Friday, August 06, 2021

Weekly Scoreboard*


S&P 500 4,434.32 +.9%*


 

 

 

 

 

 

 

 

 

 

 

 

The Weekly Wrap by Briefing.com. 

Indices
  • DJIA 35,169.76 +.7%
  • NASDAQ 14,819.43 +1.0%
  • Russell 2000 2,259.71 +1.1%
  • S&P 500 High Beta 74.35 +2.2%
  • Goldman 50 Most Shorted 334.70 +3.5%
  • Wilshire 5000 46,020.39 +.9%
  • Russell 1000 Growth 2,846.18 +.9%
  • Russell 1000 Value 1,588.37 +.91%
  • S&P 500 Consumer Staples 735.45 -.45%
  • MSCI Cyclicals-Defensives Spread 1,411.02 +.40%
  • NYSE Technology 4,253.19 +1.9%
  • Transports 14,471.54 +.12%
  • Utilities 931.35 +2.6%
  • Bloomberg European Bank/Financial Services 74.9 +4.4%
  • MSCI Emerging Markets 51.87 +.63%
  • HFRX Equity Hedge 1,446.33 +.13%
  • HFRX Equity Market Neutral 931.54 +.04%
Sentiment/Internals
  • NYSE Cumulative A/D Line 479,455 +.03%
  • Bloomberg New Highs-Lows Index 400 -259
  • Crude Oil Commercial Bullish % Net Position -37.1 +7.5%
  • CFTC Oil Net Speculative Position 449,764 +.23%
  • CFTC Oil Total Open Interest 2,326,985 +3.7%
  • Total Put/Call .90 +4.9%
  • OEX Put/Call 2.76 +32.5%
  • ISE Sentiment 115.0 +19.0 points
  • NYSE Arms .82 -57.3
  • Bloomberg Global Risk-On/Risk-Off Index 2,828.0 +231.0 points
  • Bloomberg Financial Conditions Index + Bubbles 5.66 +.7% 
  • Volatility(VIX) 16.6 -8.0%
  • S&P 500 Implied Correlation 48.7 -5.8%
  • G7 Currency Volatility (VXY) 6.0 +.2%
  • Emerging Markets Currency Volatility (EM-VXY) 8.9 +1.0%
  • Smart Money Flow Index 15,043.70 -.55%
  • ICI Money Mkt Mutual Fund Assets $4.501 Trillion -.03%
  • ICI Domestic Equity Long-Term Mutual Fund/ETFs Weekly Flows -3.361 Million
  • AAII % Bulls 36.1 -.3%
  • AAII % Bears 31.7 +31.5%
Futures Spot Prices
  • CRB Index 214.87 -1.6%
  • Crude Oil 68.55 -7.2%
  • Reformulated Gasoline 227.88 -2.5%
  • Natural Gas 4.17 +6.5%
  • Heating Oil 209.90 -4.4%
  • Gold 1,764.29 -2.9%
  • Silver 24.36 -4.8%
  • S&P GSCI Industrial Metals Index 470.79 -1.3%
  • Copper 434.50 -2.95%
  • US No. 1 Heavy Melt Scrap Steel 470.0 USD/Metric Tonne -3.1%
  • China Iron Ore Spot 162.6 USD/Metric Tonne -8.7%
  • Lumber 550.0 -13.6%
  • UBS-Bloomberg Agriculture 1,283.10 +1.43%
  • US Gulf NOLA Potash Spot 550.0 USD/Short Ton unch.
Economy
  • Atlanta Fed GDPNow Forecast +6.0% -.1 percentage point
  • ECRI Weekly Leading Economic Index Growth Rate +8.9% -2.2 percentage points
  • Bloomberg US Recession Probability Next 12 Months 10.0% unch.
  • NY Fed Real-Time Weekly Economic Index +8.29 -7.8%
  • US Economic Policy Uncertainty Index 145.66 +19.9%
  • S&P 500 Blended Forward 12 Months Mean EPS Estimate 210.38 +.93%
  • Citi US Economic Surprise Index -3.4 +10.4 points
  • Citi Eurozone Economic Surprise Index 26.3 -14.1 points
  • Citi Emerging Markets Economic Surprise Index 40.9 -8.4 points
  • Fed Fund Futures imply 100.0% chance of no change, 0.0% chance of rate hike on 9/22
  • US Dollar Index 92.79 +.78%
