42.55 - 43.02
35.54 - 59.45
Join Discuss about EBAY with like-minded investors
The inventory woes have caused a shortage of some cookie flavors that have sent Girl Scout cookie resale prices skyrocketing. Boxes of the newest, limited-edition flavor, Raspberry Rally, are being sold on eBay for $35. Boxes of Girl Scout cookies typically go for $5 a pop.
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By Senad Karaahmetovic The U.S. stocks fell modestly last week with the S&P 500 (SPX) closing the week 0.28% lower - the first time it recorded two consecutive weekly red candles since December. The index is essentially flat month-to-date (MTD), which is quite positive for bulls as the January rally is still holding in. Looking at valuation, the forward 12-month P/E ratio for the S&P 500 is 18.0, below the 5-year average of 18.5% but above the 10-year average of 17.2. The Dow Jones Industrial Average Index (DJI) has continued to hover around 34000, ending the week 0.13% lower. Nasdaq Composite Index (IXIC) was the only major U.S. index to close in green last week after dropping 2.4% a week earlier. Looking ahead, this week's key economic data releases include the Q4 GDP second release on Thursday while investors will also watch closely the core PCE inflation and the University of Michigan reports on Friday. Earlier in the week, the minutes from the January FOMC meeting will be released (Wednesday) while several Fed speakers are due to speak this week, including Jefferson, Waller, Williams, Bostic, Daly, Mester, Bullard, and Collins. Q4 earnings session so far As of Friday, February 17, 82% of S&P 500 companies have reported results for Q4 2022. According to FactSet's data, 68% of S&P 500 companies have reported a positive EPS surprise and 65% of S&P 500 companies have reported a positive revenue surprise. As far as closely watched guidance is concerned, 65 S&P 500 companies have issued negative EPS guidance and 20 S&P 500 companies have issued positive EPS guidance. For this week, Home Depot (NYSE:HD) and Walmart (NYSE:WMT) have already reported earnings with both trading lower, thanks to the weaker-than-expected guidance for the full year. Coinbase (NASDAQ:COIN) and Palo Alto Networks (NASDAQ:PANW) are due to report on Tuesday, while Nvidia (NASDAQ:NVDA) and eBay (NASDAQ:EBAY) are reporting on Wednesday after the market close. Finally, Alibaba (NYSE:BABA) and Booking (NASDAQ:BKNG) are due to report on Thursday. What are analysts saying? Here's what analysts have to say about the upcoming trading week. Goldman Sachs analysts: "Our risk appetite indicator (GSRAII), sentiment surveys and CTAs equity positioning registered the largest bullish turn (from very bearish levels). We think the speed of the rebound lowers the bar for a negative sentiment shock from here if macro data disappoint." Morgan Stanley analysts: "With the Equity Risk Premium at its lowest level since 2007, the risk-reward for stocks is extremely poor, particularly with a Fed that is likely far from done, and earnings expectations that are 10-20% too high. It's time to head back to base camp before the next guide down in earnings." Citi analysts: "Last year's losing trades have started 2023 very strongly. Global equities, especially tech stocks, are up. Oil and defensive stocks have lagged. However, markets often change leadership into the new year, only to revert back to the previous themes later on. We suspect 2023 will follow this well-worn pattern." UBS analysts: "We still expect a hard landing… We added a May rate hike to the projection, and point to the risks that the FOMC raises rates by an additional 25 bps at their June meeting too. But higher rates do not make us more bullish on the economic outlook." Credit Suisse analysts: "The bulls have been playing two key datapoints (global PMIs rising and core CPI falling), and thus the negative catalyst will come when either stops. Wages and service sector inflation (ex shelter) are correctly seen as the key to overall inflation, and we think both are stickier than the market currently perceives." Vital Knowledge analysts: "The current phase of unhelpful economic data may persist for a bit longer (including the Jan PCE on Friday 2/24) and the SPX's valuation still isn't appealing, but these are ephemeral stumbling blocks, which is why dips (down to 4000-4050) should be bought. Disinflation is likely to resume, central banks (including the Fed) are nearing the finish line, and earnings/growth are resilient." JPMorgan analysts: "With equities trading near last summer’s highs and at above-average multiples, despite weakening earnings and the recent sharp move higher in interest rates, we maintain that markets are overpricing recent good news on inflation and are complacent of risks. Equity markets appeared to read this month's central bank meetings as dovish, while dismissing the weak Q4 earnings and the implications of the strong US payroll report for both monetary policy and corporate margins. We see the equity risk/reward as skewed to the downside, as upside potential for markets is likely fairly limited given stretched valuations and high rates, while downside could be meaningful, e.g. in case of a further weakening of activity, persisting inflation, higher terminal rates, or a resurgence of geopolitical risk."
