Market Maker Surveillance Report. SYMC, AVII, NVDA, BMY, WAMUQ, OMVJF, Highest Net Sell Volume and Negative Price Friction For
June 9, 2011 / M2 PRESSWIRE / BUYINS.NET / www.buyins.net, announced today its proprietary Market Maker Friction Factor Report for Thursday. Since October 2008 market makers are now required to be on the bid as much as they are on the offer and for like amounts of stock. This Fair Market Making Requirement is designed to prevent market makers from manipulating stock prices. On Thursday there were 4398 companies with "abnormal" market making, 3638 companies with positive Friction Factors and 2873 companies with negative Friction Factors. Here is a list of the top companies with the highest net sell volume on Thursday and lowest negative price Friction (bearish). This means that there was more selling than buying in the stocks and their stock prices dropped faster with less Friction. SYMANTEC CORP (NASDAQ:SYMC), AVI BIOPHARMA INC (NASDAQ:AVII), NVIDIA CORP (NASDAQ:NVDA), BRISTOL-MYERS SQUIBB CO (NYSE:BMY), WASHINGTON MUTUAL INC (OTC:WAMUQ), OMV AG (OTC:OMVJF). To access Friction Factor, Naked Short Data and SqueezeTrigger Prices on all stocks please visit http://www.buyins.net .
Market Maker Friction Factor is shown in the chart below:
Symbol Change Percent Buy Volume Buy %% Sell Volume Sell %% Net Volume Friction SYMC $-0.010 -0.03% 4,601,546 33.92% 8,958,065 66.04% -4,356,519 -4,356,519 AVII $-0.140 -8.97% 1,349,313 31.22% 2,972,421 68.78% -1,623,108 -115,936 NVDA $-0.220 -1.25% 8,323,090 45.30% 9,656,216 52.55% -1,333,126 -60,597 BMY $-0.060 -0.21% 3,000,626 26.38% 4,440,302 39.03% -1,439,676 -239,946 WAMUQ $-0.018 -14.63% 7,726,141 43.84% 9,905,511 56.21% -2,179,370 -1,210,761 OMVJF $-0.840 -1.96% 3,880,000 23.69% 12,500,000 76.31% -8,620,000 -102,619Analysis of the Friction Factor chart above shows that each of the six stocks mentioned above have low price friction combined with more selling than buying (negative Net Volume) in their stocks. The Friction Factor displays how many more shares of buying than selling are required to move a stock higher by one cent or how many more shares of selling than buying moves a stock lower by 1 cent.
For example, the chart above shows SYMC down $-0.01000 with a Friction Factor of -4,356,519 and a Net Volume of -4,356,519. That means that it takes 4,356,519 more shares of selling than buying to drop SYMC by one penny. On Monday the Market Makers allowed the stock to move down on heavier selling than buying (low negative friction).
SYMANTEC CORP (NASDAQ:SYMC) - Symantec Corporation provides security, storage, and systems management solutions to secure and manage information. It operates in four segments: Consumer, Security and Compliance, Storage and Server Management, and Services. The Consumer segment provides Internet security and protection solutions, suites, and services to individual users and home offices. The Security and Compliance segment provides solutions for enterprise security, system management, and software-as-a-service. The Storage and Server Management segment focuses on providing storage management, high availability, and backup and recovery solutions in heterogeneous storage and server platforms to enterprise customers. The Services segment offers consulting services, which include advisory, product enablement, and residency services to enable customers to assess, design, transform, and operate their infrastructure; education services, including programs on technical training and security awareness training; and business critical services. It also provides managed security services, managed endpoint protection services, and managed backup services. In addition, the company offers maintenance support contracts, including content, upgrades, and technical support to enterprises; and self-help online services, phone, chat, email support, and fee-based premium support and diagnostic services to consumers. Symantec Corporation markets and sells its products through distributors, retailers, direct marketers, Internet-based resellers, original equipment manufacturers, system builders, and Internet service providers; and its e-commerce channels, as well as direct sales force, value-added and large account resellers, and system integrators. It has operations in the Americas, which include the United States, Canada, and Latin America; Europe, the Middle East, and Africa; and the Asia Pacific Japan. Symantec Corporation was founded in 1982 and is headquartered in Mountain View, California.
