Monday, April 14, 2025

Tomorrow's Earnings/Economic Releases of Note; Market Movers

Earnings of Note 
Company/Estimate 

Before the Open:
  • (ACI)/.41
  • (BAC)/.82
  • (C)/1.85
  • (JNJ)/2.58
  • (PNC)/3.38
After the Close: 
  • (IBKR)/1.92
  • (JBHT)/1.15
  • (OMC)/1.65
  • (UAL)/.74
Economic Releases

8:30 am EST

  • Empire Manufacturing for April is estimated to fall to -12.0 versus -20.0 in March.
  • The Import Price Index MoM for March is estimated unch. versus a +.4% gain in Feb.
  • Import Price Index Ex Petrol MoM for March is estimated to rise +.3% versus a +.4% gain in Feb.
  • The Export Price Index MoM for March is estimated unch. versus a +.1% gain in Feb.

Upcoming Splits

  • None of note
Other Potential Market Movers
  • The Fed's Cook speaking, weekly US retail sales reports, BofA Auto Summit, (OC) general meeting, (BK) annual meeting, (CCL) annual meeting and the (SHW) annual meeting could also impact global trading tomorrow.
US Equity Market Hours
  • 9:30 am - 4:00 pm EST

Mid-Day Market Internals

NYSE Composite Index:

  • Volume Running +.5% Above 100-Day Average 
  • Nasdaq/NYSE Volume Ratio 17.5 -.5
  • 2 Sectors Declining, 9 Sectors Rising
  • 61.9% of Issues Advancing, 36.9% Declining 
  • TRIN/Arms 1.39 +139.6%
  • Non-Block Money Flow +$4.7M
  • 15 New 52-Week Highs, 20 New Lows
  • 23.9% (+8.1%) of Issues Above 200-day Moving Average
  • Average 14-Day RSI 44.6 +1.0
Other:
  • Bloomberg Global Risk-On/Risk-Off Index 54.0 +10.0%
  • Bloomberg Cyclicals/Defensives Index 224.6 -1.2%
  • Russell 1000: Growth/Value 19,812.9 -.4%
  • CNN Fear & Greed Index 19.0 (EXTREME FEAR) +7.0
  • 1-Day Vix 39.0 -43.0%
  • Vix 34.0 -9.5%
  • Total Put/Call 1.10 +41.0%

Sunday, April 13, 2025

Monday Watch

Night Trading

  • Asian indices are +.75% to +1.75% on average.
  • Asia Ex-Japan Investment Grade CDS Index 115.75 -2.0 basis points.
  • China Sovereign CDS 73.0 -6.25 basis points.
  • China Iron Ore Spot 98.1 USD/Metric Tonne +1.0%.
  • Swiss Franc/Offshore Chinese Renminbi Cross 8.92 -.22% 
  • Bloomberg Emerging Markets Currency Index 36.79 -.11%.
  • Bloomberg Global Risk-On/Risk Off Index 49.5 +.4%.
  • US 10-Year Yield 4.47% -2.0 bps
  • Volatility Index(VIX) futures 27.6 -4.5%. 
  • Euro Stoxx 50 futures +2.4%.
  • S&P 500 futures +.93%.
  • NASDAQ 100 futures +1.4%.

BOTTOM LINE: Asian indices are higher, boosted by technology and industrial shares in the region. I expect US stocks to open higher and to maintain gains into the afternoon.  The Portfolio is 75% net long heading into the week.

Thursday, April 10, 2025

Friday Watch

Around X:

  • @elonmusk
  • @MarioNawfal
  • @WallStreetApes
  • @zerohedge
  • @yashar
  • @BillAckman
  • @JackPosobiec
  • @Breaking911  
  • @DC_Draino
  • Remember the hell we went through to get Justice Kavanaugh appointed? It was a full media blitz to smear and destroy him b/c Democrats knew we were getting a solid 5-4 conservative majority on the court. But then ACB was confirmed so easily after him and only a few weeks before the 2020 election. It was a breeze. I was a little surprised - why did they fight tooth & nail against Kavanaugh to stop a 5-4, but barely fought back against ACB for a 6-3? Now we know why. ACB was their sleeper.
  • @VigilantFox
Night Trading 
  • Asian equity indices are -4.75% to -2.75% on average.
  • Asia Ex-Japan Investment Grade CDS Index 121.0 +9.25 basis points.
  • China Sovereign CDS 81.25 +4.0 basis points.
  • China Iron Ore Spot 96.9 USD/Metric Tonne -.25%
  • Bloomberg Emerging Markets Currency Index 36.6 -.04%.
  • Bloomberg Global Risk-On/Risk Off Index 47.0 -2.0%.
  • Volatility Index(VIX) futures 31.1 +4.0%.
  • Euro Stoxx 50 futures -.9%.
  • S&P 500 futures -1.4%.
  • NASDAQ 100 futures -1.7%.  
Morning Preview Links

BOTTOM LINE: Asian indices are sharply lower, weighed down by technology and financial shares in the region. I expect US stocks to open lower and rally into the afternoon, finishing mixed.  The Portfolio is 25% net long heading into the day.

