%) e Schlumberger (-2,27%). Nasdaq (-0,31%) gran balzo di Maxim Integrated (+3,31%), molto bene anche Fiserv (+3,12%), quindi Garmin (+0,62%). Ancora un ribasso per Vimpelcom (-2,71%), Wynn Resorts (NasdaqGS: WYNN — notizie ) (-2,04%) e Sandisk (-1,98%). Scopri le nostre fonti: clicca sul logo per leggere tutti gli articoli dei provider e trova il tuo preferito

 

https://it.finance.yahoo.com/notizie/wall-street-non-ci-crede-010400296.html

 

Closing Bell Reports: AuRico Gold Inc. (AUQ), CYS Investments, Inc. (CYS), Ally Financial Inc. (ALLY), VimpelCom Ltd. (VIP), Atwood Oceanics, Inc. (ATW)

WallStreetscope.com  19.06.2015

 

June 20, 2015 VimpelCom Ltd. closed out at USD5.39, a change of -2.62% at a volume of 3,028,331 shares with return on investment of 6.40%. VimpelCom Ltd. currently has a weekly performance of 4.73% and return on investment of 6.40%. VimpelCom Ltd. (VIP)’s monthly performance stands at 9.48%.

 

AuRico Gold Inc. ( AUQ ) of the Basic Materials Sector closed the day at $3.13 (a change of 0.48%) at a relative volume of 1.37. AuRico Gold Inc. (AUQ) had a change from open of 0.48% trading at a volume of 3,043,915 shares. AuRico Gold Inc. (AUQ)’s weekly performance is 1.30% and against their 52 week low AuRico Gold Inc. is 24.74% with total insider ownership of 2.54%. AuRico Gold Inc. (AUQ)’s monthly performance stands at -10.34% in the Gold industry with an analyst recommendation of 2.40 CYS Investments, Inc. ( CYS ) of the Financial sector (REIT – Diversified) closed the day at $8.41 gaining 0.96%, a change from open of 0.84% after trading at a volume of 3,042,559 shares. CYS Investments, Inc. (CYS) weekly performance is – 0.79% and EPS growth this year of186.60%.CYS Investments, Inc. (CYS)’S monthly performance ended at- 3.78% and CYS Investments, Inc. (CYS) has a YTD performance of 2.08% in the REIT – Diversified industry. We give this a recommendation of 2.50 Ally Financial Inc. ( ALLY ) finished up today at $23.44 with a volume of 3,041,192 shares, changing by 0.60% ( 0.640% change from open) with a profit margin of 14.70%. The return on investment for Ally Financial Inc. (ALLY) is currently6.00% and Ally Financial Inc. (ALLY)’s weekly performance is 1.97%. Ally Financial Inc. (ALLY)’s monthly performance stands at 4.72% with current market cap of 11,218.95million and insider ownership of 0.20% in the Financial sector of the Mortgage Investment industry. We give this an analyst recommendation of 1.80 VimpelCom Ltd. ( VIP ) of the Technology sector closed out today at $5.39, a change of -2.62% at a volume of 3,028,331 shares with return on investment of 6.40%. VimpelCom Ltd. (VIP) currently has a weekly performance of 4.73% and return on investment of 6.40%. VimpelCom Ltd. (VIP)’s monthly performance stands at – 9.48% and VimpelCom Ltd. (VIP) YTD performance of 32.54% in the Wireless Communications industry. Current analyst recommendation 3.20 Atwood Oceanics, Inc. ( ATW ) of the Basic Materials sector was down -1.64% finishing up today at $27.65, a change from open of- 0.86% at a volume of 3,020,189 shares. Atwood Oceanics, Inc. (ATW) has a weekly performance of – 3.96%, insider ownership of 0.70% and Atwood Oceanics, Inc. (ATW)’s monthly performance stands at -11.13% with YTD performance of 0.86% in the Oil & Gas Drilling & Exploration industry with an analyst recommendation of 2.70

 

http://www.wallstreetscope.com/closing-bell-reports-aurico-gold-inc-auq-cys-investments-inc-cys-ally-financial-inc-ally-vimpelcom-ltd-vip-atwood-oceanics-inc-atw/25323531/

 

VimpelCom shareholders elect Supervisory Board

PRNewswire.com  19.06.2015

 

At an AGM that was held in Amsterdam on June 19, 2015, VimpelCom shareholders elected the following candidates to the Supervisory Board: Mikhail Fridman, Gennady Gazin, Andrei Gusev, Gunnar Holt, Sir Julian Horn-Smith, Nils Katla, Aleksei Reznikovich, Morten Karlsen Sorby, and Trond O Westlie.

