PreMarket Prep Stock Of The Day: Procter & Gamble
PreMarket Prep Stock Of The Day: Procter & Gamble
Benzinga's PreMarket Prep airs every morning from 8-9 a.m. ET. During that fast-paced, highly informative hour, traders and investors tune in to get the major news of the day, the catalysts behind those moves and the corresponding price action for the upcoming session.
Benzinga‘s餐廳售前準備每天早上8點到9點播出。Et.在這個快節奏、信息量大的時間裏,交易員和投資者都會收看當天的主要新聞,瞭解這些走勢背後的催化劑,以及即將到來的交易日相應的價格走勢。
On any given day, the show will cover at least 20 stocks determined by co-hosts Joel Elconin and Dennis Dick along with producer Spencer Israel.
在任何一天,該節目都將涵蓋由聯合主持人喬爾·埃爾科寧和丹尼斯·迪克以及製片人斯賓塞·伊斯雷爾確定的至少20只股票。
The price action in Proctor & Gamble (NYSE:PG) following its second-quarter report makes it the PreMarket Prep Stock of the Day.
Procter & Gamble Price Action Ahead Of Earnings: Proctor & Gamble decoupled itself from the broad market when it made its all-time high on Nov. 9 at $146.62. It posted its all-time closing high a few days later at$144.28.
寶潔(Procter&Gamble)盈利前的價格行動:寶潔(Proctor&Gamble)在11月9日創下146.62美元的歷史新高,與大盤脱鈎。幾天後,該股創下歷史收盤新高,達到144.28美元。
While the S&P 500 index has continued to make new highs, the issue has been under selling pressure.
儘管標準普爾500指數繼續刷新新高,但這期債券一直面臨拋售壓力。
Shorter-term investors were leaning the right way into the company’s second-quarter report. It had traded lower in seven of eight trading sessions since it peaked Jan. 6 at $141.04 and ended that session at $140.16. The one outlier was a small 21-cent gain Jan. 13.
短期投資者在該公司第二季度報告中的傾向是正確的。自1月6日達到141.04美元的峯值以來,該股在八個交易日中有七個交易日走低,當日收盤報140.16美元。唯一的異常值是1月13日小幅上漲了21美分。
Over that course of time, Procter & Gamble declined from $140.16 to $133.60 on Tuesday.
在此期間,寶潔股價週二從140.16美元跌至133.60美元。
P&G's Q2 Beat, Premarket Price Action: Before the open Wednesday, the company announced second-quarter core EPS of $1.64 vs. a $1.51 estimate along with a sales beat, $19.70 billion vs. a $19.27-billion estimate.
寶潔第二季度節拍,售前價格行動:週三開盤前,該公司宣佈第二季度核心每股收益為1.64美元,高於預期的1.51美元,銷售額為197億美元,高於預期的192.7億美元。
Procter & Gamble raised its FY21 core EPS growth guidance from 5%-8% To 8%-10%.
寶潔(Procter&Gamble)將其21財年核心每股收益增長指引從5%-8%上調至8%-10%。
As expected, the algorithms read all the good in the report and the issue embarked on a solid rally.
正如預期的那樣,算法讀取了報告中的所有好信息,問題開始強勁反彈。
By 8:15 a.m. the issue was nearly $4 higher when it peaked at $137.59 and reversed course. That high coincided with its Jan. 14 high of $137.65.
到上午8點15分當發行價達到137.59美元的峯值時,發行價上漲了近4美元,並逆轉了方向。這一高點與1月14日創下的137.65美元的高點不謀而合。
Dennis Dick's Procter & Gamble Trade: In this market environment, when so many other issues are making enormous percentage gains on a daily basis, why be invested in a stodgy stock with a small dividend when fortunes can be made in so many other issues?
丹尼斯·迪克(Dennis Dick)的寶潔交易(Procter&Gamble Trade):在這樣的市場環境下,當如此多的其他股票每天都在獲得巨大的百分比收益時,為什麼要投資於一只股息很低的乏味股票,而這麼多其他股票可以賺得盆滿缽滿呢?
PreMarket Prep co-host Dennis Dick, who shorted and covered the issue in the premarket session Wednesday, elaborated on this concept during the show.
開盤前聯合主持人丹尼斯·迪克(Dennis Dick)在週三的開盤前會議上做空並報道了這一問題,他在節目中詳細闡述了這一概念。
The full discussion on the issue from Wednesday’s show can be found here.
週三節目對這一問題的全面討論可以在這裏找到。
Procter & Gamble's Price Action Wednesday: Procter & Gamble's share price continued to deteriorate during the remainder of the premarket session.
寶潔(Procter&Gamble)週三的價格行動:在盤前交易的剩餘時間裏,寶潔的股價繼續惡化。
In fact, it opened over $1 lower at $132.53. It continued lower and bottomed at $131.26 before mounting a rally.
事實上,該股開盤下跌逾1美元,至132.53美元。金價繼續走低,在反彈之前跌至131.26美元的底部。
That marked the lowest level for this issue since Aug. 4, when it bottomed at $130.70, with the previous day’s low just under that level at $130.47.
這標誌着本期債券自8月4日以來的最低水平,當時跌至130.70美元的底部,前一天的低點略低於該水平,為130.47美元。
As of 11:45 a.m. ET, it found resistance just above Tuesday’s closing price ($133.60) at $133.870 and resumed its move lower.
截至上午11:45美國東部時間,該公司發現阻力位略高於週二收盤價(133.60美元),報133.870美元,繼續走低。
The stock was down 1.45% at $131.70 at last check.
在最新的檢查中,該股下跌1.45%,至131.70美元。
譯文內容由第三人軟體翻譯。