$MC

Moelis & Co

  • NEW YORK STOCK EXCHANGE INC.
  • Finance
  • Investment Banks/Brokers
  • Finance and Insurance
  • Investment Banking and Securities Dealing

PRICE

$39.35 β–²0.191%

Extented Hours

VOLUME

127,333

DAY RANGE

39.35 - 40.02

52 WEEK

37.16 - 74.23

Join Discuss about MC with like-minded investors

SP
@spo-kiter #BTC-ECHO
recently

denke ich auch. die sind halt mit einem viiiiiiel zu hohen MC gelauncht und haben eine beschissene Tokenverteilung. dafΓΌr mΓΌssen die produkt technisch leider erst mal ein bisschen was liefern…

101 Replies 10 πŸ‘ 10 πŸ”₯

RA
@rainerhahn #robertrother
recently

ich bin vohin in Apple short gegangen - gerstern MC Donalds Short mit 3-stellig im plus geschlossen. momentan lΓ€uft es ;)

106 Replies 9 πŸ‘ 15 πŸ”₯

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@Traderbiasa #forexvoxio
recently

kasihan trader modal receh suruh buka lot besar ya mc berjamaah

116 Replies 14 πŸ‘ 15 πŸ”₯

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@Robert_Rother #robertrother
recently

https://trading.vantharp.com/view.html?x=&m=Hw&mc=f&s=HrZ&u=J&z=vK72ova&pt=view

60 Replies 7 πŸ‘ 6 πŸ”₯

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@Traderbiasa #forexvoxio
recently

diluaran sana banyak yang mc karena buy duluan, enggak sabar nunggu 140pips. jadi wait n see

105 Replies 13 πŸ‘ 12 πŸ”₯

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@BeniErkaWijaya #forexvoxio
recently

yg penting jgn oversize lot mc

73 Replies 7 πŸ‘ 11 πŸ”₯

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@lucullus #droscrew
recently

Mc cllellan oscillator is not super extreme but its down there

71 Replies 13 πŸ‘ 8 πŸ”₯

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@NoobBot #Crypto4Noobs
recently

**@StackingUSD:** $MC | @MeritCircle_IO If you missed MC during the LBP or during the first $5 TP retrace, do you want to miss it... again?Note: ALL of these alts setups are dependent on $BTC. If BTC behaves, all should be well and I foresee many dips being eaten up on #Metaverse projects. https://t.co/kvr6GykXMX https://twitter.com/StackingUSD/status/1467658267912454144

59 Replies 9 πŸ‘ 7 πŸ”₯

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@NoobBot #Crypto4Noobs
recently

**@StackingUSD:** $XPDI $PYR $ATOM $MC https://t.co/jrsRlIrZcW https://twitter.com/StackingUSD/status/1466656032604700674

41 Replies 9 πŸ‘ 11 πŸ”₯

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@Traderbiasa #forexvoxio
recently

kalqu leverage dari 1:500 di ubah jadi 1:100 itu kalau kalian buka 1 size lot margin biasanya 200an$ itu bisa naik jadi 400$ belum kalau posisi itu nahan floating pasti kena Stopout langsung, tidak sempet cutloss atau mau request wd, udah mc duluan dalam hitungan detik

126 Replies 10 πŸ‘ 11 πŸ”₯

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@Traderbiasa #forexvoxio
recently

2tahun 1x biasanya ada market crash. nah harus ada nilai ketahanan. kerena ketika market crash broker itu mengurangi margin leverage dari 1:500 bisa di ubah jadi 1:100 tanpa persetujuan klien. nah itu bisa bikin MC kaya tahun 2015 kasusnya SNB

56 Replies 15 πŸ‘ 9 πŸ”₯

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@Traderbiasa #forexvoxio
recently

jadi trader2 yang tadi malam diluaran sana MC karena ketahanannya kurang dari 100pips

137 Replies 11 πŸ‘ 8 πŸ”₯

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@NoobBot #Crypto4Noobs
recently

**@StackingUSD:** $MC holding its own!Patience pays πŸ’ͺEntries: $2.17-2.70 https://t.co/Tj8fSk1PYg https://twitter.com/StackingUSD/status/1464999399956881416

59 Replies 7 πŸ‘ 11 πŸ”₯

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@seibo #BTC-ECHO
recently

Ja, die mal ausgenommen und DOT hat auch eigentlich geliefert und da erwarte ich auch nochmal nen Schub. Klar, bei dem MC sind keine solche SprΓΌnge zu erwarten, trotzdem lassen sie in der Breite viel liegen. > @lueley said: naja, SOL AVAX LUNA und co sind ja gut gelaufen

43 Replies 12 πŸ‘ 7 πŸ”₯

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@11_JV_11 #BTC-ECHO
recently

@lueley Ja ich hatte meine Frage gelΓΆscht. Gerade deshalb danke fΓΌr den Input. Den btc/eth nehme ich ins daily mit auf um ein GefΓΌhl dafΓΌr zu bekommen, genauso wie auch die btc-d und die Alt-mc.