 

VimpelCom Ltd. («VimpelCom», «Company» or «Group») (NASDAQ: VIP ), a leading global provider of telecommunications services, headquartered in Amsterdam, announces that VimpelCom shareholders approved all agenda items at its Annual General Meeting of Shareholders (AGM) held today in Amsterdam. In particular, the Company’s shareholders elected the following candidates to the Supervisory Board: Mikhail Fridman , Gennady Gazin , Andrei Gusev , Gunnar Holt , Sir Julian Horn-Smith , Nils Katla , Alexey Reznikovich, Morten Karlsen Sorby and Trond O Westlie . * The reappointment of PricewaterhouseCoopers Accountants NV as the Company’s auditor was also approved. Holders of approximately 93.2% of the Company’s shares were represented at the AGM. For more information about the Company’s Supervisory Board and related biographies, please see VimpelCom’s web site www.vimpelcom.com in the «Corporate Profile/Leadership» section. * Members of Supervisory Board are elected to serve until the next AGM to be held in 2016 (unless the director is removed from office or the director’s office is vacated in accordance with the by-laws ). About VimpelCom VimpelCom is a leading global provider of telecommunications services and is headquartered in Amsterdam . The Company provides voice and data services through a range of traditional and broadband mobile and fixed technologies. The Group operates in Italy and emerging markets, which include companies operating in Russia , Ukraine , Kazakhstan , Uzbekistan , Tajikistan , Armenia , Georgia , Kyrgyzstan , Laos , Algeria , Bangladesh and Pakistan . The operations of these companies cover a territory with a total population of approximately 740 million people as of March 31, 2015 . VimpelCom provides services under the «Beeline,» «Kyivstar,» «banglalink,» «Mobilink,» «Djezzy» and «WIND» brands. As of March 31, 2015 , VimpelCom had 218 million mobile customers. VimpelCom’s ADSs are listed on the NASDAQ Global Stock Market under the symbol «VIP.» For more information visit: http://www.vimpelcom.com . SOURCE VimpelCom Ltd.

 

http://www.prnewswire.com/news-releases/vimpelcom-shareholders-elect-supervisory-board-300101935.html

 

Russia ADRs rise with oil as Rogers says ‘hated’ market is a buy

Bloomberg  19.06.2015

 

Russian stocks gained in U.S. trading as oil prices advanced and the ruble rose to a two-week high against the dollar amid a rally in emerging-market assets. VimpelCom advanced 6.7%, to USD5.54.

 

