Market Maker Surveillance Report. FEEC, PFE, AVP, MS, XOM, CLWR, Bullishly Biased Price Friction For Tuesday, April 23rd 2013
April 23, 2013 / M2 PRESSWIRE / BUYINS.NET / www.buyins.net, announced today its proprietary Market Maker Friction Factor Report for Tuesday. 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 Tuesday there were 3799 companies with "abnormal" market making, 3653 companies with positive Friction Factors and 1751 companies with negative Friction Factors. Here is a list of the top companies with Abnormal Price Friction (bullish bias) in their stock prices. This means that there was more selling than buying in the stocks and their stock prices rose. Far East Energy Corp (OTC:FEEC), Pfizer Inc (NYSE:PFE), Avon Products Inc (NYSE:AVP), Morgan Stanley (NYSE:MS), EXXON MOBIL CORPORATION (NYSE:XOM), Clearwire Corp (NASDAQ:CLWR). 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 FEEC $0.011 25.93% 1,322,119 28.35% 3,291,183 70.58% -1,969,064 Abnormal PFE $0.090 0.30% 7,922,682 24.03% 9,867,963 29.93% -1,945,281 Abnormal AVP $0.280 1.27% 1,547,977 23.53% 2,843,657 43.23% -1,295,680 Abnormal MS $0.820 3.96% 5,684,180 24.30% 6,792,015 29.03% -1,107,835 Abnormal XOM $0.830 0.94% 2,950,838 19.01% 4,168,119 26.86% -1,217,281 Abnormal CLWR $0.030 0.92% 3,115,686 42.34% 4,241,294 57.63% -1,125,608 AbnormalAnalysis of the Friction Factor chart above shows that each of the six stocks mentioned above had more selling than buying on Tuesday and their stock prices rose. 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 FEEC with 1,969,064 greater shares of selling than buying (NetVol) and the stock price was up $0.01050. This means the Market Makers were trading the stock in a way inconsistent with normal supply and demand (Economics 101); more selling than buying should cause prices to drop.
Far East Energy Corp (OTC:FEEC) - Far East Energy Corporation, an independent energy company, through its subsidiaries, engages in the acquisition, exploration, development, and production of coalbed methane gas properties in the People's Republic of China. It holds 3 production sharing contracts, which cover the 485,000 acre Shouyang Block in Shanxi Province; the 573,000 acre Qinnan Block in Shanxi Province; and the Enhong and Laochang areas comprising 265,000 acres in Yunnan Province. The company was founded in 2000 and is headquartered in Houston, Texas..
Pfizer Inc (NYSE:PFE) - Pfizer Inc., a biopharmaceutical company, engages in the discovery, development, manufacture, and sale of medicines for people and animals worldwide. It primarily offers Celebrex, Chantix/Champix, Lipitor, Lyrica, Premarin, Pristiq, and Viagra pharmaceutical products in the therapeutic and disease areas of Alzheimer s disease, cardiovascular, erectile dysfunction, genitourinary, depressive disorder, pain, respiratory, and smoking cessation. The company also provides BeneFIX, Enbrel, Genotropin, Geodon, Prevnar/Prevenar, Rebif, ReFacto AF, Revatio, Xalatan, Xyntha, and Zyvox pharmaceutical products in the therapeutic and disease areas of anti-infectives, endocrine disorders, hemophilia, inflammation, multiple sclerosis, ophthalmology, pulmonary arterial hypertension, specialty neuroscience, and vaccines. In addition, it offers Aromasin, Sutent, Torisel, and Xalkori pharmaceutical products for addressing oncology and oncology-related illnesses; and other prescription pharmaceutical products, such as Arthrotec, Effexor, Medrol, Norvasc, Protonix, Relpax, and Zosyn/Tazocin. Further, the company provides vaccines, parasiticides, and anti-infectives to prevent and treat disease in livestock and companion animals; and non-prescription products, including Advil, Caltrate, Centrum, ChapStick, Preparation H, and Robitussin in the areas of dietary supplements, pain management, respiratory, and personal care. Additionally, it offers various infant and toddler nutritional products, such as S-26 and SMA product lines, as well as formula for infants with special nutritional needs. The company sells its products to wholesalers, distributors, retailers, hospitals, clinics, government agencies, pharmacies, individual provider offices, veterinarians, livestock producers, and grocery and convenience stores. Pfizer Inc. was founded in 1849 and is headquartered in New York, New York..