  • MSCI Emerging Markets Currency Index 1,734.86 +.29%
  • Bitcoin/USD 42,908 +3.4%
  • Euro/Yen Carry Return Index 133.87 -.44%
  • Yield Curve 103.0 -2.0 basis points
  • 10-Year US Treasury Yield 1.29% +6.0 basis points
  • Federal Reserve's Balance Sheet $8.196 Trillion +.17%
  • U.S. Sovereign Debt Credit Default Swap 9.33 unch.
  • Illinois Municipal Debt Credit Default Swap 123.82 +5.5%
  • Italian/German 10Y Yld Spread 103.0 -5.0 basis points
  • China Sovereign Debt Credit Default Swap 38.86 -1.2%
  • Brazil Sovereign Debt Credit Default Swap 182.31 +3.4%
  • Israel Sovereign Debt Credit Default Swap 39.24 -3.1%
  • South Korea Sovereign Debt Credit Default Swap 18.59 -.01%
  • Russia Sovereign Debt Credit Default Swap 87.22 +.21%
  • China Corp. High-Yield Bond USD ETF(KHYB) 37.80 +.46%
  • 10-Year TIPS Spread 2.35% -6.0 basis points
  • TED Spread 8.0 -.5 basis point
  • 2-Year Swap Spread 9.25 +1.5 basis points
  • 3-Month EUR/USD Cross-Currency Basis Swap -3.0 +1.75 basis points
  • N. America Investment Grade Credit Default Swap Index 48.93 -.88%
  • America Energy Sector High-Yield Credit Default Swap Index 335.0 +4.8%
  • European Financial Sector Credit Default Swap Index 53.09 -2.0%
  • Emerging Markets Credit Default Swap Index 164.51 +.01%
  • MBS 5/10 Treasury Spread 75.0 +3.5 basis points
  • Markit CMBX BBB-6 73.5 -.25 basis point
  • M2 Money Supply YoY % Change 12.2 unch.
  • Commercial Paper Outstanding 1,137.6 -.1%
  • 4-Week Moving Average of Jobless Claims 394,000 unch.
  • Continuing Claims Unemployment Rate 2.1% -.3 percentage point
  • Average 30-Year Mortgage Rate 2.77% -3.0 basis points
  • Weekly Mortgage Applications 734,300 -1.7%
  • Langer Consumer Comfort 53.3 +.1 point
  • Weekly Retail Sales +15.5% +.5 percentage point
  • Nationwide Gas $3.19/gallon +.03/gallon
  • Baltic Dry Index 3,376 +2.6%
  • China (Export) Containerized Freight Index 3,006.82 +2.62%
  • Oil Tanker Rate(Arabian Gulf to U.S. Gulf Coast) 18.0 +2.9%
  • Truckstop.com Market Demand Index 142.50 -7.3%
  • Rail Freight Carloads 273,565 +.16%
  • US Covid-19:  209 infections/100K people(last 7 days total) +65/100K people
  • US Covid-19:  39% of Jan. 7th,2021 peak +12.0 percentage points
Best Performing Style
  • Small-Cap Value +1.1%
Worst Performing Style
  • Mid-Cap Growth +.7%
Leading Sectors
  • Banks +4.9%
  • Disk Drives +4.6%
  • I-Banks +4.0%
  • Biotech +3.8%
  • Insurance +2.9%
Lagging Sectors
  • Steel -1.9%
  • Video Gaming -2.0%
  • Oil Service -2.6%
  • Social  Media -2.8%
  • Gold & Silver -5.0%
Weekly High-Volume Stock Gainers (32)
  • BTBT, GDYN, CNTY, BYSI, CSOD, JYNT, XENT, PCTY, CFLT, GDEN, CDXS, PFSI, PFSI, LTHM, CARG, AGFY, BHF, ONTO, MARA, OCFC, ASTR, UTHR, DVAX, VVNT, ACI, SEAS, OPCH, DMTK, MRSN, MSTR, OMCL and BCRX
Weekly High-Volume Stock Losers (16)
  • PTVE, ROAD, COLD, BAND, APP, EXPE, ENVX, ARNA, GRPN, TSP, CVET, PGNY, ZY, VMEO, FEYE and COLL
ETFs
Stocks
*5-Day Change