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Tesla 250? 😬 > @dros said: $FTCH Feb10 7 C $ROKU Feb03 48 C $NFLX Feb03 360 C $EBAY Feb 51 C $UNG Mar 11 C $BABA Apr 150 C $CCL Mar 12.5 C $UNP Feb 230 C $PATH Feb 17.5 C $TSLA Jan-24 250 C $CCJ Mar 30 C $ET Mar 14 C $CL Jan-24 77.5 C $ARKK Feb 45 C $PINS Feb 27.5 C $SE Feb 80 C
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cant remember seeing EBAY uop 10%
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$PYPL PAYPAL Q3 2022 EARNINGS - ADJUSTED EPS $1.08, EST. 96C. - NET REVENUE $6.85B, EST. $6.81B. - TOTAL PAYMENT VOLUME $336.97B, EST. $343.25B. - REVENUE EXCLUDING EBAY +13%. - SEES 4Q REVENUE ABOUT $7.38B, EST. $7.73B. - SEES FY REVENUE $27.5B, SAW $27.85B, EST. $27.86B.
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**MERCATI EUROPEI** - La diminuzione della propensione al rischio, in seguito alla previsione di Jerome Powell che la Federal Reserve aumenterà i tassi di interesse più di quanto inizialmente previsto, ha portato ad un calo delle azioni e delle obbligazioni. - In risposta al calo del 2,5% di ieri, i futures dell'S&P 500 sono scesi dello 0,7%. La flessione si è estesa all'Europa e all'Asia, dove le speranze di una completa riapertura sono state infrante dal rafforzamento delle misure COVID-zero della Cina. Negli scambi pre-mercato, Etsy ed eBay hanno guadagnato mentre Qualcomm e Roku sono scese. - Dopo l'aumento dei tassi di 75 punti base della Fed, la Banca d'Inghilterra è pronta a fare lo stesso oggi, anche se i tassi potrebbero essere limitati dalla possibilità di una grave recessione. Powell ha deluso gli investitori che speravano in un cambio di direzione, poiché l'economia statunitense è ancora molto solida nonostante il persistente aumento dell'inflazione.