AVI BIOPHARMA INC (NASDAQ:AVII) - AVI BioPharma, Inc., a biopharmaceutical company, engages in the discovery and development of therapeutic products based on antisense and cancer immunotherapy technology. The companys products under development comprise AVI-4658, which has completed Phase I human clinical trials to restore, prevent, or slow deterioration of muscle function; and AVI-5038, a preclinical stage product that is designed to skip exon 50, and overcome the mutational block and restore dystrophin expression. Its other development programs include AVI-6002 Ebola virus program, AVI-6003 Marburg virus program, and AVI-7367 H1N1 virus program. It has strategic alliances with Chiron Corporation; Cook Group Incorporated; Ercole Biotech, Inc.; Eleos Inc.; Charleys Fund, Inc.; and the United States Department of Defense. The company was founded in 1980 and is headquartered in Bothell, Washington.
NVIDIA CORP (NASDAQ:NVDA) - Nvidia Corporation provides visual computing technologies that generate interactive graphics on workstations, personal computers, game consoles, and mobile devices. It operates in four segments: Graphic Processing Unit (GPU), Professional Solutions Business (PSB), Media and Communications Processor (MCP), and Consumer Products Business (CPB). The GPU segment offers GeForce products that support desktop and notebook personal computers, PCs, and plus memory products. The PSB segment provides NVIDIA Quadro professional workstation products and other professional graphics products, including NVIDIA Tesla high-performance computing products used in the manufacturing, entertainment, medical, science, and aerospace industries. This segment also offers RealityServer, which streams interactive and photorealistic 3D applications to Web- connected PCs, laptops, netbooks, or smart phones; Quadro Plex SVS, a visual computing platform for professionals who interact with 3D models and analyze data; and the OptiX ray tracing engine, an application acceleration engine for software developers. The MCP segment provides ION NVIDIA motherboard GPU that addresses the integrated core logic market. The CPB segment offers Tegra mobile products that support tablets and smartbooks, smartphones, personal media players, Internet television, automotive navigation, and other devices. This segment also licenses video game consoles and other digital consumer electronics devices. The company sells its products to original equipment manufacturers, original design manufacturers, add-in-card manufacturers, and system builders operating in the entertainment and consumer, consumer electronics, professional design and visualization, computing, and mobile computing markets. NVIDIA Corporation has a strategic partnership with Glu Mobile, Inc. to deliver gaming experiences to Android-powered tablets and mobile devices. The company was founded in 1993 and is headquartered in Santa Clara, California.
BRISTOL-MYERS SQUIBB CO (NYSE:BMY) - Bristol-Myers Squibb Company, a global biopharmaceutical company, discovers, develops, and delivers innovative medicines that help patients prevail over serious diseases. The company focuses on areas of serious unmet medical needs, such as cardiovascular disease, mental illness, cancer, HIV/AIDS, hepatitis B and C, rheumatoid arthritis, type 2 diabetes, solid organ transplantation, and Alzheimer's disease. Its principal products include PLAVIX for protection against fatal or non-fatal heart attack or stroke; AVAPRO/AVALIDE for the treatment of hypertension and diabetic nephropathy; ABILIFY, an agent for adult patients with schizophrenia, bipolar mania disorder, and depressive disorder; and REYATAZ for the treatment of HIV. The companys principal products also comprise SUSTIVA for the treatment of HIV; BARACLUDE, an inhibitor of hepatitis B virus; ERBITUX to target and block the epidermal growth factor receptor; SPRYCEL for treatment of chronic myeloid leukemia in adults; IXEMPRA to treat breast cancer; ORENCIA to severe rheumatoid arthritis in adults; and ONGLYZA for the treatment of type 2 diabetes. Its products under Phase III clinical trials include ELIQUIS to prevent and treat venous thromboembolic disorders and stroke prevention in atrial fibrillation; NULOJIX to prevent solid organ transplant rejection; Brivanib to block the VEGF and the FGF receptors; Dapagliflozin to treat diabetes; YERVOY to treat metastatic melanoma; and Necitumumab for anticancer treatment. The company sells its products to wholesalers, distributors, retailers, hospitals, clinics, government agencies, and pharmacies. It has strategic alliances with sanofi-aventis; Pfizer, Inc.; AstraZeneca PLC; Otsuka Pharmaceutical Co., Ltd.; Eli Lilly and Company; and Gilead Sciences, Inc. The company was formerly known as Bristol-Myers Company and changed its name to Bristol-Myers Squibb Company in 1989. Bristol-Myers Squibb Company was founded in 1887 and is headquartered in New York, New York.