Russian stocks gained in U.S. trading as oil prices advanced and the ruble rose to a two-week high against the dollar amid a rally in emerging-market assets. OAO Mechel, the mining company seeking to avert bankruptcy, advanced as one of the company’s lenders said it is paying overdue debt. Electronic-payment processor Qiwi Plc and wireless carrier OAO VimpelCom each rose more than 4 percent. The Bloomberg Russia-US Equity Index jumped 1.2 percent. The ruble increased 0.2 percent. Stocks gained and the ruble strengthened as Brent crude rose 0.6 percent to $64.26 on Thursday, a third straight gain. It traded at $64.17 at 10:43 a.m. Hong Kong time. Oil, which along with natural gas accounts for about half of Russia’s budget revenue, has rebounded 38 percent from this year’s low in January. Brent has sold for an average $62.39 a barrel in the past three months. Jim Rogers, chairman of Rogers Holdings, said the situation in Russia will improve next year even if prices remain at current levels. “Russia’s stock market is much more attractive to me than any other stock market these days because it is so hated,” Rogers said in an interview at a St. Petersburg International Economic Forum. “But it has good assets, convertible currency, and the central bank has done a very good job.” Stocks on the Micex index sell in Moscow for an average 6.7 times estimated earnings. The benchmark gauge’s valuation has been the lowest in emerging markets amid a standoff with the U.S. and its allies over the Ukraine crisis as sanctions linked to the conflict push the economy toward its first recession since 2009. International Sanctions Russian retail sales plunged 9.2 percent in May from a year earlier, after a revised 9.6 percent slide in April, government data showed Thursday. A slump in fixed-capital investment worsened and stretched into a 17th month as real wages and disposable incomes continued to fall. The Bloomberg gauge of U.S.-traded Russian stocks fell 52 percent last year as tumbling oil prices worsened the impact of international sanctions. European Union governments struck a preliminary accord to extend the measures to the end of January, two officials said Wednesday. Mechel, Qiwi For Rogers, who co-founded the Quantum Fund with George Soros in the 1970s, the price of oil, not sanctions, is the most important factor in the outlook for Russian equities. Valuations already reflect crude at current price levels, he said. Mechel advanced 4.1 percent to $1.28. The company is paying overdue debt as agreed, Yuri Soloviev, first deputy chairman of VTB Group’s management board, said in St. Petersburg. Qiwi rose 4.3 percent to $29.16. The company is seen as able to continue generating growth in dollar terms, Sberbank CIB analysts said in an e-mailed note. VimpelCom advanced 6.7 percent to $5.54. The Market Vectors Russia ETF rose 0.3 percent to $18.88. Futures on the dollar-denominated RTS Index expiring in September slipped 0.2 percent 94,870 in U.S. hours. Moscow-based United Co. Rusal rose 1.2 percent to HK$4.32 at 10:40 a.m. in Hong Kong, heading for the highest close since May 27. “There is relative stability in Ukraine and the scenario that sanctions will be extended has been priced in for a long time now, so the factors that were driving the market last year are not that important now,” Andrey Shenk, an analyst at Alfa Capital, said by phone Thursday. “Russia is not a market driven by headlines anymore. The dynamics of the market are in line with its developing-nations peers.”

 

http://www.bloomberg.com/news/articles/2015-06-18/russia-adrs-rise-with-oil-as-rogers-says-hated-market-is-a-buy

 

Number of smartphones on Kyivstar’s network up by 2.3 mln over year

Tv.Net..Ua  18.06.2015

 

 
Over the past year, the number of smartphones and tablets on Kyivstar’s network increased by 2.26 mln to exceed 7.68 mln devices.

 

Количество «умных» устройств в сети «Киевстар» непрерывно растет. Уже насчитывается более 7,68 млн смартфонов и планшетов — их количество выросло на 2,26 млн в течение последнего года. Из этого количества 6,3 млн смартфонов и планшетов поддерживают стандарт связи 3G. Из общего числа владельцев смартфонов около 75% пользуются устройствами на базе операционной системы Android. Их количество увеличилось на 2,3 млн за год — с мая 2014 по май 2015 — и составляет 5,73 млн. Из них 5,52 млн — это смартфоны. На 160 тысяч увеличилось количество устройств iOS за год и составляет 654 тысячи — это 8,5% всех устройств в сети «Киевстар». Смартфонов из них — 622 тысячи. Число приверженцев устройств с операционной системой Windows продолжает медленно, но уверенно расти — за год владельцев смартфонов Windows стало больше на 69,5 тысяч. Всего в сети «Киевстар» смартфонов и планшетов с Windows сейчас насчитывается 249 тысяч. Продолжает уменьшаться количество телефонов на базе операционных систем Bada и Symbian. За последний год устройств Bada уменьшилось на 13% и составляет 147 тысяч, а гаджетов Symbian — сократилось на 22% и начисляется 894 тысячи. Для подсчета количества смартфонов в сети «Киевстар» используются принятые среди части операторов рынка мобильной связи критерии. Так, учитываются только те уникальные устройства (IMEI), которые были активны в течение трех месяцев (с них отправлялись сообщения, осуществлялись звонки, использовался GPRS). Каждый смартфон учитывается только один раз за указанный период.

 

http://www.tv.net.ua/news/mobile/1050754274-za-god-kolichestvo-smartfonov-v-seti-kievstar-uvelichilos-na-23-mln.html

 

Russian market continues to feel influence of news from Europe, MICEX index fails to gain foothold in positive territory

Finam.ru  18.06.2015

 

 
By the closing on June 18, price of VimpelCom’s ADRs in the US totaled USD5.5 per security.

