Nothing I have said so far could be construed as taking the position that
security price movements are completely disconnected from the «financial status» of the underlying business.
Because we can't know, most of the time, what is guiding the behavior of
securities prices this movement takes a «random walk» from the observation point of a 3rd party.
Not exact matches
Brainard conceded that, «there may be some deterioration in the resilience of liquidity at times of stress, along with a greater incidence of outsized intraday
price movements,» adding that, «Relatedly, liquidity appears to be more segmented based on the characteristics of the
securities being traded and the underlying structure of the markets in which they are traded.»
Illegal manipulative technique of offsetting the buy and sell orders to create the impression of activity in a
security, thereby causing upward
price movement.
Such risks and uncertainties include, but are not limited to: our ability to achieve our financial, strategic and operational plans or initiatives; our ability to predict and manage medical costs and
price effectively and develop and maintain good relationships with physicians, hospitals and other health care providers; the impact of modifications to our operations and processes; our ability to identify potential strategic acquisitions or transactions and realize the expected benefits of such transactions, including with respect to the Merger; the substantial level of government regulation over our business and the potential effects of new laws or regulations or changes in existing laws or regulations; the outcome of litigation, regulatory audits, investigations, actions and / or guaranty fund assessments; uncertainties surrounding participation in government - sponsored programs such as Medicare; the effectiveness and
security of our information technology and other business systems; unfavorable industry, economic or political conditions, including foreign currency
movements; acts of war, terrorism, natural disasters or pandemics; our ability to obtain shareholder or regulatory approvals required for the Merger or the requirement to accept conditions that could reduce the anticipated benefits of the Merger as a condition to obtaining regulatory approvals; a longer time than anticipated to consummate the proposed Merger; problems regarding the successful integration of the businesses of Express Scripts and Cigna; unexpected costs regarding the proposed Merger; diversion of management's attention from ongoing business operations and opportunities during the pendency of the Merger; potential litigation associated with the proposed Merger; the ability to retain key personnel; the availability of financing, including relating to the proposed Merger; effects on the businesses as a result of uncertainty surrounding the proposed Merger; as well as more specific risks and uncertainties discussed in our most recent report on Form 10 - K and subsequent reports on Forms 10 - Q and 8 - K available on the Investor Relations section of www.cigna.com as well as on Express Scripts» most recent report on Form 10 - K and subsequent reports on Forms 10 - Q and 8 - K available on the Investor Relations section of www.express-scripts.com.
Such
securities have historically been subject to significant
price movements that may occur suddenly due to market or company - specific factors.
In general, they may seek to take advantage of market inefficiencies such as
pricing differences and relative discrepancies between
securities such as stocks and bonds, technical market
movements, deep fundamental valuation analysis, and other quantifiable trends and / or inconsistencies.
Finally,
securities or asset classes that are strongly correlated with other held investments can acceptably have broad ranges since their
price movements parallel other assets within the portfolio.
Day trading takes many different forms given the many different ways to profit from the
movement of
security prices, but in the end, all day traders capitalize on market inefficiencies or historical tendencies.
The relative strength index (RSI) is a momentum indicator developed by noted technical analyst Welles Wilder, that compares the magnitude of recent gains and losses over a specified time period to measure speed and change of
price movements of a
security.
Historically, the most reliable way to measure risk attitudes is by the uniformity or divergence of
price movements across a wide range of
securities.
Success in markets today, and going forward, will be more about identifying mis -
priced securities than riding general market
movements up or down.
The Institute for Energy
Security (IES), has been monitoring the downstream petroleum landscape in Ghana and the sub region and have realized especially in Ghana that
Price Deregulation introduced last year has had a major impact in terms of daily petroleum price movement at the
Price Deregulation introduced last year has had a major impact in terms of daily petroleum
price movement at the
price movement at the pump.
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The most critical factor in intraday trading is the short - term trade and the immediate effects that are brought about by the market on the
price movement of
securities.
An expert trader understands the mechanics of how a market operates, what drives
price movements within a market, and what risks will be encountered by trading
securities, commodities or contracts within the market.
The reason for this is that, long - term, the
movement of
securities prices is biased upward.
Derivative A financial instrument, traded on or off an exchange, the
price of which is directly dependent upon (i.e., «derived from») the value of one or more underlying securities, equity indices, debt instruments, commodities, other derivative instruments, or any agreed upon pricing index or arrangement (e.g., the movement over time of the Consumer Price Index or freight ra
price of which is directly dependent upon (i.e., «derived from») the value of one or more underlying
securities, equity indices, debt instruments, commodities, other derivative instruments, or any agreed upon
pricing index or arrangement (e.g., the
movement over time of the Consumer
Price Index or freight ra
Price Index or freight rates).