40 Replies 11 πŸ‘ 8 πŸ”₯

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@Snowcow #droscrew
recently

speaking of 420 we are going to have more pot stores than mc donalds soon

65 Replies 7 πŸ‘ 6 πŸ”₯

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@Snowcow #droscrew
recently

I don't have a visa myself only MC

73 Replies 15 πŸ‘ 9 πŸ”₯

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@dros #droscrew
recently

this isn't really a market to be trading valuations > @GbCasanova said: $69bn MC for Lucid. I wonder if Earnings justify this

84 Replies 8 πŸ‘ 11 πŸ”₯

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@GbCasanova #droscrew
recently

$69bn MC for Lucid. I wonder if Earnings justify this

101 Replies 6 πŸ‘ 8 πŸ”₯

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@Benlax #droscrew
recently

bad earnings and this thing can get pton'd i think almost atvi mc is a joke

142 Replies 6 πŸ‘ 9 πŸ”₯

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@JackScorpionH #Zona Trading
recently

Digo, de la empresa, MC y eso

50 Replies 13 πŸ‘ 11 πŸ”₯

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@bunnytoad69 #droscrew
recently

before i was a Mc Chicken

119 Replies 8 πŸ‘ 13 πŸ”₯

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@dros #droscrew
recently

bro that hasn't been a good way to go since you could bribe Johnny Mc

143 Replies 10 πŸ‘ 6 πŸ”₯

JO
@JohnKuro #LWT Trading
recently

i only really found it today, read they have some sort of partnership with mc donalds starting tomorrow?

123 Replies 10 πŸ‘ 7 πŸ”₯

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@GbCasanova #droscrew
recently

Which is why I haven't sold a single share of $LUVU because I know how undervalued that stock is. Trades at $30m MC. 34 cents a share. Rev $30m + 30% CAGR. Earnings at 5cents per share. PE of 3x

62 Replies 12 πŸ‘ 13 πŸ”₯

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@GbCasanova #droscrew
recently

It trades at 35cents a share at $25m MC with a float of less than 25m shares. Selling all kinds of consumers goods in demand, and even adult goods. The business makes more in revenue than its Market Cap. Their earnings improve each quarter, they are growing with expectations from Management they will hit $50m by EOY. The PE is 3x and their earnings are 5 cents per share. That's a 15% yield EPS at current price. Yet so many people like to chase pumps, when in actual fact when their is a bear market people will want to be investing in businesses that generate their own cash and will not be heavily relying on getting their cash from raising it via the public that keep chasing their stock up.

144 Replies 9 πŸ‘ 8 πŸ”₯

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@ashy2classy #droscrew
recently

what's the MC?

108 Replies 6 πŸ‘ 7 πŸ”₯

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@PradeepB #droscrew
recently

they don't want you to get rich πŸ€‘ please keep working in Mc Donald and in Mr Chau > @Pyrognosis said: China is apparently cracking down on people entering finance away from actually productive work. Its interesting.

125 Replies 9 πŸ‘ 7 πŸ”₯

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@DarkPoolAlgo #Dark Pool Charts
recently

