Wednesday, March 11, 2026

Bull Radar

Style Outperformer:

  • Large-Cap Growth -.3%
Sector Outperformers:
  • 1) Energy +2.7% 2) Computer Hardware +1.3% 3) Agriculture +1.1%
Stocks Rising on Unusual Volume:
  • NVTS, PZZA, HIMS, NBIS, VELO, ANRO, PRCT, TSSI, UNFI, CRWV, DOCN, WOLF, ORCL, ALAB, FSLY, IREN, UNF, CF, OUST, BNTX, SERV, PTNR, VG, AOSL, KLAR, PI, IPI, PSIX, AXTI, RCAT, YPF, CORZ, AAOI, AMPX, AESI, PBR, EC, UMAC, ANAB, RUN, NTSK, PRE, WULF, MEOH, MNTN, SGRY, BP, OXY, MNTN, CVE, FLNC, LUNR, WBI, LASR, NOG, DAR, INR and TASK
Stocks With Unusual Call Option Activity:
  • 1) UMC 2) OCGN 3) ASX 4) PZZA 5) GBTC 
Stocks With Most Positive News Mentions:
  • 1) DOMO 2) NBIS 3) PZZA 4) HIMS 5) OCGN
Sector ETFs With Most Positive Money Flow:
  • 1) XLK 2) XLF 3) KRE 4) XME 5) XLP
Charts:

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

Earnings of Note 
Company/Estimate 

Before the Open:
  • (DKS)/.23
  • (DG)/1.66
  • (GIII)/.59
  • (OLLI)/1.39 
After the Close: 
  • (ADBE)/5.87
  • (LEN)/.95
  • (RBRK)/-.11
  • (ULTA)/8.09
  • (ZUMZ)/1.08 
Economic Release 

8:30 am EST

  • The Trade Balance for Jan. is estimated at -$66.0B versus -$70.3B in Dec.
  • Initial Jobless Claims for last week is estimated to rise to 215K versus 213K the prior week.
  • Continuing Claims is estimated to fall to 1850K versus 1868K prior.
  • Housing Starts for Jan. is estimated to fall to 1341K versus 1404K in Dec.
  • Building Permits for January is estimated to fall to 1410K versus 1455K prior. 

12:00 pm EST

  • 4Q Household Change in Net Worth. 

Upcoming Splits

  • None of note
Other Potential Market Movers
  • The Fed's Bowman speaking, Atlanta Fed GDPNow Q1 update, 30Y Bond auction, IEA monthly report, Fed's weekly balance sheet report, weekly EIA natural gas inventory report, JPMorgan Gaming/Lodging/Restaurant/Leisure Management Access Forum, UBS Consumer/Retail Conference, (VMC) investor day, (JLL) investor meeting, (FFIV) annual meeting and the BofA Information/Business Services Conference 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 +1.8% Above 100-Day Average 
  • Nasdaq/NYSE Volume Ratio 12.3 +.5
  • 9 Sectors Declining, 2 Sectors Rising
  • 36.3% of Issues Advancing, 61.1% Declining 
  • TRIN/Arms .99 -22.7%
  • Non-Block Money Flow -$325.7M
  • 30 New 52-Week Highs, 60 New Lows
  • 53.9% (-3.0%) of Issues Above 200-day Moving Average
  • Average 14-Day RSI 36.0 -7.0
Polymarket: 
  • How long will the DHS shutdown last? 60+ days 43.0% unch.
  • Will China invade Taiwan by end of 2026? 9.0% -1.0 percentage point
  • Trump announces end of military operations against Iran by March 31st 49.0% +2.0 percentage points
Other:
  • Bloomberg Global Risk-On/Risk-Off Index 98.4 +1.3%
  • Global Monitor Iran Instability Index 100.0 +5.0
  • Strait of Hormuz Oil Tanker Traffic Curtailed Estimate 95.0% unch.
  • US High-Yield Tech Sector OAS Index 526.0 -5.5 basis points
  • Bloomberg Cyclicals/Defensives Index 247.7 +.4%
  • Morgan Stanley Growth vs Value Index 142.3 -.4%
  • CNN Fear & Greed Index 27.0 (FEAR) -4.0
  • 1-Day Vix 1.1 -19.5%
  • Vix 25.6 +2.5%
  • Total Put/Call .88 -7.4%