Stocks Sharply Lower into Final Hour on Higher Long-Term Rates, Overdone Rally Giveback, Technical Selling, Energy/Tech Sector Weakness

Broad Equity Market Tone:

  • Advance/Decline Line: Substantially Lower
  • Sector Performance: Almost Every Sector Falling
  • Volume: Heavy
  • Market Leading Stocks: Performing In Line
Equity Investor Angst:
  • Volatility(VIX) 42.5 +26.5%
  • S&P 500 Intraday % Swing 3.8 +82.8%
  • Bloomberg Global Risk On/Risk Off Index 48.0 -8.6%
  • Euro/Yen Carry Return Index 182.1 +1.4%
  • Emerging Markets Currency Volatility(VXY) 9.7 -3.8%
  • CBOE S&P 500 Implied Correlation Index 46.0 +17.1% 
  • ISE Sentiment Index 108.0 -21.0 points
  • Total Put/Call 1.10 +4.8%
  • NYSE Arms .89 +423.5%
  • NYSE Non-Block Money Flow -$285.1M 
Credit Investor Angst:
  • North American Investment Grade CDS Index 71.8 +5.7%
  • US Energy High-Yield OAS 533.1 +4.6%
  • Bloomberg TRACE # Distressed Bonds Traded 330.0 -18.0
  • European Financial Sector CDS Index 81.9 -10.6%
  • Deutsche Bank Subordinated 5Y Credit Default Swap 188.5 -10.8%
  • Italian/German 10Y Yld Spread 121.0 basis points -8.0 basis points
  • Asia Ex-Japan Investment Grade CDS Index 113.0 -11.0%
  • Emerging Market CDS Index 212.3 +5.3%
  • Israel Sovereign CDS 118.8 -1.8%
  • China Corp. High-Yield Bond USD ETF(KHYB) 23.0 -1.6%
  • 2-Year SOFR Swap Spread -25.0 basis points -3.0 basis points
  • 3M T-Bill Treasury Repo Spread -8.75 basis points -5.25 basis points
  • 3-Month EUR/USD Cross-Currency Basis Swap -3.5 +.75 basis point
  • MBS  5/10 Treasury Spread 158.0 +3.0 basis points
  • Bloomberg CMBS Investment Grade Bbb Average OAS 639.0 -1.0 basis points
  • Avg. Auto ABS OAS 66.0 +1.0 basis point
Economic Gauges:
  • Bloomberg Emerging Markets Currency Index 36.7 +.3%
  • 3-Month T-Bill Yield 4.31% -2.0 basis points
  • China Iron Ore Spot 97.5 USD/Metric Tonne +.3%
  • Dutch TTF Nat Gas(European benchmark) 33.3 euros/megawatt-hour -1.1%
  • Citi US Economic Surprise Index -15.4 -7.8 points
  • Citi Eurozone Economic Surprise Index 10.7 -1.0 point
  • Citi Emerging Markets Economic Surprise Index 2.9 +1.6 points
  • S&P 500 Current Quarter EPS Growth Rate YoY(22 of 500 reporting) +4.6% unch.
  • S&P 500 Blended Forward 12 Months Mean EPS Estimate 277.59 -.11:  Growth Rate +13.0% -.1 percentage point, P/E 18.7 +.8
  • S&P 500 Current Year Estimated Profit Margin 13.51% -1.0 basis point
  • NYSE FANG+ Current Quarter EPS Growth Rate YoY(0 of 10 reporting) n/a
  • NYSE FANG+ Blended Forward 12 Months Mean EPS Estimate 418.24 -.19: Growth Rate +20.9% -.1 percentage point, P/E 26.5 +1.5
  • Bloomberg US Financial Conditions Index -.79 +79.0 basis points
  • Bloomberg Euro-Zone Financial Conditions Index .22 -42.0 basis points
  • US Yield Curve 54.0 basis points (2s/10s) +8.5 basis points
  • US Atlanta Fed GDPNow Q1 Forecast -2.4% unch.
  • US Recession Within 6 Months Probability(3M/18M Forward Yld Curve Spread) 38.0% -2.4 percentage points
  • Cleveland Fed Inflation Nowcast Core PCE YoY +2.54% -14.0 basis points: CPI YoY +2.42% -7.0 basis points
  • 10-Year TIPS Spread 2.21 -8.0 basis points
  • Highest target rate probability for June 18th FOMC meeting: 63.4% (+3.7 percentage points) chance of 4.0%-4.25%. Highest target rate probability for July 30th meeting: 55.1%(+11.0 percentage points) chance of 3.75%-4.0%. (current target rate is 4.25-4.5%)
Overseas Futures:
  • Nikkei 225 Futures: Indicating -1,059 open in Japan 
  • China A50 Futures: Indicating -91 open in China
  • DAX Futures: Indicating +282 open in Germany
Portfolio:
  • Slightly Lower: On losses in my tech/industrial/consumer discretionary sector longs
  • Disclosed Trades: Added to my (IWM)/(QQQ) hedges, then covered some
  • Market Exposure: Moved to 25% net long

Bear Radar

Style Underperformer:

  • Small-Cap Value -5.2%
Sector Underperformers:
  • 1) Oil Service -10.2% 2) Semis -9.9% 3) Banks -7.5%
Stocks Falling on Unusual Volume: 
  • HOOD, DX, KLAC, INGM, SN, X, RKT, SMFG, CHCT, LULU, BBY, IVZ, A, APLE, CHX, DD, CPRI, BTU, UCB, JHX, EOG, DNTH, LYB, INMD, CVNA, BC, DOW, NLY, OXY, SHOP, ALB, CHRD, BRKR, TSLA, JAZZ, SLB, ICHR, AR, NKE, AA, HELE, MU, CCL, RH, SNDX, VAL, SOC, MCHP, JKS, CIVI, APA, NE, MBLY, KMX and SEDG
Stocks With Unusual Put Option Activity:
  • 1) INFY 2) APA 3) KMX 4) DFS 5) HOG
Stocks With Most Negative News Mentions:
  • 1) NKE 2) MU 3) SWKS 4) FLNC 5) VG
Sector ETFs With Most Negative Money Flow:
  • 1) KWEB 2) XLK 3) IBB 4) XLV 5) XLE