WASHINGTON MUTUAL INC (OTC:WAMUQ) - Washington Mutual, Inc., together with its subsidiaries, operates as a consumer and small business banking company in the United States. It operates in four segments: Retail Banking Group, Card Services Group, Commercial Group, and Home Loans Group. The Retail Banking Group segment offers deposit and other retail banking products and services, which include checking and interest-bearing checking, personal checking, savings, money market deposit, and time deposit accounts to consumers and small businesses; loan products comprising home loans, home equity loans, home equity lines of credit, and mortgage loans; and investment advisory and brokerage services. The Card Services Group segments operations consist of issuing credit cards, holding outstanding balances on credit cards in portfolio or securitizing and selling them, servicing credit card accounts, and providing other cardholder services. The Commercial Group segment provides finance to developers and investors for multi family dwellings and other commercial properties, services multi family and other commercial real estate loans, and provides limited deposit services to commercial customers. The Home Loans Group segment originates, fulfills, and services home loans, and home equity loans and lines of credit; manages capital market operations; and holds the companys held for investment portfolios of home loans, home equity loans, and home equity lines of credit made to higher risk borrowers through the subprime mortgage channel. As of December 31, 2007, the company operated 2,257 retail banking stores and 233 lending stores and centers in 36 states. Washington Mutual, Inc. was founded in 1889 and is headquartered in Seattle, Washington. On September 26, 2008, Washington Mutual Inc. filed a voluntary petition for reorganization under Chapter 11 in the US Bankruptcy Court for the District of Delaware.
OMV AG (OTC:OMVJF) - OMV Aktiengesellschaft, an integrated energy supplier, engages in the exploration and development of oil and gas resources, and supplies energy in central and southeastern Europe. It operates in three segments: Exploration and Production (E&P); Refining and Marketing, including petrochemicals (R&M); and Gas and Power (G&P). The companys E&P segment engages in the exploration, development, and production of oil and gas primarily in central and southeastern Europe, North Africa, north-west Europe, the Middle East, Australia and New Zealand, and the Russian Federation and the Caspian Region. As of December 31, 2009, it had proved hydrocarbon reserves of approximately 1,118 million barrels of oil equivalent and proved oil and gas reserves of approximately 1,870 million barrels of oil equivalent. The companys R&M segment operates refineries that process oil and gas into petroleum products in Schwechat, Austria; Burghausen, southern Germany; and Arpechim and Petrobrazi, Romania. This segment also operates a network of approximately 2,433 filling stations in 13 central and southeast European countries. Its G&P segment engages in the gas transit through the transport within Austria, as well as in the gas storage, marketing, and trading. It operates 2,000 kilometer pipeline network and gas storage facilities with a capacity of approximately 2.3 billion cubic meters, as well as gas fired power plants. The company also produces polyolefins and melamine. OMV Aktiengesellschaft was founded in 1956 and is based in Vienna, Austria.
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Seasonality -- predicts probability, price move and length of move based on exact time of year for all US stocks.
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