S&P 500 4,366.38 -1.9%* |
The Weekly Wrap by Briefing.com.
Indices
- DJIA 34,372.0 -1.1%
- NASDAQ 14,573.56 -3.1%
- Russell 2000 2,250.85 +.07%
- S&P 500 High Beta 74.91 -.99%
- Goldman 50 Most Shorted 316.06 -1.71%
- Wilshire 5000 45,281.42 -1.9%
- Russell 1000 Growth 2,793.05 -3.3%
- Russell 1000 Value 1,570.04 -.47%
- S&P 500 Consumer Staples 717.60 -2.3%
- MSCI Cyclicals-Defensives Spread 1,414.08 -1.09%
- NYSE Technology 4,152.83 -3.7%
- Transports 14,269.0 -.23%
- Utilities 876.0 -1.7%
- Bloomberg European Bank/Financial Services 75.5 +1.9%
- MSCI Emerging Markets 50.42 -.76%
- HFRX Equity Hedge 1,455.98 -.93%
- HFRX Equity Market Neutral 928.74 +.2%
Sentiment/Internals
- NYSE Cumulative A/D Line 475,185 -.72%
- Bloomberg New Highs-Lows Index -280 -370
- Crude Oil Commercial Bullish % Net Position -35.2 -4.3%
- CFTC Oil Net Speculative Position 355,978 +.26%
- CFTC Oil Total Open Interest 2,101,558 -2.0%
- Total Put/Call .92 -6.1%
- OEX Put/Call 2.32 +8.67%
- ISE Sentiment 106.0 +26.0 point
- NYSE Arms .58 -27.4%
- Bloomberg Global Risk-On/Risk-Off Index 2,980.0 -213.0 points
- Bloomberg Financial Conditions Index + Bubbles 5.37 -3.97%
- Volatility(VIX) 20.8 +17.4%
- S&P 500 Implied Correlation 56.41 +6.5%
- G7 Currency Volatility (VXY) 6.06 +1.3%
- Emerging Markets Currency Volatility (EM-VXY) 8.8 +.11%
- Smart Money Flow Index 13,901.50 -2.3%
- ICI Money Mkt Mutual Fund Assets $4.544 Trillion +.64%
- ICI Domestic Equity Long-Term Mutual Fund/ETFs Weekly Flows -15.536 Million
- AAII % Bulls 28.1 -6.0%
- AAII % Bears 40.7 +3.8%
Futures Spot Prices
- CRB Index 230.38 +1.6%
- Crude Oil 75.65 +1.7%
- Reformulated Gasoline 224.66 +3.8%
- Natural Gas 5.58 +8.0%
- Heating Oil 237.70 +3.5%
- Gold 1,757.56 +.59%
- Silver 22.52 +.65%
- S&P GSCI Industrial Metals Index 469.16 -3.7%
- Copper 420.25 -2.28%
- US No. 1 Heavy Melt Scrap Steel 440.0 USD/Metric Tonne -.45%
- China Iron Ore Spot 120.70 USD/Metric Tonne +3.3
%
- Lumber 634.80 -.78%
- UBS-Bloomberg Agriculture 1,297.0 +1.45%
- US Gulf NOLA Potash Spot 610.0 USD/Short Ton +.83%
Economy
- Atlanta Fed GDPNow Forecast +3.2% -.5 percentage point
- ECRI Weekly Leading Economic Index Growth Rate +3.4% -.2 percentage point
- Bloomberg US Recession Probability Next 12 Months 10.0% unch.
