Friday, November 29, 2013

Monday Watch

Weekend Headlines 
Bloomberg:
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        Wall Street Journal:

            Marketwatch.com:

            Fox News:
               
               
               
            CNBC:

                ValueWalk:
                Business Insider:
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                IBD: 

                Wall Street All-Stars:
                New York Times:



                LA Times:

                New York Post: 





                Washington Post:
                   
                   
                CNN:
                FXStreet:

                Reuters:
                   
                   
                   
                  USA Today:


                  AP:

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                    Telegraph:
                       
                       
                       
                    The Guardian:


                    Welt am Sonntag:

                    Bild:

                    NZZ am Sonntag:



                    Der Spiegel: 



                    Handelsblatt:




                    WirtschaftsWoche:


                    FAZ:



                    Journal du Dimanche:

                    El Pais:

                    ABC:
                    CTV:

                    The Economic Times:
                    Yonhap News:

                    Jiji:

                    Asahi:

                    Focus Taiwan:

                    Daily Telegraph:

                    Sydney Morning Herald:

                    CNA:

                    AsianInvestor:

                    Shanghai Securities News: 


                    Xinhua:

                    21st Century Business Herald:

                    China Daily:



                    China Securities Journal:
                       
                       
                    Shanghai Securities News:

                    Hexun:

                    Sunday's Zaman:



                    Weekend Recommendations
                    Barron's:
                    • Bullish commentary on .
                    • Bearish commentary on .
                    Citigroup:
                    • Downgraded . 
                    Night Trading
                    • Asian indices are . to +% on average.
                    • Asia Ex-Japan Investment Grade CDS Index 144.0 .
                    • Asia Pacific Sovereign CDS Index 111.0  basis point.
                    • FTSE-100 futures +.%.
                    • S&P 500 futures -.%.
                    • NASDAQ 100 futures +.%.
                    Morning Preview Links

                    Earnings of Note

                    Company/Estimate
                    • (WWW)/.20
                    • (GPC)/.91
                    • (CPLA)/.77
                    • (DUK)/.95
                    • (MDT)/.91
                    • (KO)/.46
                    • (OII)/.84
                    • (PNRA)/1.94
                    • (TEX)/.49
                    • (FLS)/1.05
                    • (CRMT)/.70
                    • (FLR)/.98
                    • (CF)/4.41
                    • (ADI)/.49
                    Economic Releases 
                    8:30 am EST
                    • Empire Manufacturing for February is estimated to fall to 9.0 versus 12.51 in January.
                    9:00 am EST
                    • Net Long-Term TIC Flows for December are estimated at $30.0B versus -$29.3B in November.
                    10:00 am EST
                    • The NAHB Housing Market Index for February is estimated at 56 versus 56 in January.
                    Upcoming Splits
                    • (ANDE) 3-for-2
                    • (OTEX) 2-for-1
                    Other Potential Market Movers
                    • The Reserve Bank of Australia minutes, BoJ decision, German ZEW Index and UK inflation data could also impact trading today.
                    BOTTOM LINE: Asian indices are mostly higher, boosted by consumer and real estate shares in the region. I expect US stocks to open mixed and to rally into the afternoon, finishing modestly higher. The Portfolio is 75% net long heading into the week.

                    Market Week in Review

                    S&P 500 1,805.75 +.55%*


                     photo ytg_zpsbe3bba60.png

                    The Weekly Wrap by Briefing.com.