Thursday, July 22, 2021 Futures Up/Down % Last Dow 83.00 0.24% 34,772 S&P 500 8.25 0.20% 4,359 Nasdaq 20.50 0.14% 14,848 Stock futures pointing higher, looking to make it a third straight day in a row of gains as optimism about earnings and the economic recovery outweighed Wall Street’s concerns about rising inflation and surging coronavirus cases. The yield on the benchmark 10-year Treasury rose early Thursday to 1.287% after touching lows below 1.13% earlier this week. President Joe Biden, at a town hall in Cincinnati hosted by CNN, said Wednesday night β€œthere will be near-term inflation” as the economy recovers but said he has been advised by his economic team that current price increases won’t last as demand returns to normal levels. Stocks advanced Wednesday as strong corporate earnings and renewed optimism about the U.S. economic recovery stoked investor risk appetite. All three major U.S. stock indexes appeared set to build on the previous session’s gains, which delivered the S&P 500’s best day since March, while the Russell 2000 SmallCap outperformed for a second day after trading in correction territory on Monday (defined as 10% down off record highs). With Wednesday’s advance, all three are within 1% of their all-time closing highs. Economically sensitive SmallCaps, semiconductors and financials outperformed the broader market as investors prep for another busy day of earnings. In Asian markets, The Nikkei Index rose 159 points to 27,548, the Shanghai Index gained 12 points to 3,574 and the Hang Seng Index jumped nearly 500 points (1.83%) to settle at 27,723. In Europe, the German DAX is jumps 125 points to 15,550, while the FTSE 100 rises about 15 points to move above the 7,000 level. Market Closing Prices Yesterday The S&P 500 Index gained 35.63 points, or 0.82%, to 4,358.69 The Dow Jones Industrial Average rose 286.01 points, or 0.83%, to 34,798.00 The Nasdaq Composite jumped 133.08 points, or 0.92%, to 14,631.95 The Russell 2000 Index advanced 39.74 points, or 1.81% to 2,234.04 Events Calendar for Today 8:30 AM ET Weekly Jobless Claims 8:30 AM EST Continuing Claims 10:00 AM ET Existing Home Sales MoM for June 10:00 AM ET Leading Index MoM for June 10:30 AM ET Weekly EIA Natural Gas Inventory Data 11:00 AM ET Kansas City Fed Manufacturing for July Earnings Calendar: Earnings Before the Open: $AAL, $ABT, $AEP, $ALK, $AUB, $BANC, $BCO, $BIIB, $BKU, $BX, $CADE, $CLF, $CROX, $CSBR, $DGX, $DHI, $DHR, $DOW, $EWBC, $FAF, $FCX, $FITB, $GPC, $GTLS, $HRI, $HZO, $IIIN, $LUV, $MMC, $NEM, $NUE, $POOL, $RS, $SAFE, $SON, $T, $TPH, $TRN, $UNP, $VLY, $WBS, $WSO Earnings After the Close: $ABCB, $ASB, $BOOM, CBSH, $CE, $COF, $CSL, $CSTR, $GGBC, $INTC, $MMLP, $MSBI, $OZK, $RBNC, $SAM, $SBCF, $SIVB, $SNA, $SNAP, $TACO, $TWTR, $USX, $VRSN, $WRB, $WSFS Macro Up/Down Last Nymex 0.63 70.93 Brent 0.62 72.85 Gold -7.50 1,796.10 EUR/USD -0.0007 1.1787 JPY/USD -0.01 110.28 10-Year Note +0.013 1.295% World News The U.S. Treasury Department is projected to exhaust its borrowing authority in October or November, the Congressional Budget Office said on Wednesday, as a fight between Democrats and Republicans over raising the nation’s debt ceiling erupted in Congress. A failure to work out differences over whether government spending cuts should accompany an increase in the statutory debt limit, currently set at $28.5 trillion, could lead to a federal government shutdown – as has happened three times in the past decade – or even a debt default. Sector News Breakdown Consumer Las Vegas Sands ($LVS) 2Q EPS loss ($0.25) vs est. ($0.17), adj property EBITDA $244Mm, revs $1.17B vs est. $1.41B, net revs from Macao $855Mm Whirlpool ($WHR) Q2 adj EPS $6.64 vs. est. $5.93; Q2 revs $5.32B vs. est. $5.05B; raises FY21 adjusted EPS view to $26.00 from $22.50-$23.50 (est. $23.73); boosts FY21 net sales growth to ~16% from ~13%; sees