Wednesday, June 23, 2021

Afternoon Market Internals

NYSE Composite Index:

  • Volume Running -22.8% Below 100-Day Average 
  • 7 Sectors Rising, 4 Sectors Declining
  • 58.6% of Issues Advancing, 37.3% Declining
  • 164 New 52-Week Highs, 9 New Lows
  • 84.5% of Issues Above 200-day Moving Average
  • Average 14-Day RSI 46.5%
  • Bloomberg Global Risk-On/Risk-Off Index 3,377.0 +20.0 points
  • Vix 16.2 -2.5%
  • Total Put/Call .67 -14.1%
  • TRIN/Arms .76 -37.2%

Tuesday, June 22, 2021

Wednesday Watch

Night Trading 
  • Asian equity indices are -.25% to +.5% on average.
  • Asia Ex-Japan Investment Grade CDS Index 84.5 unch.
  • China Sovereign CDS 36.5 unch.
  • Bloomberg Emerging Markets Currency Index 60.64 -.02%.
  • Bloomberg Global Risk-On/Risk Off Index 3,333.0 -24.0 points.
  • Volatility Index(VIX) futures 18.65 -.94%.
  • FTSE 100 futures -.09%.
  • S&P 500 futures +.12%.
  • NASDAQ 100 futures +.20%. 
Morning Preview Links

Earnings of Note 
Company/Estimate 
 
Before the Open: 
  • (CCL)/-1.61
  • (INFO)/.80
  • (PDCO)/.52
  • (WGO)/1.77
After the Close:
  • (FUL)/.92
  • (KBH)/1.31
  • (SCS)/-.30
Economic Releases
8:30 am EST
  • The 1Q Current Account Balance is estimated at -$206.2B versus -$188.5B in 4Q.
9:45 am EST
  • The Markit US Manufacturing PMI for June is estimated to fall to 61.5 versus 62.1 in May.
  • The Markit US Services PMI for June is estimated to fall to 70.0 versus 70.4 in May.
10:00 am EST
  • New Home Sales for May is estimated to rise to 867K versus 863K in April.
Upcoming Splits
  • None of note
Other Potential Market Movers
  • The Fed's Bowman speaking, Eurozone PMI report, weekly MBA Mortgage Applications report, Sidoti Investor Conference and the (GSK) investor update could also impact global trading today.
US Equity Market Hours
  • 9:30 am - 4:00 pm EST
BOTTOM LINE: Asian indices are mostly higher, boosted by technology and healthcare shares in the region. I expect US stocks to open mixed and to rally into the afternoon, finishing modestly higher. The Portfolio is 100% net long heading into the day.

Stocks Higher into Final Hour on Stable Long-Term Rates, Less Hawkish Fed Commentary, Short-Covering, Commodity/Consumer Discretionary Sector Strength

Broad Equity Market Tone:

  • Advance/Decline Line: Lower
  • Sector Performance: Mixed
  • Volume: Below Average
  • Market Leading Stocks: Performing In Line
Equity Investor Angst:
  • Volatility(VIX) 17.2 -3.9%
  • Bloomberg Global Risk On/Risk Off Index 3,317.0 +181.0 points
  • Euro/Yen Carry Return Index 136.56 +.54%
  • Emerging Markets Currency Volatility(VXY) 8.9 -1.1%
  • S&P 500 Implied Correlation 48.2 -.41%
  • ISE Sentiment Index 95.0  -15.0 points
  • Total Put/Call .78 -4.9%
  • NYSE Arms .94 +129.2%
Credit Investor Angst:
  • North American Investment Grade CDS Index 49.17 -.95%
  • US Energy High-Yield OAS 393.32 +.16%
  • European Financial Sector CDS Index 54.4 -2.2%
  • Italian/German 10Y Yld Spread 106.0 +1.0 basis points
  • Asia Ex-Japan Investment Grade CDS Index 85.09 -.14%
  • Emerging Market CDS Index 157.10 -.25%
  • China Corp. High-Yield Bond USD ETF(KCCB) 39.07 -.43%
  • 2-Year Swap Spread 7.0 +.25 basis point
  • TED Spread 10.0 -.75 basis point
  • 3-Month EUR/USD Cross-Currency Basis Swap -3.75 +.5 basis point
  • MBS  5/10 Treasury Spread  72.25 -1.0 basis points
  • IHS Markit CMBX BBB- 6 73.25 +.25 basis point
Economic Gauges:
  • Bloomberg Emerging Markets Currency Index 60.62 +.30%
  • 3-Month T-Bill Yield .04% +1.0 basis point
  • Yield Curve 124.0 +1.0 basis point
  • China Iron Ore Spot 202.75 USD/Metric Tonne +1.2%
  • Citi US Economic Surprise Index 46.2 -.3 point
  • Citi Eurozone Economic Surprise Index 89.10 -2.5 points
  • Citi Emerging Markets Economic Surprise Index 76.5 +.2 point
  • 10-Year TIPS Spread 2.32 +4.0 basis points
  • 100.0% chance of no change at Nov. 3rd meeting, 100.0% chance of no change at Dec. 15th meeting
Overseas Futures:
  • Nikkei 225 Futures: Indicating -64 open in Japan 
  • China A50 Futures: Indicating -66 open in China
  • DAX Futures: Indicating -23 open in Germany
Portfolio:
  • Higher: On gains in my commodity/industrial/tech/medical sector longs
  • Disclosed Trades: None
  • Market Exposure: 100% Net Long

Bear Radar

 Style Underperformer:

  • Small-Cap Value -.2%
Sector Underperformers:
  • 1) Airlines -1.2% 2) Disk Drives -.8% 3) Oil Service -.6%
Stocks Falling on Unusual Volume: 
  • AVXL, MSTR, ITOS, ASAN, FOCS, CORT and SAVA
Stocks With Unusual Put Option Activity:
  • 1) TRCH 2) DDD 3) DRI 4) BG 5) KWEB
Stocks With Most Negative News Mentions:
  • 1) TRCH 2) MVIS 3) EBON 4) MSTR 5) BLCT
Charts:

Bull Radar

Style Outperformer:
  • Mid-Cap Growth +.9%
Sector Outperformers:
  • 1) Shipping +1.3% 2) Retail +1.2% 3) Agriculture +1.1%
Stocks Rising on Unusual Volume:
  • DDD, SSYS, FIGS, SBH, DOCN, TUP, NVRO, SPLK, PLUG, UPWK, SPCE, CRWD, CLOV, CVNA, XONE, NTNX, EVRI, BIG, MGNX, ROKU, PTRA, AEO, EMKR, KFY, TDC, HUN and DM
Stocks With Unusual Call Option Activity:
  • 1) FIS 2) HUN 3) TRCH 4) WWR 5) SSYS
Stocks With Most Positive News Mentions:
  • 1) SBH 2) TUP 3) SAFM 4) SSYS 5) GSAT

Mid-Day Market Internals

NYSE Composite Index:

  • Volume Running -24.4% Below 100-Day Average 
  • 9 Sectors Rising, 2 Sectors Declining
  • 43.4% of Issues Advancing, 52.9% Declining
  • 79 New 52-Week Highs, 15 New Lows
  • 85.1% of Issues Above 200-day Moving Average
  • Average 14-Day RSI 47.3%
  • Bloomberg Global Risk-On/Risk-Off Index 3,321.0 +185.0 points
  • Vix 16.89 -5.6%
  • Total Put/Call .72 -6.1%
  • TRIN/Arms 1.16 +182.90%