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**__TRIMESTRALI USA DELLA SETTIMANA DI MAGGIOR IMPATTO__** **__Lunedì 24 Ottobre 2022__** Cadence Design (CDNS) Discover (DFS) Alexandria RE (ARE) WR Berkley (WRB) Brown&Brown (BRO) Packaging America (PKG) Zions (ZION) Kirby (KEX) **__Martedì 25 Ottobre 2022__** Alphabet A (GOOGL) Alphabet C (GOOG) Visa A (V) Coca-Cola (KO) Texas Instruments (TXN) United Parcel Service (UPS) NextEra Energy (NEE) Raytheon Technologies (RTX) Lockheed Martin (LMT) Chubb (CB) General Electric (GE) 3M (MMM) Illinois Tool Works (ITW) Sherwin-Williams (SHW) General Motors (GM) Valero Energy (VLO) Archer-Daniels-Midland (ADM) Moody’s (MCO) Chipotle Mexican Grill (CMG) Centene (CNC) Biogen (BIIB) Kimberly-Clark (KMB) Twitter Inc (TWTR) MSCI (MSCI) PACCAR (PCAR) Halliburton (HAL) Ameriprise Financial (AMP) Corning (GLW) Equity Residential (EQR) Synchrony Financial (SYF) IDEX (IEX) Boston Properties (BXP) Teradyne (TER) Juniper (JNPR) F5 Networks (FFIV) PulteGroup (PHM) Robert Half (RHI) Pentair (PNR) JetBlue (JBLU) **__Mercoledì 26 Ottobre 2022__** Microsoft (MSFT) Meta Platforms (META) Thermo Fisher Scientific (TMO) Bristol-Myers Squibb (BMY) ADP (ADP) Boeing (BA) ServiceNow Inc (NOW) General Dynamics (GD) Waste Management (WM) CME Group (CME) Boston Scientific (BSX) Ford Motor (F) Norfolk Southern (NSC) O’Reilly Automotive (ORLY) Kraft Heinz (KHC) Amphenol (APH) Hess (HES) KLA Corp (KLAC) Roper Technologies (ROP) Hilton Worldwide (HLT) Enphase (ENPH) IQVIA Holdings (IQV) Cognizant A (CTSH) Old Dominion Freight Line (ODFL) Digital (DLR) Otis Worldwide (OTIS) AvalonBay (AVB) Fortive (FTV) Raymond James Financial (RJF) eBay (EBAY) DTE Energy (DTE) United Rentals (URI) Rollins (ROL) Mid-America Apartment (MAA) Teledyne Technologies (TDY) Align (ALGN) Garmin (GRMN) Cincinnati Financial (CINF) Essex Property (ESS) Tyler Technologies (TYL) Avery Dennison (AVY) UDR (UDR) Everest (RE) VF (VFC) Masco (MAS) Fortune Brands (FBHS) Invesco (IVZ) Ryder System ® **__Giovedì 27 Ottobre 2022__** Apple (AAPL) Amazon.com (AMZN) Mastercard (MA) Merck&Co (MRK) McDonald’s (MCD) Linde PLC (LIN) Comcast (CMCSA) Honeywell (HON) Intel (INTC) Caterpillar (CAT) S&P Global (SPGI) American Tower (AMT) Gilead (GILD) Northrop Grumman (NOC) Altria (MO) Southern (SO) Fiserv (FISV) Keurig Dr Pepper (KDP) Edwards Lifesciences (EW) L3Harris Technologies (LHX) American Electric Power (AEP) Republic Services (RSG) DexCom (DXCM) Capital One Financial (COF) Arthur J Gallagher (AJG) Newmont Goldcorp (NEM) Xcel Energy (XEL) Warner Bros Discovery (WBD) ResMed (RMD) Baidu (BIDU) Carrier Global (CARR) PG E (PCG) Baxter (BAX) Seagen (SGEN) Willis Towers Watson (WTW) T Rowe (TROW) Weyerhaeuser (WY) CBRE A (CBRE) Hartford (HIG) FirstEnergy (FE) Principal Financial (PFG) Southwest Airlines (LUV) VeriSign (VRSN) Laboratory America (LH) West Pharmaceutical Services (WST) CMS Energy (CMS) Monolithic (MPWR) LKQ (LKQ) Textron (TXT) Kimco (KIM) International Paper (IP) ABIOMED (ABMD) Bio-Rad Labs (BIO) Western Digital (WDC) Stanley Black Decker (SWK) Teleflex (TFX) Eastman Chemical (EMN) BorgWarner (BWA) Allegion PLC (ALLE) AO Smith (AOS) Universal Health Services (UHS) Mohawk Industries (MHK) **__Venerdì 28 Ottobre 2022__** Exxon Mobil (XOM) Chevron (CVX) AbbVie (ABBV) Charter Communications (CHTR) Colgate-Palmolive (CL) Aon (AON) WW Grainger (GWW) Coterra Energy (CTRA) Church&Dwight (CHD) Royal Caribbean Cruises (RCL) Newell Brands (NWL)
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Ich habe damals 2 NT 8 Multi Broker über ebay gekauft,habe sie immer so für 800 verkauft und davon habe ich mir dann ATAS gekauft .