FY21 cash provided by operating activities of $1.95B Stanley Black & Decker ($SWK) raises quarterly dividend 13% to 79c from 70c per share R. Horton ($DHI) Q3 EPS $3.06 vs. est. $2.81; Q3 revs $7.3B vs. est. $7.19B; Q3 net sales decreased 17% to 17,952 homes and increased 2% in value to $6.4 billion compared to 21,519 homes and $6.3 billion in the same quarter of the prior year; sees FY21 consolidated revenue $27.6B-$28.1B vs. est. $27.4B China is weighing an unprecedented penalty for Didi Global (DIDI) following its IPO last month, people familiar with the matter tell Bloomberg Energy Kinder Morgan ($KMI) Q2 adj EPS $0.23 vs. est. $0.19; Q2 revs $3.15B vs. est. $2.88B; expects to meet or exceed the top end of the range provided last quarter for DCF and Adjusted EBITDA; anticipates generating 2021 DCF of $5.4 billion and Adjusted EBITDA of $7.9 billion. TechnipFMC ($FTI) Q2 adj EPS ($0.06) vs est. ($0.01) on revs $1.669B vs est. $1.6B, qtr-end backlog $7.3B, qtrly inbound orders $1.56B; guides FY subsea revs $5.2-5.5B, guides surface tech revs $1.05-1.25B vs total revs est. $6.452 Precision Drilling (PDS) Q2 EPS loss (C$5.71) vs. (C$3.56) a year ago; Q2 revs C$201M vs. C$189.76M a year ago Chart Industries ($GTLS) Q2 adj EPS 80c vs. est. 79c; Q2 revs $322.0M vs. est. $317.45M; raises FY21 adjusted EPS view to $3.80-$4.25 from $3.65-$4.15 (est. $3.91); raises FY21 revenue guidance to $1.38B-$1.43B from $1.36B-$1.41B Financials Cohen & Steers ($CNS) Q2 adj EPS 94c vs. est. 86c; Q2 revs $144.27M vs. est. $131.17M; ending AUM of $96.2B, vs. $87.04B at previous quarter end – increase was driven by net inflows of $2.6B and market appreciation of $7.4B, partially offset by distributions of $769M Discover Financial ($DFS) 2Q EPS $5.55 vs est. $3.97, qtrly payment services volume $78.4B +22%, total loans ended qtr at $87.7B -1%, credit card loans ended qtr at $68.9B -2%, total net charge-off rt 2.12%; increases qtrly common stock dividend from $0.44-0.50/shr, approves share repurchase up to $2.4B Equifax ($EFX) 2Q adj EPS $1.98 vs est. $1.71 on revs $1.235B vs est. $1.16B; guides 3Q adj EPS $1.62-1.72 vs est. $1.65, raises FY adj EPS guide to $7.25-7.45 vs est. $7.05, sees FY revs $4.76-4.8B vs est. $4.675B Globe Life ($GL) 2Q EPS $1.92 vs est. $1.82; guides FY EPS $7.34-7.54 vs est. $7.29; says for FY at mid-point of guidance, estimate covid life claims between $53-55Mm Moelis ($MC) Q2 adj EPS $1.19 vs. est. $0.80; Q2 revs $360.9M vs. est. $273.8M; raises quarterly dividend by 9% to $0.60 and approves $100M share buyback OneMain Financial ($OMF) 2Q adj EPS $2.66 vs est. $2.19, NII $708Mm vs est. $769.1Mm; C&I managed receivables $18.3B, net charge-off ratio 4.41%, repurchased $35Mm in 2Q SEI Investments ($SEIC) 2Q EPS $0.93 vs est. $0.92 on revs $475.7Mm vs est. $464.7Mm SL Green Realty ($SLG) 2Q FFO/shr $1.60 vs est. $1.62, qtrly consolidated revs $218.1Mm vs est. $189.6Mm, op income $88.7Mm; same-store cash NOI including share of same-store NOI from unconsolidated JVs -3.7% yr/yr SLM Corp. ($SLM) Q2 core EPS $0.45 vs. est. $0.35; raises FY21 GAAP EPS view to $3.15-$3.25 from $2.95-$3.15; affirms FY21 private education loan origination y/y growth view of 6%-7% and lowers portfolio net charge-off view to $215M-$225M from $260M-$280M Texas Capital ($TCBI) 2Q EPS $1.31 vs est. $1.21; net interest income was $197.0 mln for q2 of 2021, compared to $200.1 mln for q1 of 2021 Triumph Bancorp. ($TBK) 2Q adj EPS $1.17 vs est. $1.02, NII $90.3Mm vs est. $89.2Mm, net int margin 6.47% Umpqua Holdings ($UMPQ) Q2 EPS $0.53 vs. est. $0.44; Q2 loan loss provision ($23M) vs. $87.08M a year ago; Q2 net charge-offs ($13.6M) vs. ($16.16M) a year ago; tangible book value per share was $12.49 at quarter end from $12.10 at previous quarter end; board approves to repurchase up to $400M of stock Ryan Specialty Group ($RYAN) 