The user can select from a series of drop down menus to isolate bullish or bearish
movements in the
price of an underlying
security or could select a strategy that would perhaps benefit under a period of either rising or falling market or
security specific volatility.
Risks associated with derivatives (including «short» derivatives) include losses caused by unexpected market
movements (which are potentially unlimited), imperfect correlation between the
price of the derivative and the
price of the underlying asset, increased investment exposure (which may be considered leverage), the potential inability to terminate or sell derivatives positions, the potential need to sell
securities at disadvantageous times to meet margin or segregation requirements, the potential inability to recover margin or other amounts deposited from a counterparty, and the potential failure of the other party to the instrument to meet its obligations.
In this context, the article explained, there has been a historically high correlation between the
price movements of individual
securities as the relative differences in companies» operating results have been somewhat ignored.
For example, an adverse event, such as an unfavorable earnings report, may depress the value of equity
securities of an issuer held by the Fund; the
price of common stock of an issuer may be particularly sensitive to general
movements in the stock market; or a drop in the stock market may depress the
price of most or all of the common stocks and other equity
securities held by the Fund.
My initial investment in a
security typically will not exceed 5 % of the total portfolio's value, though the allocation may rise above that threshold due to
price movements over time.
A type of hedge fund that places a bet on the anticipated
movements in the market
prices of equities, fixed - income
securities, foreign currencies and commodities.
Shows the general
movement or direction of
securities prices.
Decisions on when to buy or sell
securities based on economic factors, such as the strength of the economy and the direction of interest rates, or based on stock
price movements and the volume of trading through the use of technical analysis.
It is a medium to long - term debt
security with a fixed interest rate but a face value that is adjusted for
movements in the Consumer
Price Index (CPI).
Mean reversion in the markets looks a lot more like the gambler's fallacy made real —
movements in
security prices, individually and in aggregate, tend to be followed by subsequent
price movements in the opposite direction.
The variance - covariance method for the value at risk calculates the standard deviation of
price movements of an investment or
security.
The
movements of
securities prices on a momentary basis are always guided by specific human action and attempts at forecasting and calculating an uncertain future.
The United States Oil Fund ® LP (USO) is an exchange - traded
security designed to track the daily
price movements of West Texas Intermediate («WTI») light, sweet crude oil.
This search drives so - called technical analysis, which is the study of past
security -
price movements in order to predict what will happen next.
By monitoring
price movements of all preferred shares on an ongoing basis, the Lysander - Slater funds aim to purchase oversold
securities that are of good credit, good structure, and offer cheap relative value.
To the extent the fund concentrates in a specific industry or a group of industries, the fund will carry much greater risks of adverse developments and
price movements in such industries than a fund that invests in a wider variety of industries; there is also the risk that the fund will perform poorly during a slump in demand for
securities of companies in such industries.
As a practical matter, Third Avenue rarely takes any course of action, or has any opinions as to what near - term
price movements might be for individual
securities or markets in general.
All other systems — whether Graham & Dodd fundamental analysis, or Modern Capital Theory, or Technical - Chartist Approaches — are involved with predicting near - term
price movements for
securities.
The purchase of stock index options involves the risk that the premium and transaction costs paid by a Fund in purchasing an option will be lost as a result of unanticipated
movements in
prices of the
securities comprising the stock index on which the option is based.
The successful use of short selling may be adversely affected by imperfect correlation between
movements in the
price of the
security sold short and the
securities being hedged.
The adviser uses technical analysis, including monitoring
price movements and
price trends, of real estate related
securities in an effort to identify the proper weighting of the Fund's portfolio.
To the extent that the options markets close before the markets for the underlying
securities, significant
price and rate
movements can take place in the underlying markets that can not be reflected in the options markets.
It is a type of market where the
prices for the
securities mostly stabilized and showing no visible
movements in either positive or negative direction.
It is an indicator of technical analyze that is used to predict
movements in the levels for
securities, and it calculates the average of
securities» low, high and closing
prices of a day trading.
The availability of these long and short
securities allows us to profit from gold
price movements in either direction - up or down.
They may also allow you to trade certain market indices, such as the ASX 100, which aggregates the
price movements of all the top 100 stocks listed on the Australian
Securities Exchange (ASX).
Welcome to the Newmark
Security plc Investor section, which has been designed to provide investors with the Group's most up - to - date news, reports, presentations and share
price movements, as well as historical information about the Company.
An investor expecting a continuation in the direction of a
security's
price movement is likely to experience whipsaw in a volatile market.