CoT: Peek Into Future Through Futures

The following are futures positions of non-commercials as of July 26, 2016.  Change is week-over-week. 10-year note: The Fed stopped short of signaling a rate hike near term.  That said, the statement also said “near-term risks to the economic outlook … Continued

Breakdown In Correlation Between Margin Debt And S&P 500

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

NYSE margin debt fell again.  June was down $3.8 billion month-over-month to $447.4 billion.  Since it peaked in April last year at $507.2 billion, margin debt is now down $59.8 billion – or 11.8 percent from the peak.  The S&P … Continued

FOMC Meeting To Throw Monkey Wrench Into Dollar/S&P 500 Rally N/T?

As of last Thursday (July 21st), as per S&P Dow Jones Indices, 123 of S&P 500 companies reported their 2Q16 results, 81 of them beat on an operating basis, 23 missed and 19 met consensus estimates.  On a reported basis, … Continued

CoT: Peek Into Future Through Futures

The following are futures positions of non-commercials as of July 19, 2016.  Change is week-over-week. 10-year note: If you repeat something often enough, it becomes the truth.  So the saying goes. Why bring this up?  There is a sudden uptick … Continued

Spot VIX Sub-13 For 3 Straight Sessions, Volatility Curve In Steep Contango

posted in: Derivatives, Equities, Technicals | 0

The last time spot VIX closed under 13 for three consecutive sessions was in early August last year.  In fact, VIX back then stayed sub-13 for four straight sessions ended August 3rd, and registered three more sub-13 readings by August … Continued

Sharp ↑ In Investor Complacency, U.S. Stocks’ Path Of Least Resistance ↓ N/T

After a 13-session, heady rally off June 27th lows, U.S. stocks are beginning to reek of complacency.  The question is, is it now time to turn contrarian or things might stay complacent for a little while longer? Take put-to-call ratios. … Continued

CoT: Peek Into Future Through Futures

The following are futures positions of non-commercials as of July 12, 2016.  Change is week-over-week. 10-year note: TLT, the iShares 20+ year treasury bond ETF, was punished for a 3.6-percent drop this week.  This followed a parabolic rally, particularly after … Continued

End-June Short Interest Dynamics Big Yawn, But Likely Factor In Current Period

posted in: Equities | 0

Much ado about nothing!  Really. A lot happened in the second half of June.  The 1.3-percent rally in the S&P 500 large cap index between June 15th and 30th belies the crazy roller-coaster ride those two weeks went through. First, … Continued