57M share IPO priced at $23.50 Travelers ($TRV) downgraded to Underperform from Buy at Bank America Healthcare Pfizer Inc. ($PFE) said the FDA has notified the company that it will not meet the Prescription Drug User Fee Act (PDUFA) goal dates for the New Drug Application for abrocitinib for the treatment of adults and adolescents with moderate to severe atopic dermatitis and the supplemental New Drug Application for XELJANZ/XELJANZ XR (tofacitinib) for the treatment of adults with active ankylosing spondylitis ICON Plc ($ICLR) Q2 adj EPS $2.12 vs. est. $2.09; Q2 revs $871.2M vs. est. $855.9M; sees FY21 EPS $9.10-$9.50 vs. est. $8.71; Record net business wins in the quarter of $1,106 million, an increase of 21.6% year on year; a net book to bill of 1.27; record closing backlog of $10.2 billion, an increase of 12.7% year on year Tenet Healthcare ($THC) Q2 EPS $1.59 vs. est. $1.07; Q2 revs $4.95B vs. est. $4.79B; Q2 Same-facility system-wide ambulatory surgical cases were up 68.2% from last year; year adj EBITDA Outlook range now $3.15B-$3.25B, up from prior view of $3.0B-$3.2B, which excludes the projected gain on the sale of the Miami-area hospitals; year adjusted diluted EPS $5.23-$5.73 up from $4.12-$5.46 prior – shares fell as Q3 guidance falls below consensus Absci ($ABSI)5M share IPO priced at $16.00 Natera ($NTRA)5M share Secondary priced at $113.00 Danaher ($DHR) Q2 adj EPS $2.46 vs. est. $2.05; Q2 revs $7.22B vs. est. $6.72B; for q3 2021, anticipates that non-GAAP core revenue growth will be in mid- to high-teens percent range; for full year 2021, now anticipates that non-GAAP core revenue growth rate including Cytiva will be about 20% Industrials & Materials CSX Corp. ($CSX) Q2 EPS $0.52 vs. est. $0.37; Q2 revs $2.99B vs. est. $2.93B; Q2 2021 operating ratio was 43.4% compared to 63.3% in prior year period; maintains full year revenue outlook and still sees year cap-ex $1.7B-$1.8B; Q2 expenses fall by 9% year-over-year to $1.30B Graco ($GGG) Q2 EPS $0.63 vs. est. $0.60; Q2 revs $507.2M vs. est. $475.94M; says initiating an outlook for full-year 2021 of mid-to-high teen sales growth on an organic, constant currency basis Dow Inc. ($DOW) Q2 EPS $2.72 vs. est. $2.30; Q2 revs $13.89B vs. est. $13.02B; qtrly packaging & specialty plastics segment net sales were $7.1 bln, up 78% versus year-ago period; industrial intermediates & infrastructure segment net sales were $4.2 bln, up 74% versus year-ago period; qtrly performance materials & coatings segment net sales were $2.5 bln, up 33% over year-ago BHP ($BHP) announced the signing of a nickel supply agreement with Tesla ($TSLA). Kaiser Aluminum ($KALU) Q2 adj EPS $1.00 vs. est. $1.44; Q2 revs $741M vs. est. $519.18M; qtrly shipments 337 mln lbs vs 119 mln lbs; said automotive business is temporarily dampened as ongoing shortages of semiconductor chips affects N. American light vehicle production Landstar ($LSTR) Q2 EPS $2.40 vs. est. $2.32; Q2 revs $1.57B vs. est. $1.46B; actual revenue per load on loads hauled via truck in 2021 q2 compared to 2021 q1 increased 7.5%; sees Q3 EPS $2.20-$2.30 and revs $1.55B-$1.6B UFP Industries ($UFPI) 2Q EPS $2.78 vs est. $1.81 on sales $2.7B vs est. $2.26B, expects all segments to benefit from more stable pricing in 2022 Valmont Industries ($VMI) Q2 adj EPS $3.06 vs. est. $2.50; Q2 revs $894.6M vs. est. $814.85M; sees FY21 adj EPS $10.40-$11.10 above consensus $9.89 and raises FY21 revenue growth view to 16%-19% from 9%-14%; expect meaningful sequential margin improvement in second half of 2021 as pricing becomes more aligned with steel cost inflation XL Fleet Corp ($XL) announced a battery and power electronics development and supply agreement and an investment in eNow, Inc., a provider of solar and battery power systems that enable fully-electric Transport Refrigeration Units for Class 8 commercial trailers

