Gapping down In reaction to disappointing earnings/guidance: LOCO -14%, ZBB -13%, KING -8.6%, CRTN -7.3%, GMCR -5.7%, WLDN -5.1%, ANET -4.5%, MARA -4.4%, EXP -4.2%, WB -3.9%, GV -3.6%, DAR -3.5%, DDS -3.5%, CLDN -3.4%, HGG -3.2%, SYMC -2.5%, SEE -2.2%, EVK -1.8%, VCEL -1.8%, PRTY -1.1%, HTZ -0.9%
Select metals/mining stocks trading lower with underlying commodity down ~1%: AU -4.7%, HMY -1.2%, GDX -1.2%, GG -0.9%, ABX -0.8%, GOLD -0.7%
Select oil/gas related names showing early weakness: RIG -1.2%, RDS.A -0.9%, SDRL -0.9%, TOT -0.8%, BP -0.8%
Other news: PAYC -7.1% ( files for offering of common stock for selling shareholders), GMCR -5.6% (following conference call - Keurig Kold investor presentation ), SYT -3.7% (cont vol surrounding M&A spec), NBG -3.4% (cont uncertainty in Greece), UGI -2.3% (announced plans to build an LNG plant in Wyoming County, PA, expecting a total capital investment of ~$60 million), LMRK -2% (announces an upsizing of its public offering to 3 mln units from 2.5 mln, with a price of $16.75/share), IPWR -1.1% (plans to offer shares of its common stock in an underwritten public offering), HCP -1.1% (priced its offering of $750 mln of 4.00% senior unsecured notes due 2025)
Analyst comments: CLVS -2% (downgraded to Neutral from Overweight at Piper Jaffray), DE -1.9% (downgraded to Underweight from Neutral at JP Morgan), MMYT -1.1% (target lowered at Oppenheimer)