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TWO

Two Harbors Investment Corp. NYQ · TWO

$12.10 +0.00 (+0.00%)
Pullback · -0.79σ Grade C
Mkt cap $1.3B
P/E
Day $12.00 – $12.11
52wk $8.78 – $13.83
Avg vol 2.1M
Beta 1.04
Div yld 11.24%
Next earnings 2026-07-28

Quick read

At a glance

Two Harbors Investment Corp. invests in, finances, and manages mortgage servicing rights (MSRs), agency residential mortgage-backed securities (RMBS), and other financial assets through RoundPoint in the United States.

TWO last traded at $12.10, little changed on the day; that's in the middle part of its 52-week range ($8.78–$13.83). Right now it's dipped below its recent average — a spot where watchers often look for signs the dip is stabilizing.

The next scheduled earnings report (2026-07-28) is the biggest known catalyst on the calendar, and after the recent dip, watch whether the price stops making lower lows before assuming the worst is over.

A quick snapshot built from the data on this page — not investment advice. Always do your own research.

Today's read

Grading desk →

Price is stretched slightly below its normal range — a light stretch — early days, worth watching. Plus a hammer candle — sellers pushed price down and buyers pushed it right back up.

Long C
Setup score 32 / 100
Price is stretched slightly below its normal range — a light stretch — early days, worth watching. Hammer candle.
  • · KC1 lower stretch — light dip
  • · Hammer candle — long lower wick rejection
  • · Volume 2.0x avg (no candle alignment)
Technical read: KC1 lower, -0.59 ATR from EMA21 · hammer
What it means: Price is stretched slightly below its normal range — a light stretch — early days, worth watching. The trigger bar shows a hammer candle — sellers pushed price down and buyers pushed it right back up.
Score split: chart signals 32 / 80 · news & fundamentals checks 0 / 20 — chart signals carry most of the grade.
How this grade was earned
total 32 pts
Cycle position 14
Candle signal 15
Volume 3

Each bar shows how many points that factor added. The more points — and the more factors that agree — the higher the letter grade.

Short C
Setup score 28 / 100
Price is sitting close to its normal range — not meaningfully overheated yet. Doji candle.
  • · Doji — indecision, watch for reversal
  • · Volume surge 2.0x avg
  • · Aligned with strong downtrend (strong tailwind)
Technical read: below KC1 upper, -0.59 ATR from EMA21 · doji
What it means: Price is sitting close to its normal range — not meaningfully overheated yet. The trigger bar shows a doji candle — buyers and sellers fought to a draw, which often comes right before a turn.
Score split: chart signals 28 / 80 · news & fundamentals checks 0 / 20 — chart signals carry most of the grade.
How this grade was earned
total 28 pts
Cycle position 6
Candle signal 6
Volume 6
Market fit 10

Each bar shows how many points that factor added. The more points — and the more factors that agree — the higher the letter grade.

132-Day Trend Zones

Full chart →
21 EMA +1 ATR +2 ATR −2 ATR
O H L C

Under the hood

On the latest daily bar, momentum sits mid-range (RSI 39), the trend is strong (ADX 26), and trading is unusually heavy at 1.8× normal volume. On the business side, revenue is growing 1569% year over year and the business keeps about -13 cents of every sales dollar as free cash.

Latest-bar indicator readings behind the grade — display-only, they don't move the letter.

Momentum · RSI
39
0–100 · <30 oversold
Trend strength · ADX
26
>25 = strong trend
Volume vs avg
1.78×
1× = average
Stretch from avg
-0.8 ATR
− below · + above
Zone touches
0
tests of this zone
Suggested hold
3–30
bars (≈ days)
Fundamentals at a glance

Company fundamentals for context — display-only, they don't move the grade.

Revenue growth
+1569.1%
year over year
Free-cash-flow margin
-13.1%
cash kept per $ of sales
Debt / equity
4.79
lower = less leveraged

Valuation & accounting

Valuation desk →

The model's verdict is “Unknown” and accounting quality screens as Weak. Model estimates only — do your own due diligence.

Unknown Accounting: Weak
Fair-value range
$3.29 – $3.29
Accounting quality Weak
  • ✓ Gross margin 98% (pricing power)
  • ⚠ Debt exceeds cash
  • ⚠ Debt/equity 5.07 (fragile)
  • ⚠ Negative retained earnings
  • ⚠ Receivables growing faster than revenue

Key statistics

All statistics →

TWO is a $1.3 billion company.

Market cap $1.3B
P/E ttm
Beta 1.04
52w range $8.78 – $13.83
Avg volume 2.1M
Dividend yield 11.24%
Sector Real Estate
Next earnings 2026-07-28
52-week range · today's price
$8.78$13.83

More on TWO

Options idea

See more →
CALL $12 2026-08-21
$0.17
PUT $12 2026-08-21
$0.05

Earnings

See more →
Last reported
2026-04-28
EPS (act / est)
0.34 / 0.27
Surprise
+26.8%
Next report
2026-07-28

About

Two Harbors Investment Corp. invests in, finances, and manages mortgage servicing rights (MSRs), agency residential mortgage-backed securities (RMBS), and other financial assets through RoundPoint in the United States. The company target assets include agency RMBS collateralized by fixed rate mortgage loans, adjustable rate mortgage loans, hybrid mortgage loans, or derivatives;…