S&P 500 1,189.40 -.61% * The Weekly Wrap by Briefing.com.
*5-Day Change
IndicesS&P 500 1,189.40 -.61% DJIA 11,092.00 -.80% NASDAQ 2,534.56 +.80% Russell 2000 732.73 +1.65% Wilshire 5000 12,405.39 -.21% Russell 1000 Growth 550.20 +.46% Russell 1000 Value 597.35 -1.25% Morgan Stanley Consumer 714.65 -.70% Morgan Stanley Cyclical 952.53 +.04% Morgan Stanley Technology 637.90 +1.19% Transports 4,879.25 +.81% Utilities 392.64 -1.68% MSCI Emerging Markets 45.17 -2.68% Lyxor L/S Equity Long Bias Index 1,011.53 +.23% Lyxor L/S Equity Variable Bias Index 856.99 +.11% Lyxor L/S Equity Short Bias Index 763.0 -.91% Sentiment/Internals NYSE Cumulative A/D Line +106,973 +2.66% Bloomberg New Highs-Lows Index +281 +142 Bloomberg Crude Oil % Bulls 36.0 -23.4% CFTC Oil Net Speculative Position n/a CFTC Oil Total Open Interest n/a Total Put/Call .85 +2.47% OEX Put/Call 3.23 +186.55% ISE Sentiment 126.0 -.79% NYSE Arms 2.01 +240.68% Volatility(VIX) 22.22 +17.22% S&P 500 Implied Correlation Index n/a G7 Currency Volatility (VXY) 12.63 +6.31% Smart Money Flow Index 9,531.65 +1.82% Money Mkt Mutual Fund Assets $2.813 Trillion +.5% AAII % Bulls 47.40 +18.50% AAII % Bears 24.68 -24.06% Futures Spot Prices CRB Index 301.14 -.50% Crude Oil 83.75 +1.06% Reformulated Gasoline 220.80 -.60% Natural Gas 4.41 +4.94% Heating Oil 231.55 +.96% Gold 1,364.50 +.35% Bloomberg Base Metals 228.67 -.76% Copper 374.95 -2.54% US No. 1 Heavy Melt Scrap Steel 329.67 USD/Ton unch. China Hot Rolled Domestic Steel Sheet 4,364 Yuan/Ton -.14% S&P GSCI Agriculture 442.0 -1.65% Economy ECRI Weekly Leading Economic Index 126.40 +1.77% Citi US Economic Surprise Index +24.10 -5.6 points Fed Fund Futures imply 58.7% chance of no change, 41.3% chance of 25 basis point cut on 12/14 US Dollar Index 80.38 +2.20% Yield Curve 236.0 unch. 10-Year US Treasury Yield 2.87% unch. Federal Reserve's Balance Sheet $2.297 Trillion unch. U.S. Sovereign Debt Credit Default Swap 42.11 +3.87% California Municipal Credit Default Swap 315.60 +9.58% Western Europe Sovereign Debt Credit Default Swap Index 180.33 +10.63% 10-Year TIPS Spread 2.14% +1 basis point TED Spread 14.0 -1 basis point N. America Investment Grade Credit Default Swap Index 95.62 +5.06% Euro Financial Sector Credit Default Swap Index 138.08 +30.27% Emerging Markets Credit Default Swap Index 223.74 +2.36% CMBS Super Senior AAA 10-Year Treasury Spread 265.0 +5 basis points M1 Money Supply $1.880 Trillion unch. Business Loans 604.30 -.46% 4-Week Moving Average of Jobless Claims 436,000 -1.7% Continuing Claims Unemployment Rate 3.3% -10 basis points Average 30-Year Mortgage Rate 4.40% +1 basis point Weekly Mortgage Applications 728.80 +2.13% ABC Consumer Confidence -47 unch. Weekly Retail Sales +2.60% -10 basis points Nationwide Gas $2.86/gallon -.02/gallon U.S. Heating Demand Next 7 Days 3.0% above normal Baltic Dry Index 2,200 +1.66% Oil Tanker Rate(Arabian Gulf to U.S. Gulf Coast) 40.0 -11.11% Rail Freight Carloads 235,999 +1.34% Iraqi 2028 Government Bonds 89.75 -1.77% Best Performing Style Worst Performing Style Leading Sectors Disk Drives +3.90% Coal +2.86% Semis +2.72% Airlines +2.16% Gaming +1.88% Lagging Sectors Education -2.79% Steel -2.93% Banks -3.27% Homebuilders -3.37% Oil Tankers -3.98% One-Week High-Volume Gainers One-Week High-Volume Losers *5-Day Change
Style Underperformer:Sector Underperformers: 1) Gold -2.11% 2) Steel -1.79% 3) Homebuilders -1.39%Stocks Falling on Unusual Volume: STD, BCS, TEF, CEO, PBR, CETV, EWP, VE, PUK, EWQ and DFZ Stocks With Unusual Put Option Activity: 1) AFL 2) TTM 3) BCS 4) STD 5) BKStocks With Most Negative News Mentions: 1) MHS 2) MS 3) BA 4) GYMB 5) DY
Night Trading Asian equity indices are -.50% to +.25% on average. Asia Ex-Japan Investment Grade CDS Index 107.0 -1.0 basis point. Asia Pacific Sovereign CDS Index 106.0 -2.25 basis points. S&P 500 futures -.18% NASDAQ 100 futures -.14%. Morning Previ ew Links Earnings of Note Company/Estimate Economic Releases Upcoming Splits Other Potential Market Movers BOTTOM LINE: Asian indices are mostly lower, weighed down by financial and commodity shares in the region. I expect US stocks to open modestly lower and to rally into the afternoon, finishing mixed. The Portfolio is 100% net long heading into the day.
Style Outperformer:Small-Cap Growth (+1.94%) Sector Outperformers: 1) Homebuilders +3.45% 2) Airlines +2.90% 3) Semis +2.41% Stocks Rising on Unusual Volume: KB, CREE, ACTG, CISG, HRBN, AMZN, CSTR, GES, TIF, TTM, DDMX, WPRT, TGA, BONT, SIRO, GTLS, OPEN, ULTA, ITRI, TRLG, SNPS and ARBA Stocks With Unusual Call Option Activity: 1) MOO 2) TIF 3) TOL 4) XME 5) VRXStocks With Most Positive News Mentions: 1) JEC 2) STI 3) BODY 4) AEE 5) TIF