                    *5-Day Change

                    Weekly Scoreboard*

                    Indices
                    • S&P 500 1,805.75 +.55%
                    • DJIA 16,o86.40 +.48%
                    • NASDAQ 4,059.88 +2.29%
                    • Russell 2000 1,142.89 +2.08%
                    • S&P 500 High Beta 29.40 +.77%
                    • Wilshire 5000 18,947.90 +.67%
                    • Russell 1000 Growth 840.95 +1.10%
                    • Russell 1000 Value 906.51 unch.
                    • S&P 500 Consumer Staples 441.58 -.02%
                    • Morgan Stanley Cyclical 1,432.60 +1.39%
                    • Morgan Stanley Technology 867.77 +1.16%
                    • Transports 7,235.69 +.87%
                    • Utilities 487.13 -1.76%
                    • Bloomberg European Bank/Financial Services 106.88 +2.25%
                    • MSCI Emerging Markets 42.20 +1.07%
                    • HFRX Equity Hedge 1,147.54 +.37%
                    • HFRX Equity Market Neutral 949.60 -.02%
                    Sentiment/Internals
                    • NYSE Cumulative A/D Line 195,776 +1.48%
                    • Bloomberg New Highs-Lows Index 615 +466
                    • Bloomberg Crude Oil % Bulls 31.03 n/a
                    • CFTC Oil Net Speculative Position 313,160 n/a
                    • CFTC Oil Total Open Interest 1,620,640 n/a
                    • Total Put/Call .80 -14.89%
                    • OEX Put/Call .74 -46.76%
                    • ISE Sentiment 164.0 +13.89%
                    • NYSE Arms 1.29 +9.0%
                    • Volatility(VIX) 13.69 +8.61%
                    • S&P 500 Implied Correlation 54.37 -3.83%
                    • G7 Currency Volatility (VXY) 8.21 +1.73%
                    • Emerging Markets Currency Volatility (EM-VXY) 8.83 +2.79%
                    • Smart Money Flow Index 12,086.81 +.61%
                    • ICI Money Mkt Mutual Fund Assets $2.678 Trillion +.57%
                    • ICI US Equity Weekly Net New Cash Flow $3.973 Billion -26.9%
                    • AAII % Bulls 47.3 +37.5%
                    • AAII % Bears 28.3 -4.2%
                    Futures Spot Prices
                    • CRB Index 274.98 -.05%
                    • Crude Oil 92.89 -2.12%
                    • Reformulated Gasoline 267.05 -1.53%
                    • Natural Gas 3.95 +5.83%
                    • Heating Oil 303.65 +1.51%
                    • Gold 1,251.50 +.76%
                    • Bloomberg Base Metals Index 185.80 -1.0%
                    • Copper 323.05 +1.46%
                    • US No. 1 Heavy Melt Scrap Steel 360.67 USD/Ton unch.
                    • China Iron Ore Spot 136.40 USD/Ton -.07%
                    • Lumber 364.80 +.77%
                    • UBS-Bloomberg Agriculture 1,387.01 +.10%
                    Economy
                    • ECRI Weekly Leading Economic Index Growth Rate 2.7% +30 basis points
                    • Philly Fed ADS Real-Time Business Conditions Index .0642 +4.05%
                    • S&P 500 Blended Forward 12 Months Mean EPS Estimate 119.77 +.14%
                    • Citi US Economic Surprise Index 6.90 +.2 point
                    • Citi Emerging Markets Economic Surprise Index -15.0 -.7 point
                    • Fed Fund Futures imply 34.0% chance of no change, 66.0% chance of 25 basis point cut on 12/18
                    • US Dollar Index 80.65 +.02%
                    • Euro/Yen Carry Return Index 145.11 +1.41%
                    • Yield Curve 246.0 unch.
                    • 10-Year US Treasury Yield 2.74% unch.
                    • Federal Reserve's Balance Sheet $3.864 Trillion n/a
                    • U.S. Sovereign Debt Credit Default Swap 30.45 +1.90%
                    • Illinois Municipal Debt Credit Default Swap 186.0 -2.47%
                    • Western Europe Sovereign Debt Credit Default Swap Index 60.0 -4.0%
                    • Asia Pacific Sovereign Debt Credit Default Swap Index 107.20 +5.38%
                    • Emerging Markets Sovereign Debt CDS Index 234.34 +1.89%
                    • Israel Sovereign Debt Credit Default Swap 106.0 -2.0%
                    • Egypt Sovereign Debt Credit Default Swap 629.85 -5.29%
                    • China Blended Corporate Spread Index 350.50 -2.5 basis points
                    • 10-Year TIPS Spread 2.16% -4 basis points
                    • TED Spread 18.25 +1.25 basis points
                    • 2-Year Swap Spread 9.75 unch.
                    • 3-Month EUR/USD Cross-Currency Basis Swap -3.5 -1.75 basis points
                    • N. America Investment Grade Credit Default Swap Index 69.56 -.11%
                    • European Financial Sector Credit Default Swap Index 97.65 -4.28%
                    • Emerging Markets Credit Default Swap Index 293.18 +1.55%
                    • CMBS AAA Super Senior 10-Year Treasury Spread  to Swaps 110.0 +7.0 basis points
                    • M1 Money Supply $2.587 Trillion n/a
                    • Commercial Paper Outstanding 1,059.20 +.50%
                    • 4-Week Moving Average of Jobless Claims 331,800 -6,700
                    • Continuing Claims Unemployment Rate 2.1% -10 basis points
                    • Average 30-Year Mortgage Rate 4.29% +7 basis points
                    • Weekly Mortgage Applications 449.60 -.33%
                    • Bloomberg Consumer Comfort -33.70 +.9 point
                    • Weekly Retail Sales +3.50% +10 basis points
                    • Nationwide Gas $3.28/gallon +.04/gallon
                    • Baltic Dry Index 1,719 +14.67%
                    • China (Export) Containerized Freight Index 1,066.22 +.08%
                    • Oil Tanker Rate(Arabian Gulf to U.S. Gulf Coast) 37.50 unch.
                    • Rail Freight Carloads 267,759 +.42%
                    Best Performing Style
                    • Small-Cap Value +2.1%
                    Worst Performing Style
                    • Mid-Cap Value -.1%
                    Leading Sectors
                    • Biotech +4.6%
                    • Airlines +3.4%
                    • Computer Hardware +3.2%
                    • HMOs +2.5%
                    • Defense +2.2%
                    Lagging Sectors
                    • REITs -1.4% 
                    • Steel -1.6%
                    • Computer Services -1.6%
                    • Utilities -1.8%
                    • Oil Service -2.4%
                    Weekly High-Volume Stock Gainers (24)
                    • BONT, UVE, ENTA, KCG, ENT, SPLK, WETF, IIIN, TWC, JOSB, WDAY, CSII, ANIK, DAKT, TIF, POST, FBRC, BERY, LGND, NLSN, WAIR, CBF, BKS and MENT
                    Weekly High-Volume Stock Losers (14)
                    • DLTR, ROST, ADT, OGE, GME, GEOS, LL, LQDT, NUAN, TFM, BRLI, DLLR, TLYS and BLOX
                    Weekly Charts
                    ETFs
                    Stocks
                    *5-Day Change