 

В четверг торги на фондовом рынке РФ стартовали в «зеленой зоне», отыгрывая позитивные итоги заседания ФРС США и заявления Дж. Йеллен, но днем основные российские индексы двигались уже разнонаправленно. Индекс РТС повышался на укреплении рубля к ведущим мировым валютам. Индексу ММВБ же не удавалось закрепиться на положительной территории, по мнению аналитика АКИБ «Образование» Виталия Манжоса, из-за неоднородной динамики основных европейских фондовых индексов и контрактов на фондовые индексы США. Помимо этого на российский рынок сегодня оказывали влияние настроения на Петербургском международном экономическом форуме и ожидание результатов заседания Еврогруппы по «греческому вопросу». По итогам сегодняшних торгов рублевый индикатор ММВБ снизился на 0,272% и составил 1660.14 пункта, валютный индекс РТС закрылся в плюсе на 1,58%, закрепившись у отметки 981.82 пункта. Объемы торгов по бумагам из базы расчета индекса ММВБ повысились относительно вчерашнего дня – до 23, 118 млрд рублей. В лидерах падения по итогам дня оказались Группа «ПИК» (-3,94%), «Транснефть»-п (-2,78%), Yandex (-2,58%), «ДИКСИ» (-1,69%), «Интер РАО» (-1,6%). Рост демонстрировали ОГК-2 (+11%), «Энел Россия» (+5,12%), Polymetal (+3,45%), ТГК-1 (+3,01%), «Ростелеком» (+2,62%), «Мечел» (+2,15), «МегаФон» (+2,07%). Сегодня рынки Старого Света закрылись ростом. По-прежнему на европейские индексы оказывает влияние «греческий вопрос», в четверг правительство Греции дало понять, что не готово к радикальным реформам в стране в обмен на очередную финансовую помощь. Внимание инвесторов на мировых рынках обращено на заседание Еврогруппы в Люксембурге по госдолгу Греции. Пока что его результаты не обнародованы. Но если Греции не удастся договориться с кредиторами, страна может объявить о дефолте уже в ближайшие дни. По итогам дня индекс Лондонской фондовой биржи FTSE 100 повысился на 0,41%, индекс Франкфуртской фондовой биржи DAX в плюсе на 1,11%, индекс Парижской фондовой биржи CAC 40 вырос на 0,27%. К закрытию цены АДР на российские акции в Лондоне составили (в долларах США): ВТБ — 2,94, «Газпром» — 5,47, «ЛУКОЙЛ»– 46,37, «Норильский никель» – 17,92, «Роснефть» — 4,55, «Ростелеком» — 10,05, «Сургутнефтегаз» — 6,25, «Сбербанк» — 5,44. Тем временем, цены АДР в США (в долларах) составляют: МТС – 10,23, «ВымпелКом» — 5,5, «Мечел Сталь» — 1,28. Рынок акций США торгуется в плюсе в отсутствие сюрпризов со стороны вчерашнего заседания Федрезерва по ключевой ставке. Сегодня по региону вышел большой блок макростатистики. Так, недельное количество заявок на получение пособий по безработице оказалось ниже прогнозов и составило 267 тыс. Индекс потребительских цен за май прибавил 0,4%, что также оказалось меньше ожиданий. Между тем, индекс деловой активности ФРБ Филадельфии за июнь оказался существенно выше ожиданий и составил 15,2 пункта вместо прогнозируемых 8 пунктов. На 20:10 мск индекс Dow Jones поднимается на 1,075%, индекс S&P-500 повысился на 0,974%, Nasdaq торгуется в плюсе на 1,381%. В вечернюю сессию на срочном рынке Московской биржи фьючерс на индекс РТС растет на 0,305% и составляет 953,3 пунктов. Фьючерс на акции «Сбербанка» в плюсе на 0,213%, фьючерс на акции «Газпрома» растет на 0,228%, фьючерс на акции «ЛУКОЙЛа» подрос на 0,101%. Нефтяные котировки в течение дня демонстрировали рост. Положительную динамику на сырьевом рынке поддерживало ослабление американской валюты. Инвесторы на рынке ожидают дальнейшего роста цен на «черное золото». Отметим также, что на Петербургском международном форуме Александр Новак заявил: «Возможности рынка таковы, что при балансе спроса и предложения цена барреля нефти Brent будет около 65 долларов в ближайшие два года. Цена будет колебаться, но ее среднее значение будет именно таким». На текущий момент фьючерс на нефть марки Brent торгуется у отметки $64,22 за баррель, Light — $60,78 за баррель. Российский рубль в четверг в паре с евро продолжил ослабление, а по отношению к американскому доллару укреплялся. Поддержку национальной валюте оказывали продажи компаний-экспортеров в преддверии приближающегося пика налоговых выплат и дорожающая нефть. Эксперт банка «Зенит» Алексей Суров полагает, что в ближайшее время пара доллар-рубль сможет опуститься ниже отметки 53, а в перспективе ближайших двух лет отечественная валюта будет торговаться вблизи отметки 50. По мнению г-на Сурова, коридор 50-60 рублей за доллар устраивает и правительство, и Центробанк РФ, и бизнес. К 20:10 мск доллар США опустился на 0,729% и составляет 53,20 рубля, евро подешевел на 0,467% – до 60,54 рубля. Бивалютная корзина «стала легче» на 0,603% – до 56,50 руб. На международных валютных торгах пара евро/доллар торгуется у отметки 1.138. Завтра на отечественном рынке вновь основным генератором новостного фона будет экономический форум в Санкт-Петербурге, на котором ожидается выступление Владимира Путина. Также на настроения инвесторов окажут влияние подробности заседания Еврогруппы по греческому вопросу.