61 Replies 11 πŸ‘ 15 πŸ”₯

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@DarkPoolAlgo #Dark Pool Charts
recently

Tuesday, July 20, 2021 Futures Up/Down % Last Dow 182.00 0.53% 34,582 S&P 500 16.25 0.38% 4,331 Nasdaq 8.50 0.06% 14,731 U.S. stocks continue to recover from an early-week selloff prompted by fears surrounding the rapidly-spreading Delta variant as major averages rose about 1.6% on Tuesday, with investors again taking any market pullback as an opportunity to jump back into equities. A handful of Dow components expected to report earnings this morning with Johnson & Johnson, Coca-Cola and Verizon coming up. In Washington, a $1.2T bipartisan infrastructure bill will face an initial procedural floor vote in U.S. Senate today, which aims to upgrade roads and bridges, water systems and expand broadband Internet. European equities are in the green, extending opening gains to trade near best levels for the week as travel the strongest sector followed by retail and banking names. Crude futures drift higher as September WTI rises over 1% to trade back on a $68-handle and Brent trades back above $70. Netflix ($NFLX) shares little changed after mixed earnings results overnight. In Asian markets, The Nikkei Index climbed 159 points to 27,548, the Shanghai Index gained 25 points to 3,562 and the Hang Seng Index slipped -34 points to 27,224. In Europe, the German DAX is up over 130 points to 15,350, while the FTSE 100 gains over 100 points (1.58%) to move just below the 7,000 level. Market Closing Prices Yesterday The S&P 500 Index gained 64.57 points, or 1.52%, to 4,323.06 The Dow Jones Industrial Average rose 549.95 points, or 1.62%, to 34,511.99 The Nasdaq Composite surged 223.89 points, or 1.57%, to 14,498.88 The Russell 2000 Index advanced 63.62 points, or 2.99% to 2,194.30 Events Calendar for Today 7:00 AM ET MBA Mortgage Applications Data 10:30 AM ET Weekly DOE Inventory Data Earnings Calendar: Earnings Before the Open: $AFI, $ANTM, $BHLB, $BKR, $BOKF, $CMA, $FCFS, $HOG, $IPG, $JNJ, $KNX, $KO, $LAD, $LVS, $MKTX, $MTB, $NDAQ, $NTRS, $STX, $TZOO, $USAP, $VZ, $WRLD Earnings After the Close: $BANR, $BXS, $CCI, $CNS, $CSX, $CVLG, $DFS, $EFX, $EGBN, $FR, $GGG, $GL, $GSBC, $INBK, $KALU, $KMI, $LOB, $LSTR, $MC, $NTGR, $NVEC, $OMF, $PLXS, $REXR, $RGP, $RLI, $SLG, $SLM, $STC, $STL, $TBK, $TCBI, $THC, $TSC, $TXN, $UFPI, UMPQ, $VMI, $WASH, $WHR Macro Up/Down Last Nymex 0.85 68.05 Brent 0.90 70.25 Gold -6.30 1,804.00 EUR/USD -0.0007 1.1774 JPY/USD 0.25 110.10 10-Year Note +0.036 1.245% Sector News Breakdown Consumer Chipotle Mexican Grill ($CMG) shares rise 4%; 2Q adj EPS $7.46 vs. est. $6.52 on revs $1.9B vs. est. $1.88B, digital sales +10.5% (48.5% of total sales), qtrly comps +31.2%, qtrly restaurant level op mgn 24.5%; guides 3Q comps sales +low-mid-double-digits, sees 3Q at or slightly above +200 new restaurants Lands’ End ($LE) raises Q2 revs to $380M-$385M, up from prior view $345M-$355M; raises Q2 adj Ebitda to $36M-$38M from prior view $20M-$23M and ups EPS view to $0.39-$0.43 from prior $0.05-$0.12 (est. $0.07); also raises year revs, income and Ebitda views Sleep Number ($SNBR) shares fall -9% on miss; 2Q EPS $0.88 vs. est. $1.16 on net sales $484.3Mm missing the est. $511Mm; guides FY EPS at least $7.25 vs est. $6.79 (assumes 25% tax rt for remainder of the year) Harley Davidson ($HOG) 2Q adj EPS $1.41 vs est. $1.17 on revs $1.53B vs est. $1.41B, qtrly motorcycle shipments 56,700 vs 28,400 yr-ago; qtrly worldwide motorcycle retail sales 65,300 vs 52,700 yr-ago; guides FY motorcycle segment revs +30-35%, sees FY financial svcs segment op inc +75-85% Lithia Motors ($LAD) Q2 adj EPS $11.12 vs. est. $5.85; Q2 revs $6.01B vs. est. $4.99B; qtrly new vehicle retail sales increased 130.0% and qtrly used vehicle retail sales increased 95.7% Tesla ($TSLA) plans to open its network of superchargers to other electric vehicles later this year, CEO Elon Musk said on Twitter; the co’s fast charging network, with over 25,000 superchargers globally, has given it a competitive edge VICI Properties ($VICI) entered into a strategic arrangement with Great Wolf Resorts whereby VICI Properties may provide certain financing for the construction and development of Great Wolf Lodge resorts throughout the United States United Airlines ($UAL) Q2 op revs $5.47B vs. est. $5.35B; 2Q adj EPS ($3.91) vs est. ($3.91), capacity -46%, 3Q est. capacity -26%; sees 3Q TRASM positive vs 3Q19; expects 4Q adj pre-tax income to be positive; Q2 operating expenses down 42%, down 32% excluding special charges, compared to q2 2019 Energy The American Petroleum Institute ($API) reports that crude inventories rose 806,000 barrels last week, gasoline inventories rose 3.31M barrels and distillate stockpiles fell -1.225M barrels Avangrid ($AGR) Q2 adj EPS 35c vs. est. 41c; Q2 revs $1.48B vs. est. $1.52B; cuts FY21 adjusted EPS view to $2.04-2.22 from $2.25-$2.45 (est. $2.36) Halliburton ($HAL) upgraded to Buy from Neutral at Goldman Sachs Financials CME Group ($CME) raises crude oil future Nymex (cl) maintenance margins to $5,450/contract from $5,300 for sept. 2021 Fulton Financial ($FULT) Q2 EPS $0.38 vs. est. $0.33; Q2 net interest income (NII) $162M vs. $152.7M last year; Q2 net