LONDON, April 27, 2015 /PRNewswire/ --
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Investor-Edge has initiated coverage on the following equities: E*TRADE Financial Corporation (NASDAQ: ETFC), TD Ameritrade Holding Corporation (NYSE: AMTD), LPL Financial Holdings Inc. (NASDAQ: LPLA), Cowen Group Inc. (NASDAQ: COWN), and BGC Partners Inc. (NASDAQ: BGCP). Free research report on E*TRADE Financial can be accessed at http://get.Investor-Edge.com/pdf/?c=ETRADE%20Financial&d=27-Apr-2015&s=ETFC. On Friday, April 24, 2015, the NASDAQ Composite ended at 5,092.09, up 0.71%, the Dow Jones Industrial Average advanced 0.12%, to finish the day at 18,080.14, and the S&P 500 closed at 2,117.69, up 0.23%. The losses were broad based as six out of ten sectors ended the session in negative. The S&P 500 Financials Sector Index ended the day at 326.66, down 0.25%, while the index has advanced 2.56% in the previous three months. Register for your complimentary reports at the links given below.
E*TRADE Financial Corp.'s stock finished Friday's session 0.07% lower at $28.17. A total of 4.91 million shares were traded, which was above its three months average volume of 3.12 million shares. The stock moved between $27.85 and $28.48 during the session. Over the last one month and the previous three months, E*TRADE Financial Corp.'s shares have gained 4.14% and 14.72%, respectively. Additionally, from the beginning of 2015, the stock has gained 16.14%. The company's shares are trading above their 50-day and 200-day moving averages. Moreover, the stock's 50-day moving average of $27.42 is greater than its 200-day moving average of $23.69. E*TRADE Financial Corp.'s stock traded at a PE ratio of 25.60 and has a Relative Strength Index (RSI) of 54.14. Sign up and read the free notes on ETFC at:
On Friday, shares in TD Ameritrade Holding Corp. fluctuated between $35.61 and $36.11 before ending the session 0.53% lower at $35.78. The stock reported a trading volume of 2.21 million shares, below its three months average volume of 2.37 million shares. Shares of the company traded at a PE ratio of 24.51. TD Ameritrade Holding Corp.'s shares have advanced 1.02% in the previous three trading sessions and 6.46% in the last three months. The company is trading above its 200-day moving average of $34.22. Moreover, shares of TD Ameritrade Holding Corp. have an RSI of 39.81. The complimentary notes on AMTD can be downloaded as in PDF format at:
LPL Financial Holdings Inc.'s stock lost 1.36%, to close the day at $40.47. The stock recorded a trading volume of 0.57 million shares, below its three months average volume of 1.02 million shares. The stock oscillated between $40.28 and $41.04 during the session. Over the last three trading sessions and over the past three months, LPL Financial Holdings Inc.'s shares have fallen by 0.59% and 4.75%, respectively. Further, the stock has lost 9.16% since the start of this year. The company is trading below its 50-day and 200-day moving averages. The stock's 200-day moving average of $44.70 is above its 50-day moving average of $44.19. Additionally, LPL Financial Holdings Inc. traded at a PE ratio of 20.33 and has an RSI of 34.27. Register for free on Investor-Edge and access the latest research on LPLA at:
On Friday, shares in Cowen Group Inc. recorded a trading volume of 0.80 million shares, lower than its three months average volume of 0.87 million shares. The stock ended the day at $5.81, which was 0.52% above its previous day's closing of $5.78, and registered an intraday range of $5.78 and $5.91. Shares of the company traded at a PE ratio of 4.06. Cowen Group Inc.'s shares have surged 11.30% in the last one month, 30.27% in the previous three months and 21.04% on YTD basis. The company is trading above its 50-day and 200-day moving averages of $5.28 and $4.47, respectively. Furthermore, shares of Cowen Group Inc. have an RSI of 74.92. The complete research on COWN is available for free at:
BGC Partners Inc.'s stock edged 0.62% lower, to close Friday's session at $9.62, after oscillating between $9.58 and $9.68. The stock recorded a trading volume of 0.35 million shares, below its three months average volume of 0.92 million shares. Over the last one month and the previous three months, BGC Partners Inc.'s shares have advanced 5.71% and 15.35%, respectively. Additionally, from the beginning of 2015, the stock has gained 5.14%. The company is trading above its 50-day and 200-day moving averages. The stock's 50-day moving average of $9.32 is above its 200-day moving average of $8.40. Further, BGC Partners Inc.'s stock traded at a PE ratio of 30.65 and has an RSI of 54.59. Free in depth research on BGCP is available at:
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