Friday, July 28, 2017

Weekly Scoreboard*

 The Weekly Wrap by Briefing.com.
 
Indices
  • S&P 500 2,470.96 -.1%
  • DJIA 21,821.80 +1.1%
  • NASDAQ 6,371.68 -.18%
  • Russell 2000 1,428.22 -.53%
  • S&P 500 High Beta 38.17 -.21%
  • Goldman 50 Most Shorted 139.20 +1.36%
  • Wilshire 5000 25,585.40 -.12%
  • Russell 1000 Growth 1,226.10 -.35%
  • Russell 1000 Value 1,150.42 +.11%
  • S&P 500 Consumer Staples 568.51 +.14%
  • Vanda Cyclicals-Defensives 1.3440 -.78%
  • Morgan Stanley Technology 1,526.51 -.74%
  • Transports 9,225.45 -2.63%
  • Utilities 723.01 -.32%
  • Bloomberg European Bank/Financial Services 102.0 +1.96%
  • MSCI Emerging Markets 43.69 +.35%
  • HFRX Equity Hedge 1,215.57 +.36%
  • HFRX Equity Market Neutral 1,000.94 +.30%
Sentiment/Internals
  • NYSE Cumulative A/D Line 298,544 -.03%
  • Bloomberg New Highs-Lows Index 609-176
  • Bloomberg Crude Oil % Bulls 58.5 -9.2%
  • CFTC Oil Net Speculative Position 396,459 +10.7%
  • CFTC Oil Total Open Interest 2,140,060 +.30%
  • Total Put/Call .80 +8.1%
  • OEX Put/Call .56 +16.7%
  • ISE Sentiment 99.0 +65.0%
  • NYSE Arms 1.39 +.7%
  • Volatility(VIX) 10.53 +13.78%
  • S&P 500 Implied Correlation 29.06 +4.95%
  • G7 Currency Volatility (VXY) 8.09 +3.32%
  • Emerging Markets Currency Volatility (EM-VXY) 7.52 +.13%
  • Smart Money Flow Index 19,711.30 +.24%
  • ICI Money Mkt Mutual Fund Assets $2.640 Trillion +.89%
  • ICI US Equity Weekly Net New Cash Flow -$3.327 Billion
  • AAII % Bulls 34.5 -2.9%
  • AAII % Bears 24.3 -5.8%
Futures Spot Prices
  • CRB Index 182.12 +3.09%
  • Crude Oil 49.77 +9.1%
  • Reformulated Gasoline 167.84 +7.85%
  • Natural Gas 2.94 -.44%
  • Heating Oil 164.21 +8.33%
  • Gold 1,269.10 +1.15%
  • Bloomberg Base Metals Index 184.60 +2.94%
  • Copper 287.90 +5.75%
  • US No. 1 Heavy Melt Scrap Steel 265.67 USD/Ton +.3%
  • China Iron Ore Spot 65.74 USD/Ton +4.68%
  • Lumber 377.40 -2.78%
  • UBS-Bloomberg Agriculture 1,091.06  -.8%
Economy
  • Atlanta Fed GDPNow Forecast +2.8 +20.0 basis points
  • ECRI Weekly Leading Economic Index Growth Rate +2.8% +20.0 basis points
  • Philly Fed ADS Real-Time Business Conditions Index .1253 -8.27% 
  • US Economic Policy Uncertainty Index 124.86 -4.43%
  • S&P 500 Blended Forward 12 Months Mean EPS Estimate 138.96 +.04%
  • Citi US Economic Surprise Index -44.50 +8.1 points
  • Citi Eurozone Economic Surprise Index 16.1 -10.3 points
  • Citi Emerging Markets Economic Surprise Index 15.70 +.7 point
  • Fed Fund Futures imply 84.0% chance of no change, 16.0% chance of 25 basis point hike on 9/20
  • US Dollar Index 93.41 -.70%
  • MSCI Emerging Markets Currency Index 1,622.64 +.27%
  • Euro/Yen Carry Return Index 135.80 +.53%
  • Yield Curve 94.0 +4.0 basis points
  • 10-Year US Treasury Yield 2.29% +5.0 basis points
  • Federal Reserve's Balance Sheet $4.426 Trillion -.26%
  • U.S. Sovereign Debt Credit Default Swap 22.99 +13.2%
  • Illinois Municipal Debt Credit Default Swap 370.0 -.05%
  • Western Europe Sovereign Debt Credit Default Swap Index 4.52 +18.0%
  • Asia Pacific Sovereign Debt Credit Default Swap Index 19.95 -4.36%
  • Emerging Markets Sovereign Debt CDS Index 48.41 -9.45%
  • Israel Sovereign Debt Credit Default Swap 68.47 +3.06%
  • South Korea Sovereign Debt Credit Default Swap 57.10 +.23%
  • Russia Sovereign Debt Credit Default Swap 163.79 +1.49%
  • iBoxx Offshore RMB China Corporate High Yield Index 140.50 +.12%
  • 10-Year TIPS Spread 1.82% +6.0 basis points
  • TED Spread 23.5 +8.0 basis points
  • 2-Year Swap Spread 24.75 +1.75 basis point
  • 3-Month EUR/USD Cross-Currency Basis Swap -28.50 -1.5 basis points
  • N. America Investment Grade Credit Default Swap Index 57.85 +1.45%
  • America Energy Sector High-Yield Credit Default Swap Index 433.0 -1.79%
  • European Financial Sector Credit Default Swap Index 50.22 +1.69%
  • Emerging Markets Credit Default Swap Index 191.34 -.81%
  • CMBS AAA Super Senior 10-Year Treasury Spread to Swaps 147.0 +.5 basis point
  • M1 Money Supply $3.487 Trillion -1.35%
  • Commercial Paper Outstanding 977.8 +.8%
  • 4-Week Moving Average of Jobless Claims 244,000 unch.
  • Continuing Claims Unemployment Rate 1.4% unch.
  • Average 30-Year Mortgage Rate 3.92% +4.0 basis points
  • Weekly Mortgage Applications 418.50 +.43%
  • Bloomberg Consumer Comfort 48.60 +1.0 point
  • Weekly Retail Sales +2.2% unch.
  • Nationwide Gas $2.30/gallon +.02/gallon
  • Baltic Dry Index 942.0 -3.58%
  • China (Export) Containerized Freight Index 874.38 -.34%
  • Oil Tanker Rate(Arabian Gulf to U.S. Gulf Coast) 25.0 unch.
  • Rail Freight Carloads 277,289 +.06%
Best Performing Style
  •  Large-Cap Value +.1%
Worst Performing Style
  •  Small-Cap Growth -.9%
Leading Sectors
  • Coal +2.8%
  • Energy +2.6%
  • Gold & Silver +2.2%
  • Retail +1.9%
  • Oil Service +.9%
Lagging Sectors
  • Tobacco -3.9% 
  • Disk Drives -4.5%
  • Airlines -5.3%
  • Education -7.2%
  • Hospitals -8.9%
Weekly High-Volume Stock Gainers (24)
  • SGMS, PETS, IRBT, DDS, WBMD, IVC, GNC, HCCI, BA, SNC, NTGR, ADP, BCO, CAI, SYRS, FBC, CHCT, BMI, CTAS, RETA, CNCE, CDNS, CLGX and PAH
Weekly High-Volume Stock Losers (47)
  • ASB, AI, MMI, POL, ANAB, MMM, FELE, ABG, ASTE, GOLF, DFRG, HAS, SXT, CSV, CR, FFBC, AAON, IART, ASGN, BWLD, MAN, USNA, TUP, UHS, HSTM, HAYN, AKAM, SANM, WNC, BLMN, HUBG, DPZ, WAB, DXPE, AFAM, IPG, STX, HSII, PCRX, AMED, CPLA, SAVE, HIBB, BPI, TGI, EGRX and TISI
Weekly Charts
ETFs
Stocks
*5-Day Change

Stocks Slightly Lower into Final Hour on Diminished Healthcare/Tax Reform Hopes, Earnings Concerns, Yen Strength, Tobacco/Restaurant Sector Weakness

Broad Equity Market Tone:
  • Advance/Decline Line: Lower
  • Sector Performance: Mixed
  • Volume: Around Average
  • Market Leading Stocks: Performing In Line
Equity Investor Angst:
  • Volatility(VIX) 10.82 +7.0%
  • Euro/Yen Carry Return Index 135.84 +.21%
  • Emerging Markets Currency Volatility(VXY) 7.52 +.4%
  • S&P 500 Implied Correlation 29.29 +4.5%
  • ISE Sentiment Index 99.0 +16.47%
  • Total Put/Call .78 -16.1%
  • NYSE Arms 1.64 +96.06%
Credit Investor Angst:
  • North American Investment Grade CDS Index 57.5 +1.17%
  • America Energy Sector High-Yield CDS Index 430.0 -.99%
  • European Financial Sector CDS Index 50.49 +1.25%
  • Western Europe Sovereign Debt CDS Index 4.52 +5.37%
  • Asia Pacific Sovereign Debt CDS Index 20.0 +.48%
  • Emerging Market CDS Index 191.39 -.18%
  • iBoxx Offshore RMB China Corporate High Yield Index 140.49 +.01%
  • 2-Year Swap Spread 24.5 unch.
  • TED Spread 23.5 +2.0 basis points
  • 3-Month EUR/USD Cross-Currency Basis Swap -28.50 +.5 basis point
Economic Gauges:
  • Bloomberg Emerging Markets Currency Index 73.91 +.04%
  • 3-Month T-Bill Yield 1.08% -2.0 basis points
  • Yield Curve 94.0 -1.0 basis point
  • China Import Iron Ore Spot $68.73/Metric Tonne -2.09%
  • Citi US Economic Surprise Index -44.50 -.7 points
  • Citi Eurozone Economic Surprise Index 16.10 unch.
  • Citi Emerging Markets Economic Surprise Index 15.70 +1.2 basis points
  • 10-Year TIPS Spread 1.82 unch.
  • 19.5% chance of Fed rate hike at Nov. 1 meeting, 48.4% chance at Dec. 13 meeting
Overseas Futures:
  • Nikkei 225 Futures: Indicating +76 open in Japan 
  • China A50 Futures: Indicating +46 open in China
  • DAX Futures: Indicating -5 open in Germany
Portfolio: 
  • Slightly Higher: On gains in my tech/biotech sector longs 
  • Disclosed Trades: Covered some of my (IWM)/(QQQ) hedges
  • Market Exposure: Moved to 75% Net Long

Bear Radar

Style Underperformer:
  • Small-Cap Value -.5%
Sector Underperformers:
  • 1) Tobacco -3.7% 2) Restaurants -3.1% 3) Papers -1.8%
Stocks Falling on Unusual Volume: 
  • ELLI, NUVA, MO, BOJA, X, MAT, GNC, WDC, POWI, MSTR, BTI, CYBE, ECHO, GT, PDFS, EROS, EGHT, SBUX, MULE, VGR, OZRK, WIX, EHTH, IMPV, HRC, FLS and ENVA
Stocks With Unusual Put Option Activity:
  • 1) MO 2) P 3) SBUX 4) PM 5) FSLR
Stocks With Most Negative News Mentions:
  • 1) MSTR 2) BOJA 3) ECHO 4) OZRK 5) EGHT
Charts:

Bull Radar

Style Outperformer:
  • Mid-Cap Growth -.1%
Sector Outperformers:
  • 1) Gold &Silver +1.7% 2) HMOs +1.1% 3) Alt Energy +.9%
Stocks Rising on Unusual Volume:
  • SAM, OMCL, BIDU, AAN, LMAT, BOFI, RUSHA, GNBC, FSLR, TACO, AZN, ARCB, ATRC, SPSC, LOGM, DEO, ACHC, MHK, SAIA, ADP, SKYW, NX, ALGN, CRAY, IRWD, AAN, ACHC, BOFI, SHLM, LAD, TACO, EXPE, SPWR, HIG and TVTY
Stocks With Unusual Call Option Activity:
  • 1) MAC 2) RCL 3) ALXN 4) MAT 5) DRI
Stocks With Most Positive News Mentions:
  • 1) BIDU 2) LMAT 3) ALGN 4) FSLR 5) COLM
Charts:

Morning Market Internals

NYSE Composite Index:

Thursday, July 27, 2017

Friday Watch

Evening Headlines
Bloomberg:
  • China Bond Opening Fails to Inspire Asian Funds Wary of Policy. Investors who were granted a new gateway to China’s $10 trillion bond market this month say accessibility was the least of their worries. Tokyo-based Mitsubishi UFJ Kokusai Asset Management says it’s avoiding Chinese corporate notes now because of uncertainties about the nation’s policy outlook. Japan’s Fukokushinrai Life Insurance Co. is reluctant unless China improves its debt market infrastructure such as credit ratings. Samsung Asset Management in Seoul says it would need to invest in lower-rated Chinese debt to earn sufficient yields when currency hedging costs are considered, but it’s uncomfortable doing so because of a lack of transparency in the market.
  • Asia Stocks Face Mixed Start; Dollar Rebounds. Stocks in Asia looked set for a mixed end to the week as the dollar recovered losses and investors digested a raft of earnings from Amazon.com Inc. to Baidu Inc. The American equity session was dominated by a bout of volatility that sent the Nasdaq 100 Index lower and pushed up the CBOE Volatility Index, though that eased late in the day. The dollar rebounded as data showed U.S. durable-goods orders climbed more than expected, while Treasuries fell. Japan’s Topix index fell 0.2 percent and Australia’s S&P/ASX 200 Index sank 0.9 percent. South Korea’s Kospi index declined 0.6 percent.
Wall Street Journal:
Zero Hedge:
Business Insider:
Night Trading 
  • Asian equity indices are -1.0% to -.25% on average.
  • Asia Ex-Japan Investment Grade CDS Index 81.50 -.5 basis point
  • Asia Pacific Sovereign CDS Index 20.0 -.25 basis point.
  • Bloomberg Emerging Markets Currency Index 73.85 -.04%.
  • S&P 500 futures -.36%.
  • NASDAQ 100 futures -.52%.
Morning Preview Links

Earnings of Note
Company/Estimate

  • (ABBV)/1.40
  • (AXL)/.83
  • (BHGE)/-.12
  • (B)/.68
  • (CVX)/.87
  • (XOM)/.86
  • (GT)/.73
  • (MRK)/.87 
  • (COL)/1.58
  • (WFT)/-.28
  • (WY)/.27
Economic Releases  
8:30 am EST
  • 2014-16 GDP revisions.
  • 2Q GDP is estimated to rise +2.6% versus a +1.4% gain in 1Q.
  • 2Q Personal Consumption is estimated to rise +2.8% versus a +1.1% gain in 1Q.
  • The 2Q GDP Price Index is estimated to rise +1.3% versus a +1.9% gain in 1Q.
  • The 2Q Core PCE is estimated to rise +.7% versus a +2.0% gain in 1Q.
  • The 2Q Employment Cost Index is estimated to rise +.6% versus a +.8% gain in 1Q.
Upcoming Splits
  • None of note
Other Potential Market Movers
  • The Fed's Kashkari speaking, Canada GDP report and the (CRUS) annual meeting could also impact trading today.
BOTTOM LINE:  Asian indices are mostly lower, weighed down by commodity and technology shares in the region. I expect US stocks to open modestly lower and to maintain losses into the afternoon.  The Portfolio is 50% net long heading into the day.