Tuesday, March 10, 2026

Wednesday Watch

Night Trading 

  • Asian equity indices are +.5% to +3.0% on average. 
  • Asia Ex-Japan Investment Grade CDS Index 74.5 -1.75 basis points.
  • China Sovereign CDS 44.75 -.25 basis point.
  • China Iron Ore Spot 104.2 USD/Metric Tonne +.5%. 
  • Crude Oil 83.68/bbl. +.3% 
  • Gold 5,208.8 USD/t oz. -.7%. 
  • Swiss Franc/Offshore Chinese Renminbi Cross 8.83 -.1%.
  • Bloomberg Emerging Markets Currency Index 35.84 unch.
  • Bloomberg Global Risk-On/Risk Off Index 97.6 +.3%.
  • US 10-Year Yield 4.14% -1.0 basis points.
  • Japan 30-Year Yield 3.45% +1.0 basis point. 
  • Volatility Index(VIX) futures 23.54 -1.6%.
  • Euro Stoxx 50 futures -.14%. 
  • S&P 500 futures +.43%.
  • NASDAQ 100 futures +.43%.
Morning Preview Links

BOTTOM LINE: Asian indices are mostly higher, boosted by technology and transport shares in the region. I expect US stocks to open modestly higher and to maintain gains into the afternoon.  The Portfolio is 50% net long heading into the day.

Stocks Reversing Slightly Lower into Final Hour on Higher Long-Term Rates, Oil Shock Fears, Supply Chain Disruption Worries, Healthcare/Defense Sector Weakness

Economic/Market Gauges:

  • North American Investment Grade CDS Index 55.0 -.6%
  • BofA Private Credit Proxy Index 72.7 +.5% 
  • Bloomberg US Securitized MBS/ABS/CMBS Avg. OAS .24 -2.0 basis points
  • BofA Global Financial Stress Indicator .31 +2.0 basis points
  • European Financial Sector CDS Index 61.1 -6.5%
  • Emerging Market CDS Index 137.2 -1.7%
  • Israel Sovereign CDS 77.0 -19.6% 
  • Bloomberg Global Trade Policy Uncertainty Index 1.2 unch.
  • Citi US Economic Surprise Index 29.4 +.8 point
  • Citi Eurozone Economic Surprise Index 9.70 unch.
  • Citi Emerging Markets Economic Surprise Index 37.0 +.2 point
  • S&P 500 Current Quarter EPS Growth Rate YoY(494 of 500 reporting) +13.7% unch.
  • S&P 500 Blended Forward 12 Months Mean EPS Estimate 324.58 +.27:  Growth Rate +16.9% +.1 percentage point, P/E 21.0 +.2
  • S&P 500 Current Year Estimated Profit Margin 14.77% +1.0 basis point
  • NYSE FANG+ Current Quarter EPS Growth Rate YoY(10 of 10 reporting) +28.1% unch.
  • NYSE FANG+ Blended Forward 12 Months Mean EPS Estimate 524.09 +.71: Growth Rate +31.7% +.2 percentage point, P/E 28.8 +.3
  • Bloomberg US Financial Conditions Index .14 +4.0 basis points
  • US Yield Curve 56.0 basis points (2s/10s) +1.75 basis points 
  • Bloomberg Industrial Metal Index 173.61 +1.0% 
  • Dutch TTF Nat Gas(European benchmark) 47.4 euros/megawatt-hour -16.0% 
  • US Recession Within 6 Months Probability(3M/18M Forward Yld Curve Spread) 28.5% +2.2 percentage points
  • US Atlanta Fed GDPNow Q1 Forecast +2.1% unch.
  • US 10-Year T-Note Yield 4.14% +4.0 basis points
  • 1-Year TIPS Spread 4.26 -8.0 basis points
  • Highest target rate probability for April 29th FOMC meeting: 85.1% (-3.1 percentage points) chance of 3.5%-3.75%. Highest target rate probability for June 17th meeting: 59.3%(-3.9 percentage points) chance of 3.5%-3.75%. (current target rate is 3.5-3.75%)
Overseas Futures:
  • Nikkei 225 Futures: Indicating +722 open in Japan 
  • China A50 Futures: Indicating -26 open in China
  • DAX Futures: Indicating +81 open in Germany
Portfolio:
  • Higher: On gains in my tech/biotech sector longs, index hedges and emerging market shorts
  • Disclosed Trades: Covered some of my (IWM)/(QQQ) hedges, then added them back
  • Market Exposure: 50% Net Long

Bear Radar

Style Underperformer:

  • Mid-Cap Growth -.7%
Sector Underperformers:
  • 1) Software -2.4% 2) Computer Services -1.8% 3) Healthcare Providers -1.5%
Stocks Falling on Unusual Volume: 
  • LXU, TLK, BBSI, CDRE, FLGT, CBOE, OXY, ABM, HHH, UNFI, MEOH, IPGP, BETA, WD, YETI, VIA, PSKY, CRSP, CNC and BNTX
Stocks With Unusual Put Option Activity:
  • 1) BAX 2) CNC 3) CVE 4) VFC 5) TECH
Stocks With Most Negative News Mentions:
  • 1) CNC 2) BNTX 3) NAVN 4) SNOW 5) BBWI
Sector ETFs With Most Negative Money Flow:
  • 1) XLK 2) XLF 3) XLP 4) XLI 5) XLC