 

http://www.finam.ru/news/headline0000F01B62/

 

Russia ADRs Rise With Oil as Rogers Says ‘Hated’ Market Is a Buy

Washingtonpost.com  19.06.2015

 

 
VimpelCom advanced 6.7%, to $5.54. The Bloomberg Russia-US Equity Index jumped 1.2%. The ruble increased 0.2%.

 

OAO Mechel, the mining company seeking to avert bankruptcy, advanced as one of the company’s lenders said it is paying overdue debt. Electronic-payment processor Qiwi Plc and wireless carrier OAO VimpelCom each rose more than 4 percent. The Bloomberg Russia-US Equity Index jumped 1.2 percent. The ruble increased 0.2 percent. Stocks gained and the ruble strengthened as Brent crude rose 0.6 percent to $64.26 in a third straight gain. Oil, which along with natural gas accounts for about half of Russia’s budget revenue, has rebounded 38 percent from this year’s low in January. Brent has sold for an average $62.39 a barrel in the past three months. Jim Rogers, chairman of Rogers Holdings, said the situation in Russia will improve next year even if prices remain at current levels. “Russia’s stock market is much more attractive to me than any other stock market these days because it is so hated,” Rogers said in an interview at a St. Petersburg International Economic Forum. “But it has good assets, convertible currency, and the central bank has done a very good job.” Stocks on the Micex index sell in Moscow for an average 6.7 times estimated earnings. The benchmark gauge’s valuation has been the lowest in emerging markets amid a standoff with the U.S. and its allies over the Ukraine crisis as sanctions linked to the conflict push the economy toward its first recession since 2009. International Sanctions Russian retail sales plunged 9.2 percent in May from a year earlier, after a revised 9.6 percent slide in April, government data showed Thursday. A slump in fixed-capital investment worsened and stretched into a 17th month as real wages and disposable incomes continued to fall. The Bloomberg gauge of U.S.-traded Russian stocks fell 52 percent last year as tumbling oil prices worsened the impact of international sanctions. European Union governments struck a preliminary accord to extend the measures to the end of January, two officials said Wednesday. Mechel, Qiwi For Rogers, who co-founded the Quantum Fund with George Soros in the 1970s, the price of oil, not sanctions, is the most important factor in the outlook for Russian equities. Valuations already reflect crude at current price levels, he said. Mechel advanced 4.1 percent to $1.28. The company is paying overdue debt as agreed, Yuri Soloviev, first deputy chairman of VTB Group’s management board, said in St. Petersburg. Qiwi rose 4.3 percent to $29.16. The company is seen as able to continue generating growth in dollar terms, Sberbank CIB analysts said in an e-mailed note. VimpelCom advanced 6.7 percent to $5.54. The Market Vectors Russia ETF rose 0.3 percent to $18.88. Futures on the dollar-denominated RTS Index expiring in September slipped 0.2 percent 94,870 in U.S. hours. “There is relative stability in Ukraine and the scenario that sanctions will be extended has been priced in for a long time now, so the factors that were driving the market last year are not that important now,” Andrey Shenk, an analyst at Alfa Capital, said by phone Thursday. “Russia is not a market driven by headlines anymore. The dynamics of the market are in line with its developing nations peers.”