Stocks Slightly Higher into Afternoon on US Economic Optimism, Diminished Virus Lockdown Fears, Short-Covering, Financial/Energy Sector Strength

Broad Equity Market Tone:
  • Advance/Decline Line: Around Even
  • Sector Performance: Mixed
  • Volume: Below Average
  • Market Leading Stocks: Performing In Line
Equity Investor Angst:
  • Volatility(VIX) 16.5 -4.8%
  • Bloomberg Global Risk On/Risk Off Index 2,826.0 +160.0 points
  • Euro/Yen Carry Return Index 133.89 -.17%
  • Emerging Markets Currency Volatility(VXY) 8.88 +1.8%
  • S&P 500 Implied Correlation 47.6 +.6%
  • ISE Sentiment Index 115.0  unch.
  • Total Put/Call .91 +11.0%
  • NYSE Arms .78 -2.5%
Credit Investor Angst:
  • North American Investment Grade CDS Index 48.94 -1.6%
  • US Energy High-Yield OAS 436.14 -.79%
  • European Financial Sector CDS Index 53.0 -.74%
  • Italian/German 10Y Yld Spread 102.0 -1.0 basis point
  • Asia Ex-Japan Investment Grade CDS Index 90.0 -.01%
  • Emerging Market CDS Index 164.73 +.74%
  • China Corp. High-Yield Bond USD ETF(KHYB) 38.06 +.05%
  • 2-Year Swap Spread 9.25 +.75 basis point
  • TED Spread 8.0 +.25 basis point
  • 3-Month EUR/USD Cross-Currency Basis Swap -3.0 +.25 basis point
  • MBS  5/10 Treasury Spread  74.0 -.25 basis point
  • IHS Markit CMBX BBB- 6 73.5 unch.
Economic Gauges:
  • Bloomberg Emerging Markets Currency Index 59.48 -.63%
  • 3-Month T-Bill Yield .05% unch.
  • Yield Curve 103.0 +2.0 basis points
  • China Iron Ore Spot 163.25 USD/Metric Tonne -.54%
  • Citi US Economic Surprise Index -3.4 n/a
  • Citi Eurozone Economic Surprise Index 26.3 -6.5 points
  • Citi Emerging Markets Economic Surprise Index 40.9 +.9 point
  • 10-Year TIPS Spread 2.35 +3.0 basis points
  • 100.0% chance of no change at Nov. 3rd meeting, 100.0% chance of no change at Dec. 15th meeting
US Covid-19:
  • 209 new infections/100K people(last 7 days total) +7/100K people
  • 39% of Jan. 7th, 2021 peak(highest daily avg. new infections) +1.0 percentage point
Overseas Futures:
  • Nikkei 225 Futures: Indicating +90 open in Japan 
  • China A50 Futures: Indicating -125 open in China
  • DAX Futures: Indicating -5 open in Germany
Portfolio:
  • Higher: On gains in my consumer discretionary/industrial/medical sector longs
  • Disclosed Trades: None
  • Market Exposure: 100% Net Long

Bear Radar

 Style Underperformer:

  • Mid-Cap Growth -.5%
Sector Underperformers:
  • 1) Social Media -1.5% 2) Gold & Silver -1.5% 3) Biotech -1.5%
Stocks Falling on Unusual Volume: 
  • BAND, EGLE, Z, FNKO, FLS, EXPE, ENVX, RDFN, CVET, OLED, BIGC, ARNA, GRPN, QDEL, TSP, FROG, PGNY, IHRT, ZGNX, ZY, FEYE, COLL, VMEO, YMAB, NVAX and DRNA
Stocks With Unusual Put Option Activity:
  • 1) AVYA 2) FEYE 3) WY 4) BAX 5) NVAX
Stocks With Most Negative News Mentions:
  • 1) ZNGA 2) ZY 3) EXPE 4) FEYE 5) QUOT
Charts:

Bull Radar

Style Outperformer:
  • Small-Cap Value +1.1%
Sector Outperformers:
  • 1) Banks +2.7% 2) Oil Service +2.4% 3) Steel +2.3%
Stocks Rising on Unusual Volume:
  • RAMP, BYSI, SWCH, BTBT, SYNA, CNTY, GDYN, MVIS, CSOD, PRTS, JYNT, XENT, CFLT, PCTY, POST, GT, TGI, AXNX, UNIT, MGNI, PFSI, MARA, CTVA, AGFY, GDEN, MAXR, LTHM, ITRI, CARG, MNST, YELP, ONTO, BLL, ADTN, BHF, ACI, OCFC, DVAX, SEAS, EHTH, ASTR, MSTR, ORMP, MRSN, GPN, OPCH, FIS, FSLY and HLMN
Stocks With Unusual Call Option Activity:
  • 1) PRTY 2) GRPN 3) DVAX 4) AEP 5) XLB
Stocks With Most Positive News Mentions:
  • 1) ANY 2) SWCH 3) RAMP 4) GCI 5) SYNA

Morning Market Internals

NYSE Composite Index:
  • Volume Running -12.6% Below 100-Day Average 
  • 6 Sectors Rising, 5 Sectors Declining
  • 54.8% of Issues Advancing, 40.5% Declining
  • 131 New 52-Week Highs, 23 New Lows
  • 73.9% of Issues Above 200-day Moving Average
  • Average 14-Day RSI 47.8%
  • Bloomberg Global Risk-On/Risk-Off Index 2,821.0 +155.0 points
  • Russell 1000: Growth/Value 17,562 -.96%
  • Vix 16.9 -2.4%
  • Total Put/Call .74 -9.7%
  • TRIN/Arms .82 +2.5%

Thursday, August 05, 2021

Friday Watch

Evening Headlines
Bloomberg:           
Wall Street Journal:
Fox News:
NY Post: 
CNBC.com: 
Zero Hedge:
TheGatewayPundit.com:
Night Trading 
  • Asian equity indices are -.25% to +.5% on average.
  • Asia Ex-Japan Investment Grade CDS Index 89.0 unch.
  • China Sovereign CDS 38.75 -.25 basis point.
  • Bloomberg Emerging Markets Currency Index 59.84 -.03%.
  • Bloomberg Global Risk-On/Risk Off Index 2,621.0 -45.0 points.
  • Volatility Index(VIX) futures 21.4 +.43%.
  • FTSE 100 futures -.01%.
  • S&P 500 futures -.06%.
  • NASDAQ 100 futures unch. 
Morning Preview Links

Earnings of Note 
Company/Estimate 
 
Before the Open: 
  • (D)/.77
  • (DKNG)/-.58
  • (FLR)/.08
  • (GT)/.17
  • (LEA)/2.47
  • (MGA)/1.41
  • (NCLH)/-2.00
  • (NUAN)/.18
  • (SRCL)/.67
After the Close:
  • None of note
Economic Releases
8:30 am EST
  • The Change in Non-Farm Payrolls for July is estimated to rise to 870K versus 850K in June.
  • The Unemployment Rate for July is estimated to fall to 5.7% versus 5.9% in June.
  • Average Hourly Earnings MoM for July is estimated to rise +.3% versus a +.3% gain in June.
10:00 am EST
  • Wholesale Trade Sales MoM for June.
3:00 pm EST
  • Consumer Credit for June is estimated to fall to $23.0B versus $35.28B in May.
Upcoming Splits
  • None of note
Other Potential Market Movers
  • The China Trade Data report could also impact global trading today.
US Equity Market Hours
  • 9:30 am - 4:00 pm EST
BOTTOM LINE: Asian indices are mostly higher, boosted by industrial and financial shares in the region. I expect US stocks to open modestly higher and to weaken into the afternoon, finishing mixed. The Portfolio is 100% net long heading into the day.