- Volume Running +.2% Above 100-Day Average
- 7 Sectors Rising, 4 Sectors Declining
- 33.7% of Issues Advancing, 62.0% Declining
- 92 New 52-Week Highs, 16 New Lows
- 87.0% of Issues Above 200-day Moving Average
- Average 14-Day RSI 50.3%
- Bloomberg Global Risk-On/Risk-Off Index 3,295.0 +93.0 points
- Vix 16.8 -7.7%
- Total Put/Call .83 -13.5%
- TRIN/Arms 1.39 +28.7%
Portfolio Manager's Commentary on Investing and Trading in the U.S. Financial Markets
Thursday, June 17, 2021
Mid-Day Market Internals
NYSE Composite Index:
Wednesday, June 16, 2021
Thursday Watch
Night Trading
- Asian equity indices are -.75% to -.25% on average.
- Asia Ex-Japan Investment Grade CDS Index 83.75 +.5 basis point.
- China Sovereign CDS 36.75 +.75 basis point.
- Bloomberg Emerging Markets Currency Index 61.04 -.09%.
- Bloomberg Global Risk-On/Risk Off Index 3,191.0 -11.0 points.
- Volatility Index(VIX) futures 20.10 +2.43%.
- FTSE 100 futures -.49%.
- S&P 500 futures -.39%.
- NASDAQ 100 futures -.61%.
Earnings of Note
Company/Estimate
Before the Open:
- (CMC)/.83
- (JBL)/1.04
- (KR)/.99
After the Close:
- (ADBE)/2.82
- (SWBI)/1.08
Economic Releases
8:30 am EST
- The Philly Fed Business Outlook Index for June is estimated to fall to 30.5 versus 31.5 in May.
- Initial Jobless Claims for last week are estimated to fall to 360K versus 376K the prior week.
- Continuing Claims are estimated to fall to 3425K versus 3499K prior.
10:00 am EST
- The Leading Index for May is estimated to rise +1.3% versus a +1.6% gain in April.
Upcoming Splits
Other Potential Market Movers- None of note
- The Treasury Secretary Yellen's testimony to House, Eurozone CPI report, weekly Langer Consumer Comfort Index, weekly EIA natural gas inventory report, Goldman Digital Economy Conference and the RBC Capital Tech/Fintech Conference could also impact global trading today.
- 9:30 am - 4:00 pm EST
Stocks Lower into Final Hour on Fed Taper Worries, Rising Long-Term Rates, Dollar Strength, Metals&Mining/Homebuilding Sector Weakness
Broad Equity Market Tone:
- Advance/Decline Line: Substantially Lower
- Sector Performance: Most Sectors Declining
- Volume: Around Average
- Market Leading Stocks: Performing In Line
Equity Investor Angst:
- Volatility(VIX) 18.0 +6.0%
- Bloomberg Global Risk On/Risk Off Index 3,190.0 -168.0 points
- Euro/Yen Carry Return Index 137.10 -.6%
- Emerging Markets Currency Volatility(VXY) 8.6 -.7%
- S&P 500 Implied Correlation 36.2 +8.6%
- ISE Sentiment Index 147.0 +27.0 points
- Total Put/Call .90 +25.0%
- NYSE Arms 1.15 +26.4%
Credit Investor Angst:
- North American Investment Grade CDS Index 49.29 +1.2%
- US Energy High-Yield OAS 389.53 -1.5%
- European Financial Sector CDS Index 54.72 -.82%
- Italian/German 10Y Yld Spread 103.0 +1.0 basis point
- Asia Ex-Japan Investment Grade CDS Index 83.51 +.70%
- Emerging Market CDS Index 154.21 +1.42%
- China Corp. High-Yield Bond USD ETF(KCCB) 39.19 +.14%
- 2-Year Swap Spread 7.5 -.25 basis point
- TED Spread 10.5 -.25 basis point
- 3-Month EUR/USD Cross-Currency Basis Swap -3.5 -.25 basis point
- MBS 5/10 Treasury Spread 71.5 +.75 basis point
- IHS Markit CMBX BBB- 6 74.75 unch.
Economic Gauges:
- Bloomberg Emerging Markets Currency Index 61.17 -.43%
- 3-Month T-Bill Yield .04% +3.0 basis points
- Yield Curve 133.0 +1.0 basis point
- China Iron Ore Spot 206.0 USD/Metric Tonne -1.9%
- Citi US Economic Surprise Index 44.9 -5.1 points
- Citi Eurozone Economic Surprise Index 119.40 -3.2 points
- Citi Emerging Markets Economic Surprise Index 79.2 -7.1 points
- 10-Year TIPS Spread 2.34 -5.0 basis points
- 83.0% chance of no change at Sept. 22nd meeting, 83.2% chance of no change at Nov. 3rd meeting
Overseas Futures:
- Nikkei 225 Futures: Indicating +114 open in Japan
- China A50 Futures: Indicating -146 open in China
- DAX Futures: Indicating +25 open in Germany
Portfolio:
- Slightly Lower: On losses in my tech/biotech/industrial sector longs
- Disclosed Trades: None
- Market Exposure: 75% Net Long
Bear Radar
Style Underperformer:
- Small-Cap Value -.8%
- 1) Steel -1.9% 2) Banks -1.5% 3) Energy -1.2%
- NESR, UPST, C, ORCL, WISH, SAGE, CRSR, WOOF, HRB, RBLX, LZB and RAPT
- 1) ORCL 2) PGR 3) SRAX 4) LEN 5) OLLI
- 1) TAL 2) EDU 3) RBLX 4) LZB 5) HRB
Bull Radar
Style Outperformer:
- Large-Cap Growth +.1%
Sector Outperformers:
- 1) Alt Energy +1.3% 2) Shipping +.9% 3) Disk Drives +.3%
Stocks Rising on Unusual Volume:
- ALT, AVXL, RUN, FUV, MAXR, PTGX, SAVA, ZI, RMBS, ASAN, CNC, ASTS, CORT, TRHC, SUPN, MITK, WKHS, SOFI, CVGI and GLO
Stocks With Unusual Call Option Activity:
- 1) AMLP 2) ALT 3) HOME 4) KOPN 5) ORCL
Stocks With Most Positive News Mentions:
- 1) APRE 2) ALT 3) ARVL 4) MAXR 5) RUN
Mid-Day Market Internals
NYSE Composite Index:
- Volume Running -17.8% Below 100-Day Average
- 5 Sectors Rising, 6 Sectors Declining
- 49.0% of Issues Advancing, 46.3% Declining
- 140 New 52-Week Highs, 16 New Lows
- 88.3% of Issues Above 200-day Moving Average
- Average 14-Day RSI 52.2%
- Bloomberg Global Risk-On/Risk-Off Index 3,343.0 -15.0 points
- Vix 16.5 -3.1%
- Total Put/Call .90 +25.0%
- TRIN/Arms 1.14 +25.3%
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