S&P 500 876.07 -2.25%*
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Portfolio Manager's Commentary on Investing and Trading in the U.S. Financial Markets
Indices
S&P 500 876.07 -2.25%
DJIA 8,635.42 -2.19%
NASDAQ 1,509.31 -1.71%
Russell 2000 461.09 -2.55%
Wilshire 5000 8,708.95 -2.43%
Russell 1000 Growth 353.43 -3.26%
Russell 1000 Value 474.73 -1.52%
Morgan Stanley Consumer 536.69 -1.66%
Morgan Stanley Cyclical 456.18 -3.03%
Morgan Stanley Technology 326.47 -1.52%
Transports 3,433.33 -2.25%
Utilities 361.44 -5.44%
MSCI Emerging Markets 21.94 -3.94%
Sentiment/Internals
NYSE Cumulative A/D Line 15,952 unch.
Bloomberg New Highs-Lows Index -802 -230.04%
Bloomberg Crude Oil % Bulls 23.0 -27.2%
CFTC Oil Large Speculative Longs 180,960 +.91%
Total Put/Call .92 -36.55%
OEX Put/Call 1.59 -24.64%
ISE Sentiment 112.0 -18.25%
NYSE Arms .40 -60.0%
Volatility(VIX) 59.93 +8.41%
G7 Currency Volatility (VXY) 20.0 +1.57%
Smart Money Flow Index 6,890.59 +2.29%
AAII % Bulls 26.67 -14.66%
AAII % Bears 47.78 +6.44%
Futures Spot Prices
Crude Oil 40.81 -25.84%
Reformulated Gasoline 90.12 -26.28%
Natural Gas 5.74 -11.11%
Heating Oil 142.65 -18.39%
Gold 752.20 -8.16%
Base Metals 104.03 -13.13%
Copper 137.35 -17.51%
Agriculture 246.85 -13.58%
Economy
10-year US Treasury Yield 2.71% -21 basis points
10-year TIPS Spread .44% +8 basis points
TED Spread 2.18 unch.
N. Amer. Investment Grade Credit Default Swap Index 285.99 +19.76%
Emerging Markets Credit Default Swap Index 814.21 +11.91%
Citi US Economic Surprise Index -140.60 -19.56%
Fed Fund Futures imply 78.0% chance of 75 basis point cut, 22.0% chance of 50 basis point cut on 12/16
Iraqi 2028 Govt Bonds 41.0 -8.89%
4-Wk MA of Jobless Claims 524,500 +1.2%
Average 30-year Mortgage Rate 5.53% -44 basis points
Weekly Mortgage Applications 857,700 +112.09%
Weekly Retail Sales -.9%
Nationwide Gas $1.77/gallon -.07/gallon
US Heating Demand Next 7 Days 7.0% above normal
ECRI Weekly Leading Economic Index 109.90 +2.81%
US Dollar Index 87.12 +70%
Baltic Dry Index 663 -7.27%
CRB Index 208.60 -13.87%
Best Performing Style
Mid-cap Value -1.49%
Worst Performing Style
Mid-cap Growth -3.70%
Leading Sectors
Homebuilders +9.59%
Airlines +9.40%
Restaurants +6.64%
Retail +4.66%
Insurance +4.07%
Lagging Sectors
Steel -7.78%
Gold -11.10%
Energy -12.94%
Coal -20.62%
Oil Service -22.54%
Wall Street Journal:
AP:
TVNewser:
Yomiuri:
- North Korean leader Kim Jong Il’s health is worse than initially thought, citing a US source. Kim’s left side is paralyzed from a stroke he suffered on Aug. 14 for 15. The source said that while it’s unclear whether Kim is currently fit to rule, “it’s highly unlikely that he will fully return to power.” The US government has started to map out its strategy in the event Kim dies or is ousted from power.
China National Radio:
Style Underperformer:
Large-Cap Growth (-1.37%)
Sector Underperformers:
Papers (-4.16%), Energy (-2.50%) and Gold (-2.40%)
Stocks Falling on Unusual Volume:
GMXR, CHK, PCU, CVC, FCX, STO, SU, LAYN, CBST, LSTR, CPRT, STL, SFL, SON, MTR and TPP
Stocks With Unusual Put Option Activity:
1) CL 2) HIG 3) UPL 4) AUY 5) MEE