 

http://washpost.bloomberg.com/Story?docId=1376-NQ5GM3SYF01W01-4HK2DN8453BNSH6PNI5EBVNE45

 

Closing Bell Reports: VimpelCom Ltd. (VIP), Helix Energy Solutions Group, Inc. (HLX), ProShares Ultra QQQ (QLD), Midway Gold Corp. (MDW), Liberty TripAdvisor Holdings, Inc. (LTRPA)

Wallstreetscope.com  18.06.2015

 

 
VimpelCom Ltd. closed June 18 at $5.54 (a change of 6.74%) at a relative volume of 1.19. VimpelCom Ltd. had a change from open of 6.13% trading at a volume of 2,311,955 shares. VimpelCom Ltd.’s weekly performance is – 3.17% and against their 52 week low VimpelCom Ltd. is 79.29% with total insider ownership of 89.21%. VimpelCom Ltd.’s monthly performance stands at -18.27% in the Wireless Communications industry with an analyst recommendation of 3.20.

 

Closing Bell ReportsVimpelCom Ltd. ( VIP ) of the Technology Sector closed the day at $5.54 (a change of 6.74%) at a relative volume of 1.19. VimpelCom Ltd. (VIP) had a change from open of 6.13% trading at a volume of 2,311,955 shares. VimpelCom Ltd. (VIP)’s weekly performance is – 3.17% and against their 52 week low VimpelCom Ltd. is 79.29% with total insider ownership of 89.21%. VimpelCom Ltd. (VIP)’s monthly performance stands at -18.27% in the Wireless Communications industry with an analyst recommendation of 3.20 Helix Energy Solutions Group, Inc. ( HLX ) of the Basic Materials sector (Oil & Gas Equipment & Services) closed the day at $13.98 losing -3.19%, a change from open of- 3.39% after trading at a volume of 2,309,972 shares. Helix Energy Solutions Group, Inc. (HLX) weekly performance is -10.64% and EPS growth this year of79.60%.Helix Energy Solutions Group, Inc. (HLX)’S monthly performance ended at-14.81% and Helix Energy Solutions Group, Inc. (HLX) has a YTD performance of -33.46% in the Oil & Gas Equipment & Services industry. We give this a recommendation of 2.10 ProShares Ultra QQQ ( QLD ) finished up today at $77.77 with a volume of 2,309,509 shares, changing by 2.84% ( 2.110% change from open). The return on investment for ProShares Ultra QQQ (QLD) is currently and ProShares Ultra QQQ (QLD)’s weekly performance is – 0.68%. ProShares Ultra QQQ (QLD)’s monthly performance stands at – 1.96% with current market cap of million in the Financial sector of the Exchange Traded Fund industry. Midway Gold Corp. ( MDW ) of the Basic Materials sector closed out today at $0.09, a change of -11.84% at a volume of 2,298,952 shares. Midway Gold Corp. (MDW) currently has a weekly performance of 50.43%. Midway Gold Corp. (MDW)’s monthly performance stands at 17.33% and Midway Gold Corp. (MDW) YTD performance of -85.73% in the Gold industry. Current analyst recommendation 2.30 Liberty TripAdvisor Holdings, Inc. ( LTRPA ) of the Consumer Goods sector was up 3.23% finishing up today at $32.92, a change from open of 4.61% at a volume of 2,292,762 shares. Liberty TripAdvisor Holdings, Inc. (LTRPA) has a weekly performance of 13.33%, insider ownership of 5.60% and Liberty TripAdvisor Holdings, Inc. (LTRPA)’s monthly performance stands at 4.69% with YTD performance of 18.55% in the Recreational Goods, Other industry with an analyst recommendation of 2.00

 

http://www.wallstreetscope.com/closing-bell-reports-vimpelcom-ltd-vip-helix-energy-solutions-group-inc-hlx-proshares-ultra-qqq-qld-midway-gold-corp-mdw-liberty-tripadvisor-holdings-inc-ltrpa/25321820/