interest margin 2.73% vs. 2.81% last year Hope Bancorp ($HOPE) 2Q EPS $0.43 vs est. $0.38, NII $126.6Mm vs est. $127.1Mm Interactive Brokers (IBKR) Q2 adj EPS $0.82 vs. est. $0.83; Q2 revs $754M vs. est. $681.28M; Net interest income increased $78 million, or 40%, from the year-ago quarter; Commission revenue increased $31 million, or 11%, from the year-ago quarter Preferred Bank ($PFBC) 2Q EPS $1.44 vs est. $1.46, NII $43.4Mm vs est. $46.6Mm National Storage ($NSA)8M share Spot Secondary priced at $51.25 Signature Bank ($SBNY)5M share Spot Secondary priced at $235.50 Shift4 Payments ($FOUR) announces offering of 1.79M shares of Class A common stock United Community Bank ($UCBI) Q2 EPS $0.78 vs. est. $0.67; Q2 return on assets (ROA) was 1.46% and its return on common equity was 14.1% for the quarter. On an operating basis, United’s ROA was 1.48% and its return on tangible common equity was 17.8%. On a pre-tax, pre-provision basis, operating return on assets was 1.67% for the quarter. Healthcare Johnson & Johnson ($JNJ) Q2 adj EPS $2.48 vs. est. $2.27; Q2 revs $23.31B vs. est. $22.19B; company increasing 2021 full-year guidance for sales and eps; sees 2021 adjusted operational sales change vs. prior year 12.5%-13.5%; raises FY21 adjusted EPS view to $9.50-$9.60 from $9.30-$9.45 (est. $9.52) and raises FY21 revenue view to $93.8B-$94.6B from $90.6B-$91.6B Anthem ($ANTM) Q2 adj EPS $7.03 vs. est. $6.33; Q2 revs $33.3B vs. est. $33.21B; raises FY21 adjusted EPS view to greater than $25.50 vs. est. $25.23 and above prior view for greater than $25.10; its benefit expense ratio – the percentage of premiums paid for medical services – worsened to 86.8% from 77.9% a year earlier Cytokinetics ($CYTK) 10M share Secondary priced at $27.50 Intuitive Surgical ($ISRG) Q2 adj EPS $3.92 vs. est. $3.07; Q2 revs $1.46B vs. est. $1.26B; shipped 328 da Vinci Surgical Systems, an increase of 84% compared with 178 in Q2 of 2020; grew its da Vinci Surgical System installed base to 6,335 systems as of June 30, an increase of 10% compared with 5,764 as of the end of Q2 of 2020; raises FY21 procedure growth view to 27%-30% from 22%-26% and sees FY21 gross profit margin 70.5%-71.5% of revenue Natera ($NTRA) files to sell $350M of common stock SmileDirectClub, Inc. ($SDC) announced that an en banc panel of the U.S. Court of Appeals for the Eleventh Circuit sided with the company, rejecting the Georgia Board of Dentistry’s attempt to shield itself from antitrust liability through an interlocutory appeal. Celyad Oncology ($CYAD) highlights new preclinical allogeneic armored CAR T candidate developed from its shRNA platform; the submission of IND application for CYAD-203, a new first-in-class shRNA-based allogeneic, IL-18-armored CAR T candidate, expected in mid-2022 Industrials & Materials AAR Corp. ($AIR) Q4 adj EPS $0.47 vs. est. $0.48; Q4 sales $437.6M vs. est. $422.6M; Q4 adj Ebitda $34.3M up +60% y/y Canadian National ($CNI) Q2 adj EPS C$1.49 (in-line with est.) vs. C$1.28 YoY; Q2 revenue C$3.6B versus C$3.21B last year; reaffirms 2021 outlook; still targeting double-digit adjusted eps growth for 2021 and still sees high single-digit volume growth in for 2021; quarterly carloads 1.47 mln vs 1.29 mln Forestar Group ($FOR) 3Q EPS $0.32 vs est. $0.40 on revs $312.9Mm vs est. $307.6Mm; says housing conditions remain favorable across the country, now expect to deliver between 15,500-16,000 lots in FY Rexnord Corp. ($RXN) 2Q adj EPS $0.58 vs est. $0.50 on sales $568Mm vs est. $543.9Mm; expects 3Q sales in WM platform to increase high-teens % YoY Rush Enterprise ($RUSHA) 2Q EPS $1.00 vs. est. $0.82 on revs $1.316B vs. est. $1.31B Technology, Media & Telecom Netflix ($NFLX) 3Q EPS $2.97 vs. est. $3.16 on revs $7.34B vs. est. $7.32B, streaming net adds 1.54Mm w/ about 2/3 of global paid net adds from APAC; guides 3Q streaming net adds 3.5Mm 9vs. est. at 5.5Mm), sees 3Q revs $7.48B vs. est. $7.48B; says continue to target 20% operating margin for FY Avnet ($AVT) guides Q4 EPS $1.01-$1.05 vs. est. $0.79; said strong quarter-over-quarter sales growth in EMEA, Asia and Farnell, and continued operating improvement in the Americas, all contributed to better-than-expected results Qualtrics ($XM) Q2 EPS $0.04 vs. est. loss (2c); Q2 revs $249.3M vs. est. $241.63M; sees Q3 revs $257M-$259M vs. est. $246.6M; Q2 2021 Subscription Revenue of $204.5M, up 48% YoY; next 12 months remaining performance obligations of $754.8M, up 61% YoY ASML Holdings ($ASML) raises its 2021 sales outlook and announces a new share buyback, as orders for its equipment soared amid a global computer chip shortage; announces 9 bln euro ($10.60 bln) share buyback; said demand remained strong as major chipmakers raced to expand production capacity SAP AG ($SAP) Q2 revenue was 6.67 billion euros, up 1% from the year earlier quarter, or 3% higher adjusted for currency, and about in line with the Wall Street analyst consensus forecast at 6.69 billion euros; posted cloud revenue of 2.276 billion euros, up 11%, or 17% in constant currency, missing the Street consensus at 2.31 billion euros CS Disco ($LAW) 7M share IPO priced at $32.00 Paycor ($PYCR)5M share IPO priced at $23.00 VTEX ($VTEX) 19M share IPO priced at $19.00