                    Stocks Rising into Final Hour on Seasonality, Weak Yen, Investor Performance Angst, Tech/Commodity Sector Strength

                    Broad Equity Market Tone:
                    • Advance/Decline Line: Higher
                    • Sector Performance: Most Sectors Rising
                    • Volume: Light
                    • Market Leading Stocks: Performing In Line
                    Equity Investor Angst:
                    • Volatility(VIX) 13.01 +.23%
                    • Euro/Yen Carry Return Index 145.36 +.15%
                    • Emerging Markets Currency Volatility(VXY) 8.83 -.23%
                    • S&P 500 Implied Correlation 53.58 -.78%
                    • ISE Sentiment Index 165.0 +35.25%
                    • Total Put/Call .80 unch.
                    • NYSE Arms .81 -19.68% 
                    Credit Investor Angst:
                    • North American Investment Grade CDS Index 69.65 +1.29%
                    • European Financial Sector CDS Index 97.02 +2.10%
                    • Western Europe Sovereign Debt CDS Index 61.0 -.79%
                    • Emerging Market CDS Index 293.39 n/a
                    • 2-Year Swap Spread 9.25 +.75 basis point
                    • TED Spread 18.25 +.5 basis point
                    • 3-Month EUR/USD Cross-Currency Basis Swap -3.5 unch.
                    Economic Gauges:
                    • 3-Month T-Bill Yield .06% unch.
                    • Yield Curve 247.0 +2 basis points
                    • China Import Iron Ore Spot $136.40/Metric Tonne unch.
                    • Citi US Economic Surprise Index 6.90 -1.7 points
                    • Citi Emerging Markets Economic Surprise Index -15.0 +1.0 point
                    • 10-Year TIPS Spread 2.16 unch.
                    Overseas Futures:
                    • Nikkei Futures: Indicating +67 open in Japan
                    • DAX Futures: Indicating +5 open in Germany
                    Portfolio: 
                    • Higher: On gains in my tech/biotech sector longs
                    • Disclosed Trades: Added to my (IWM)/(QQQ) hedges
                    • Market Exposure: Moved to 50% Net Long

                    Bear Radar

                    Style Underperformer:
                    • Mid-Cap Growth -.02%
                    Sector Underperformers:
                    • 1) REITs -.90% 2) Homebuilders -.53% 3) Airlines -.30%
                    Stocks Falling on Unusual Volume:
                    • FTNT, THOR, CRM, WTI, JKS, PXD, HI and HITT
                    Stocks With Unusual Put Option Activity:
                    • 1) HL 2) TJX 3) HCA 4) OXY 5) EBAY
                    Stocks With Most Negative News Mentions:
                    • 1) F 2) PXD 3) MA 4) FTNT 5) TSLA
                    Charts:

                    Bull Radar

                    Style Outperformer:
                    • Large-Cap Growth +.27%
                    Sector Outperformers:
                    • 1) Gold & Silver +1.96% 2) Steel +1.68% 3) Construction +.81%
                    Stocks Rising on Unusual Volume:
                    • BCS and RIO
                    Stocks With Unusual Call Option Activity:
                    • 1) TJX 2) FTNT 3) LTD 4) ARAY 5) AMD
                    Stocks With Most Positive News Mentions:
                    • 1) WFM 2) WMT 3) AMZN 4) AAPL 5) M
                    Charts: