Daily Market Intelligence 1-23-17
daily-market-intelligence-1-11-17
Daily Market Intelligence 6-8-16
EWW…Mexico is moving with the Oil. 2 days over 52.72 will see this test the year high. CAT… DD…DuPont NFLX…electing stops above it’s 200DMA and attempting an ORH weekly pattern. PCLN…after printing it’s 200DMA this is having good … Continue reading
Stocks… Spu’s…2044 is the weekly hold # and the closing downside pivot for more weakness. Downside support is 2024 followed by the 200 DMA just below 2000. Spu’s need recovery over 2044 for a start. Nasd 100…4333…4285…4265; these are the … Continue reading
Equity/Bond spreads…plain and simple that is the game. Gilts…120.76 is resistance and the closing upside pivot. A couple of closes over this level should lead to a test of the 124.00 handle. Equity Indices from the Dax to the Spu’s … Continue reading
Bottom Fishing abounds. I like the idea of buying before you sell at these levels in the OIL and related names. Jan oil broke out of the opening range , like yesterday, to the upside which elicited an immediate buying … Continue reading
Stocks… Spu’s…2022.50 in the Mini’s and 2012 in the Pit contract will be pivotal into Month end. They are this qtr’s ORH #s. Yesterday’s low was either the low for the rest of the week, and most likely the year, … Continue reading
Stocks… Targets remain the same. DAX…94.77-95.15 is weekly resistance and the closing upside pivot. Now that we’ve broken above this zone I’m looking to buy a 100 point pull back HEDJ…56.60 is the buy zone for this ETF. Buy breaks … Continue reading
EWA,EWW,EPI are attempting upside break outs. FDX,BRKA, DOW & MLM are three names that look particularly good. BLK…looks to have put in a trad able low yesterday @ 295. BHP…today’s low is the risk for any new longs. A close … Continue reading