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Short Volatility Alert: FibroGen, Inc.

Short Volatility Alert: FibroGen, Inc.

做空波动率警报:FibroGen,Inc.
Benzinga Real-time News ·  2022/08/31 23:36

On Tuesday, shares of FibroGen, Inc. (NASDAQ:FGEN) experienced volatile short activity. After the activity, the stock price went down -4.38% to $12.87.

周二,FibroGen,Inc.(纳斯达克代码:FDEN)的股票经历了震荡的做空活动。活动结束后,该公司股价下跌4.38%,至12.87美元。

The overall sentiment for FGEN has been Bearish.

对fgen的整体情绪一直是悲观的。

The signal from the volatility alert is trending Bearish. Therefore, the recommendation is to Increase Short Exposure.

波动率警报发出的信号是趋势看跌。因此,建议是增加空头曝险。

The volatility alert was produced on the prior trading date, 8/30/2022 with a volatility change of +53.16%. The current volatility indicator stands at 8.238.

波动率警报是在前一个交易日(2022年8月30日)发出的,波动率变化率为+53.16%。目前的波动率指标为8.238。

Overview: The securities lending volatility indicator is produced by Tidal Markets, in partnership with Benzinga Insights. Securities lending primarily serves the purpose of providing liquidity to short sellers. When unusual activity occurs in the securities lending markets, it acts as an upstream indicator to what is likely to occur downstream in the regular stock market.

概述:证券借贷波动性指标由浪潮市场与Benzinga Insights合作编制。证券借贷的主要目的是向卖空者提供流动性。当证券借贷市场发生不寻常的活动时,它作为上游指标,预示着正常股票市场下游可能发生的情况。

Understanding the Volatility Alert: Overall sentiment is considered "bear" when broad market activity of the stock has been shown to indicate a negative directional basis, or is considered "bull" when indicating a positive directional basis. The securities lending volatility indicator provides a signal when it detects unusual short activity. Unusual short activity is based off a computer generated algorithmic formula utilizing securities lending trade details such as the volume of shares being shorted, the rate being paid to short the shares, and the type of collateral being posted - amongst other variables. The current volatility is the respective trading day's calculated securities lending volatility value. The volatility percentage change is the percentage difference in volatility between the two most recent days. The recommendation is a suggestive strategy, inferred from the strength of the Signal Trending, Current Volatility, and Volatility % Change. Recommendations may include, "Strong Buy", "Strong Sell", "Increase Short Exposure", "Decrease Short Exposure", or "Market Neutral".

理解波动率警报:当股票的广泛市场活动被证明是负面的方向基础时,整体情绪被认为是“看跌”,或者当表明积极的方向基础时被认为是“看涨”。证券借贷波动率指标在检测到异常做空活动时会提供信号。不寻常的做空活动基于一个计算机生成的算法公式,该公式利用了证券借贷交易细节,如正在卖空的股票数量、卖空股票的利率和正在张贴的抵押品类型-以及其他变量。当前波动率是各自交易日计算的证券出借波动率值。波动率百分比变化是最近两天波动率的百分比差异。该建议是一种提示性策略,从信号趋势、当前波动率和波动率变化的强度推断。建议可能包括,“强力买入”、“强力卖出”、“增加空头敞口”、“减少空头敞口”或“市场中性”。

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