Relief Overdue For Gored Equity Bulls

posted in: Derivatives, Equities, Technicals | 0

US stocks have come under immense downward pressure of late. Amidst this came signs late last week that a relief was overdue. Several indicators are languishing in oversold territory, an unwinding of which could unleash upward pressure for stocks. The … Continued

CoT: Peek Into Future Through Futures, How Hedge Funds Are Positioned

Following futures positions of non-commercials are as of April 26, 2022. 10-year note: Currently net short 117.8k, down 214.5k. The FOMC meets next week. This will be the year’s third, and five more remain after this. In the March meeting, … Continued

Reflex Rally Due In Major Equity Indices – Possible Catalysts Include 1Q Results From Major Tech Outfits Or Upcoming FOMC Meeting

posted in: Credit, Economy, Equities, Technicals | 0

An oversold reflex rally is due in major US indices. This week, major tech outfits report their March quarter. This could act as a catalyst. If post-earnings reaction instead acts as a headwind, the FOMC meets on May 3-4. The … Continued

CoT: Peek Into Future Through Futures, How Hedge Funds Are Positioned

Following futures positions of non-commercials are as of April 19, 2022. 10-year note: Currently net short 332.3k, up 32.4k. A 50-basis-point increase in the fed funds rate is pretty much sealed in the May 3-4 meeting. Jerome Powell, Federal Reserve … Continued

Margin Debt And Foreigners Medium- To Long-Term Equity Headwinds; Near-Term, S&P 500 Oversold

posted in: Equities, Technicals | 0

Two important data points came out last week and both are acting as headwinds. Margin debt and foreigners’ buying behavior are likely to continue to maintain the current trajectory medium- to long-term. Near-term, technical indicators are oversold, with the S&P … Continued

Ahead Of Start Of 1Q Earnings Season, Russell 2000 Acts Much Weaker Than S&P 500

posted in: Credit, Economy, Equities, Technicals | 0

The 1Q earnings season begins in earnest this week, with a host of financials getting the ball rolling. For large-caps, this year’s revision trend is flat to slightly up, but next year’s is decidedly up, which is kind of interesting … Continued

CoT: Peek Into Future Through Futures, How Hedge Funds Are Positioned

Following futures positions of non-commercials are as of April 5, 2022. 10-year note: Currently net short 362.9k, down 113.7k. Minutes for the March 15-16 FOMC meeting, out Wednesday, revealed that the Federal Reserve plans to shrink its balance sheet by … Continued

CoT: Peek Into Future Through Futures, How Hedge Funds Are Positioned

Following futures positions of non-commercials are as of March 29, 2022. 10-year note: Currently net short 476.6k, up 212.7k. FOMC minutes for the March 15-16 meeting are scheduled for Wednesday. At the meeting, the Federal Reserve raised the fed funds … Continued

VIX At 200-DMA, While S&P 500 Enjoys Strong 2-Week Rallies To End On Golden Ratio

After strong rallies the past couple of weeks, major US equity indices have reached crucial levels, particularly the S&P 500, even as the Russell 2000 fails at a breakdown backtest and VIX sits at the 200-day. The S&P 500 (4543) … Continued

After Last Week’s Huge Rally, Major US Equity Indices At/Near Crucial Resistance

Major US equity indices rallied big last week, closing out right at, or near, important resistance, including moving averages, Fibonacci resistance and breakdown backtest. Concurrently, VIX is sitting on a rising trend line from early January. The S&P 500 (4463) … Continued