- NY Fed Real-Time Weekly Economic Index +7.6 -6.4%
- US Economic Policy Uncertainty Index 75.9 -10.4%
- S&P 500 Blended Forward 12 Months Mean EPS Estimate 214.55 +.15%
- Citi US Economic Surprise Index -23.8 +7.0 points
- Citi Eurozone Economic Surprise Index -59.7 +3.8 points
- Citi Emerging Markets Economic Surprise Index 3.7 +3.1 points
- Fed Fund Futures imply 100.0% chance of no change, 0.0% chance of rate hike on 11/3
- US Dollar Index 94.02 +.89%
- MSCI Emerging Markets Currency Index 1,722.26 -.38%
- Bitcoin/USD 47,464 +8.6%
- Euro/Yen Carry Return Index 132.87 -.8%
- Yield Curve 120.0 +1.0 basis point
- 10-Year US Treasury Yield 1.47% +2.0 basis points
- Federal Reserve's Balance Sheet $8.408 Trillion -.5%
- U.S. Sovereign Debt Credit Default Swap 16.43 +21.2%
- Illinois Municipal Debt Credit Default Swap 128.21 +4.3%
- Italian/German 10Y Yld Spread 104.0 +3.0 basis points
- China Sovereign Debt Credit Default Swap 46.06 +4.3%
- Brazil Sovereign Debt Credit Default Swap 204.18 +1.8%
- Israel Sovereign Debt Credit Default Swap 43.32 +1.8%
- South Korea Sovereign Debt Credit Default Swap 19.57 +.14%
- Russia Sovereign Debt Credit Default Swap 89.20 +3.0%
- China Corp. High-Yield Bond USD ETF(KHYB) 36.85 -.89%
- 10-Year TIPS Spread 2.39% +5.0 basis points
- TED Spread 9.75 +.75 basis point
- 2-Year Swap Spread 10.75 -1.0 basis point
- 3-Month EUR/USD Cross-Currency Basis Swap -15.75 -13.0 basis points
- N. America Investment Grade Credit Default Swap Index 52.33 +3.4%
- America Energy Sector High-Yield Credit Default Swap Index 315.0 +4.8%
- European Financial Sector Credit Default Swap Index 56.72 +2.5%
- Emerging Markets Credit Default Swap Index 181.76 +3.2%
- MBS 5/10 Treasury Spread 71.25 -3.0 basis points
- Markit CMBX BBB-6 71.5 -.25 basis point
- M2 Money Supply YoY % Change 13.2 +1.1 percentage points
- Commercial Paper Outstanding 1,184.90 -.3%
- 4-Week Moving Average of Jobless Claims 340,000 +1.3%
- Continuing Claims Unemployment Rate 2.0% -10.0 basis points
- Average 30-Year Mortgage Rate 3.01% +13.0 basis points
- Weekly Mortgage Applications 734,900 -1.1%
- Langer Consumer Comfort 54.7 -1.6 points
- Weekly Retail Sales +16.3% unch.
- Nationwide Gas $3.19/gallon unch.
- Baltic Dry Index 5,167 +11.3%
- China (Export) Containerized Freight Index 3,235.26 +2.5%
- Oil Tanker Rate(Arabian Gulf to U.S. Gulf Coast) 20.0 unch.
- Truckstop.com Market Demand Index 164.86 +6.2%
- Rail Freight Carloads 272,644 +.67%
- US Covid-19: 240 infections/100K people(last 7 days total) -33/100K people
- US Covid-19: 45% of Jan. 7th,2021 peak -6.0 percentage points
Best Performing Style
- Mid-Cap Value -1.5%
Worst Performing Style
- Mid-Cap Growth -4.9%
Leading Sectors
- Oil Service +5.7%
- Energy +4.7%
- Gambling +2.1%
- Banks +1.7%
- Defense +.2%
Lagging Sectors
- Medical Equipment -5.1%
- Retail -5.1%
- Biotech -6.0%
- Semis -6.1%
- Robotics -6.4%
Weekly High-Volume Stock Gainers (26)
- AVIR, METC, SPWR, MRK, TGI, CEIX, IFF, CF, UAL, NOG, VERX, DAL,
ULCC, PVAC, AMTX, SI, GOGO, VGR, INSW, BTU, CUK, OII, SGMS, GEL, HRI and
FUN
Weekly High-Volume Stock Losers (31)
- LZ, TLRY, PDSB, RGEN, GRTS, NUE, COMP, VERI, BAND, PRCH, ZYXI, LMND,
CHPT, SGFY, SLGC, XMTR, QDEL, REGN, ORMP, SWAV, UPST, RLAY, RXRX, MRNA,
MRVI, DVAX, NVAX, HG, VIR, IRNT and ADGI
ETFs
Stocks
*5-Day Change
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