Avon Products Inc (NYSE:AVP) - Avon Products, Inc. manufactures and markets beauty and related products. It offers beauty products, such as color cosmetics, fragrances, skin care, and personal care products; fashion products comprising fashion jewelry, watches, apparel, footwear, accessories, and children s products; and home products consisting of gift and decorative products, house wares, entertainment and leisure products, and nutritional products. The company markets its products through direct selling and independent representatives. It has operations in North America, Latin America, Europe, the Middle East and Africa, and Asia Pacific. Avon Products, Inc. was founded in 1886 and is headquartered in New York, New York..
Morgan Stanley (NYSE:MS) - Morgan Stanley, a financial holding company, provides various financial products and services to corporations, governments, financial institutions, and individuals worldwide. The company s Institutional Securities segment offers financial advisory services on mergers and acquisitions, divestitures, joint ventures, corporate restructurings, recapitalizations, spin-offs, exchange offers, leveraged buyouts, takeover defenses, and shareholder relations, as well as provides capital raising and corporate lending services. This segment also engages in sales, trading, financing, and market-making activities, including equity trading, fixed income and commodities, research, and investment activities, as well as provides financing services, such as prime brokerage, consolidated clearance, settlement, custody, financing, and portfolio reporting services. Its Global Wealth Management Group segment offers brokerage and investment advisory services covering various types of investments comprising equities, options, futures, foreign currencies, precious metals, fixed income securities, mutual funds, structured products, alternative investments, unit investment trusts, managed futures, separately managed accounts, and mutual fund asset allocation programs. This segment also provides education savings programs, financial and wealth planning services, annuity and other insurance products, cash management services, trust and fiduciary services, retirement solutions, and credit and other lending products, as well as engages in fixed income principal trading. The company s Asset Management segment provides alternative investment products, such as hedge funds, private equity and real estate funds, and portable alpha strategies to institutional and intermediary channels, and high net worth clients, as well as is involved in real estate investing and merchant banking businesses. Morgan Stanley was founded in 1935 and is headquartered in New York, New York..
EXXON MOBIL CORPORATION (NYSE:XOM) - Exxon Mobil Corporation engages in the exploration and production of crude oil and natural gas, and manufacture of petroleum products. The company also transports and sells crude oil, natural gas, and petroleum products. It has approximately 37,228 gross and 31,264 net operated wells. The company manufactures and markets commodity petrochemicals, including olefins, aromatics, polyethylene, polypropylene plastics, and specialty products. It also has interests in electric power generation facilities. The company has a strategic cooperation agreement with Rosneft to jointly participate in exploration and development activities in Russia, the United States, and other parts of the world. It operates in the United States, Canada/South America, Europe, Africa, Asia, and Australia/Oceania. Exxon Mobil Corporation was founded in 1870 and is based in Irving, Texas..
Clearwire Corp (NASDAQ:CLWR) - Clearwire Corporation, through its subsidiaries, provides fourth generation (4G) wireless broadband services in the United States. The company builds and operates mobile broadband networks that offer high-speed mobile Internet and residential Internet access services, as well as supports fixed voice over Internet protocol services. It provides retail services under the CLEAR brand in 4G markets; and under the Clearwire brand in legacy markets. The company markets its products and services directly to consumers, as well as through cellular retailers, consumer electronics stores, satellite television dealers, and computer sales and repair stores. It offers its services primarily in the metropolitan areas of Atlanta, Baltimore, Boston, Chicago, Cincinnati, Cleveland, Columbus, Dallas, Honolulu, Houston, Kansas City, Las Vegas, Los Angeles, Miami, New York, Philadelphia, Pittsburgh, Orlando, Salt Lake City, San Antonio, San Francisco, Seattle, St. Louis, and Washington D.C. The company is headquartered in Bellevue, Washington. As of October 2012, Clearwire Corporation operates as a subsidiary of Sprint Nextel Corp..
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