Bonds holding up (low rates), Gold, Oil pulling back.
Continuing concerns:
Still keeping an eye on DB, China, Europe
Over $21 Trillion in debt! See Debt Clock on the left, or here...
S&P 500 performance chart, 9 months -(Link)
New all time highs: ARRY, BLL, FISV, MPW, SBUX, ORLY, WM & others
All time lows:
Options watch: S&P 500 Implied Volatility -still dropping! (CBOE VIX)High Options volume:
ETFs | SPY, IWM, QQQ, GLD, GDX, USO, XOP, VXX, XLF, XLE, FXI, EEM EWZ, | |
Stocks | AAPL, AMD, BAC, BABA, FB, MU, NFLX, NVDA, TSLA |
Next week:
Earnings: NVDA,
This week's charts:
$NYA -NYSE Composite (link)
Small-caps (IWM)
Links...
S&P 500 - big rally from the bottom stalling?
10yr Interest Rates -steady/around 3%...
ETFs - Ranked by YTD Percent ChangeS&P 500 Sector performance
$NYA -nice recovery
Crude Oil was down, closing near 52.02 - holding above $50
Gold was down a bit, closing near 1317 -holding above $1300
The 30 year Bond was up, closing near 146.94
The US Dollar was up, closing near 96.42
News:
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