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@Benlax #droscrew
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how quick things change 50% higher (on a company thats now almost 200b mc) from where everyone was thinking about selling in..... just a few months

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@Benlax #droscrew
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3b mc on 800m sales gotta do a little work since i havent looked it before but high prob a start a position, i need more financials and bx is unbuyable here + i like the upside still on a young co. The industry is constantly rolling up so I bet it gets rolled into Mercer or Aon or something in the next few years if they havent got too big

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@Benlax #droscrew
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another look 3b mc on 800m sales

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@dros #droscrew
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Upgrades 6/17: $ABEV $ACOR $ATUS $BK $BOOT $CHTR $CPA $ENB $IR $MC $NOAH $PDCO $T $VEON . Downgrades 6/17: $BNL $CNST $CONE $CVAC $CWH $HNST $KIN $LPL $MSGE $NTRS $OHI $THO $VOYA $WGO $WRE

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@marketjay #marketassasins
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AMC 06/18 70 call 5.00 be mindful this is slightly a early entry (high risk, high reward)

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@Snowcow #droscrew
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no matter how many orders of 10pc nuggets you ordered at Mc Donalds it only charged the first one

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@TradesbytheBell #Trades by the Bell LLC
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@everyone Options Swing Trade

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@Traderbiasa #forexvoxio
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prakteknya meskipun 0.01 lot bisa tidak mc, misalnya. tapi dia tidak puas dengan 0.01 itu tidak akan mencegah seorang trader hanya op 0.01 , kalau dia membuka 0.01 sebanyak 20 kali ya sama saja, itulah batasan 0.01 terfloating tidak bisa menjadi batasan risk management kecuali sudut pandangnya ada di Stoploss dan SL+ yang saya maksud

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@Traderbiasa #forexvoxio
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suatu ketika kita membuka 0.01 dengan harapan agar tidak MC, tapi itu menghilangkan pertanyaan apakah akan puas dengan profit 0.01 lot? sedangkan 0.01 lot juga bisa di buka dengan modal 100$ dan tidak perlu 1.000$.

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@Traderbiasa #forexvoxio
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jangan mikir kefloating atau tidak kefolating, tapi pikirkan SL dan SL+nya, karena batasan modal itu artinya anda meresikokan semua modal dengan cara membiarkan terfloating.. > @junedbadala said: mau tanya dong misal modal 1000 USD open 0.01 lot emang bener ya d eurusd g bakalan mc, k floating tp pasti ya 😁

61 Replies 8 πŸ‘ 13 πŸ”₯

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@junedbadala #forexvoxio
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mau tanya dong misal modal 1000 USD open 0.01 lot emang bener ya d eurusd g bakalan mc, k floating tp pasti ya 😁

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@Benlax #droscrew
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i mean a coin called literally scamcoin is 1b mc

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@Traderbiasa #forexvoxio
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apakah SL saya terlalu dekat? well, pada dasarnya penempatan SL itu sesuai standard toleransi masing2, kalau saya pribadi ya 20-30pips, ada yang berpendapat itu terlalu tipis dan memilih 50-60pips ya silahkan.. ada yang bilang terlalu besar mendingan 5-10pips ya silahkan. yang bisa jawab SL itu sebenernya diri sendiri, tanyakan pada diri sendiri sanggupnya loss berapa pips dari modal? kalau cuman sanggup loss 10pips ya SL 10pips kalau sanggup loss 30pips ya SL 30pips kalau sanggup loss 50pips ya SL 50pips terlalu besar atau terlalu kecil itu kembali ke kesiapan menerima kerugian itu sendiri. yang jelas SL itu penting untuk rem supaya tidak MC, bila profit segera ubah menjadi SL+ always..πŸ‘Œ selamat berakhir pekan traders!

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@Traderbiasa #forexvoxio
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ya betul banget, yang gue bingung kok kena SL pada bingungπŸ˜… kan SL wajib kalau kaga pakai SL baru bingung kan bisa MC πŸ˜‚ > @agiehamz said: SL is the best, jangan sampe ga pake SL buat menjaga trading plan

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AG
@agiehamz #forexvoxio
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gpp pak, dari pada jemput MC masih alhamdulillah

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@r0229 #forexvoxio
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bener banget tuh hari kamis jumat hari2 MC..

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@Traderbiasa #forexvoxio
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kenapa kok trader sering mc hari kamis dan jumat? jawabannya simple , " kehabisan amunisi " sudah nembak mulai hari senin padahal tidak ada jadwal, hari kamisnya peluru habis tidak bisa lagi nembak karena nahan floating akhirnya tewas dihajar market karena tidak punya serep

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@RedSunCap #droscrew
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so many bssss > @Benlax said: 1b bb on 30b mc

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Key Metrics

Market Cap

2.55 B

Beta

1.24

Avg. Volume

600.76 K

Shares Outstanding

64.83 M

Yield

5.95%

Public Float

0

Next Earnings Date

2022-07-20

Next Dividend Date

Company Information

Moelis & Company is a leading global independent investment bank that provides innovative strategic advice and solutions to a diverse client base, including corporations, governments and financial sponsors. The Firm assists its clients in achieving their strategic goals by offering comprehensive integrated financial advisory services across all major industry sectors. Moelis & Company's experienced professionals advise clients on their most critical decisions, including mergers and acquisitions, recapitalizations and restructurings, capital markets transactions, and other corporate finance matters. The Firm serves its clients from 22 geographic locations in North and South America, Europe, the Middle East, Asia and Australia.

CEO: Kenneth Moelis

Website:

HQ: 399 Park Ave Fl 5 New York, 10022-4416 New York

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