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some consumer stocks getting bids EBAY UAA etc
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the ebay tried to trigger but look sto be sputtering
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**pkedrosky:** Love all these lightly-used Covid fitness products being hawked on Ebay and Craigslist—from kayaks to Pelotons—as people discover that doing ... things is harder than they thought. Running is next, as I get endless messages from over-eager types with knee pain and tendinopathies. https://t.co/A9kXuFTm14 https://twitter.com/pkedrosky/status/1539970168700297221
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wrote > @danbrey said: yeah, the sellers really screwed that buy up. I would of held AMD if I had it simply because I consider it a good company like EBAY, which I profited off a spread. But I believer EBAY LONG people were stopped out.
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yeah, the sellers really screwed that buy up. I would of held AMD if I had it simply because I consider it a good company like EBAY, which I profited off a spread. But I believer EBAY LONG people were stopped out.
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Last minute of the session EBAY call sold at 4. We bought at 3 and so not bad.
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I have to be out before EBAY dividend Tuesday.
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It looks like the Sellers are done with EBAY. It finally made our exit of 48. I'd like to get at least 4 for it.
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eBay drops first NFT collection to non-crypto mainstream buyers https://cointelegraph.com/news/ebay-drops-first-nft-collection-to-non-crypto-mainstream-buyers
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EBay Taps OneOf for Debut Sports-Themed NFT Drop https://www.coindesk.com/business/2022/05/23/ebay-taps-oneof-for-debut-sports-themed-nft-drop/?utm_medium=referral&utm_source=rss&utm_campaign=headlines
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EBAY is like a punch drunk fighter. The sellers are continuing to hit it.
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I'd be surprised if we don't make money on that Ebay call.
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Ebay is almost in the green.
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Some guy I was listening to who uses a Dow Theory of some sort says we are clearly in a Bear Market. I tried to get another EBAY call for a buck.
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my ebay shop is fine fwiw
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sellers came back in a major way ysterday...second time this cycle i have seen improving breadth and price action get reversed in one day...usually takes a few but this is a different regime ....if 3850 goes its best to continue selling 2-3 day rips until it stops working > @danbrey said: EBAY will end up about the STOP. So basically all it did this day was flush all the Stop Limit people down the drain.
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EBAY will end up about the STOP. So basically all it did this day was flush all the Stop Limit people down the drain.
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It looks like the Ebay call will hold around 2 of which it has been at all day.
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later, maybe Ebay will be back by then.
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I have an GTC exit order in at 4 for EBAY. Sometimes they fire in the morning.
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I wish Chris would do more good companies like EBAY. I feel it's like keeping a Beach Ball underwater.
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So, if I was just buying the EBAY contract today, I'd get it at the sale price of $2 or so.
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Wouldn't that be something if our EBAY Call survives today. I mean how much oversold can a company get?
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BUY TO OPEN $EBAY JUN 17th 45.00 CALL @3.00 STOP @ 44.85 on the underlying [email protected] 48.00 on the underlying stock NOTE: decent MR setup on the daily + some flow confirmation. Let's take the trade here and see how it plays out.
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**@CNBC:** This 35-year-old mom quit her job to work on her eBay side hustle full-time—and made $141 million in sales last year. (via @CNBCMakeIt) https://t.co/y5TeF8eR4J https://twitter.com/CNBC/status/1525617542542262275
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MRK VLO XEL OXY Short CVS QCOM AMD ZIM PG MU PM EBAY MU COIN
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Next Earnings Date
Next Dividend Date
eBay Inc. is an American multinational e-commerce company based in San Jose, California, that facilitates consumer-to-consumer and business-to-consumer sales through its website. eBay was founded by Pierre Omidyar in 1995, and became a notable success story of the dot-com bubble.
CEO: James Iannone
HQ: 2025 Hamilton Ave San Jose, 95125-5904 California