Market Maker Surveillance Report. XLF, GM, XLP, DOW, MDLZ, SYF, Bullishly Biased Price Friction For Wednesday, September 21st
September 21, 2016 / M2 PRESSWIRE / BUYINS.NET / www.buyins.net, announced today its proprietary Market Maker Friction Factor Report for Wednesday. 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 Wednesday there were 5521 companies with "abnormal" market making, 4455 companies with positive Friction Factors and 1614 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. Financial Select Sector SPDR (NYSE:XLF), General Motors Company (NYSE:GM), Consumer Staples Select Sector SPDR (NYSE:XLP), Dow Chemical Co. (NYSE:DOW), Mondelez International Inc. (NASDAQ:MDLZ), Synchrony Financial (NYSE:SYF). 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 XLF $0.120 0.01% 18,090,806 28.38% 24,814,317 38.93% -6,723,511 Abnormal GM $0.460 0.02% 3,429,474 23.79% 5,876,098 40.77% -2,446,624 Abnormal XLP $0.290 0.01% 4,781,348 19.15% 7,606,315 30.46% -2,824,967 Abnormal DOW $0.090 0.00% 1,270,845 18.65% 3,922,368 57.55% -2,651,523 Abnormal MDLZ $0.010 0.00% 2,464,869 23.53% 7,389,107 70.55% -4,924,238 Abnormal SYF $0.260 0.01% 1,417,511 20.42% 3,631,771 52.31% -2,214,260 AbnormalAnalysis of the Friction Factor chart above shows that each of the six stocks mentioned above had more selling than buying on Wednesday 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 XLF with 6,723,511 greater shares of selling than buying (NetVol) and the stock price was up $0.12000. 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.
Financial Select Sector SPDR (NYSE:XLF) - FINANCIAL SEL SPD.
General Motors Company (NYSE:GM) - General Motors Company designs, builds, and sells cars, crossovers, trucks, and automobile parts worldwide. The company operates through GM North America, GM Europe, GM International Operations, GM South America, and GM Financial segments. It markets its vehicles primarily under the Buick, Cadillac, Chevrolet, GMC, Opel, Holden, Vauxhall, Baojun, Jiefang, and Wuling brand names. The company also sells cars and trucks to dealers for consumer retail sales, as well as to fleet customers, including daily rental car companies, commercial fleet customers, leasing companies, and governments. In addition, it offers connected safety, security and mobility solutions, and information technology services. The company, through its subsidiary, General Motors Financial Company, Inc., provides automotive financing services. General Motors Company was founded in 1897 and is based in Detroit, Michigan..
Consumer Staples Select Sector SPDR (NYSE:XLP) - CONSUMER STAP SPD.
Dow Chemical Co. (NYSE:DOW) - The Dow Chemical Company manufactures and supplies products that are used primarily as raw materials in the manufacture of customer products and services worldwide. It operates through Agricultural Sciences, Consumer Solutions, Infrastructure Solutions, Performance Materials & Chemicals, and Performance Plastics segments. The Agricultural Sciences segment provides crop protection and seed/plant biotechnology products and technologies, urban pest management solutions, and healthy oils. The Consumer Solutions segment offers semiconductors and organic light-emitting diodes, and adhesives and foams used by the transportation industry; and cellulosics and other polymers for innovative pharmaceutical formulations and food solutions. It serves automotive, electronics and entertainment, food and pharmaceuticals, and personal and home care products markets. The Infrastructure Solutions segment provides architectural and industrial coatings, construction material ingredients, building insulation, adhesives, and microbial protection products for the oil and gas industry; water technologies; monomers; and silicone and silicone products. The Performance Materials & Chemicals segment offers chlorine and caustic soda; industrial solutions; and propylene oxides, propylene glycols, polyether polyols, and aromatic isocyanates. The Performance Plastics segment provides elastomers, polyolefin plastomers, and ethylene propylene diene monomer elastomers; wire and cable insulation, semiconductive, and jacketing compound solutions, as well as bio-based plasticizers; acrylics, polyethylene, polyolefin emulsions, and polyolefin plastomers; and ethylene, propylene, benzene, butadiene, cumene, octene, aromatics co-products, and crude c4. The company was founded in 1897 and is headquartered in Midland, Michigan..
Mondelez International Inc. (NASDAQ:MDLZ) - .
Synchrony Financial (NYSE:SYF) - .
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