Directional Bias For The Day:
S&P Futures are higher at 9:15 AM. Futures have been moving up since 12:30 AM – up more than 35 points from 4558.00- The odds are for an up day – watch for a break below 4579.00 for a change of sentiments
- The major economic data reports due during the day:
- Core PCE Price Index (0.2% vs. 0.2% est.; prev. 0.3%) at 8:30 AM
- Employment Cost Index (1.0% vs. 1.1% est.; prev. 1.2%) at 8:30 AM
- Personal Income ( 0.3% vs. 0.5% est.; prev. 0.5%) at 8:30 AM
- Personal Spending (0.5% vs. 0.4% est.; prev. 0.2%) at 8:30 AM
- Revised UoM Consumer Sentiment ( 72.6 est.; prev. 72.6) at 10:00 AM
- Revised UoM Inflation Expectations ( prev. 3.4%) at 10:00 AM
Directional Bias Before Open:
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Key Levels:
- Critical support levels for S&P 500 are 4555.62, 4528.56, and 4514.59
- Critical resistance levels for S&P 500 are 4577.04, 4599.20, and 4607.07
- The key levels for E-mini futures are 4603.25, the high at 13:30 PM on Thursday, and 4579.00, the low at 6:30 AM
Pre-Open
- On Thursday at 4:00 PM, S&P futures (September 2023) closed at 4563.50, and the index closed at 4537.41 – a spread of about +26.00 points; the futures closed at 4564.25; the fair value is -0.75
- Pre-NYSE session open, futures were up – at 9:00 AM, S&P 500 futures were up by +32.25, Dow by +175, and NASDAQ by +186.00
Markets Around The World
- Markets in the East closed mixed – Shanghai, Hong Kong, Seoul, and Singapore closed higher; Tokyo, Sydney, and Mumbai closed lower
- European markets are mixed – Germany, the UK, France, and Spain are up; Itlay, Switzerland, and STOXX 600 are down
- Currencies (Compared to two weeks ago):
Up | Down |
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- Commodities (Compared to two weeks ago):
- Energy futures are mixed
- Precious metals are lower
- Industrial metals are lower
- Soft commodities are higher
- Treasuries (Compared to two weeks ago)
- The 10-year yield closed at 4.012, up +25.1 basis points from two weeks ago;
- The 30-year is at 4.058%, up +16.3 basis points
- The 2-year yield is at 4.932%, up +18.2 basis points;
- The 10-Year-&-2-Year spread is at -0.920, up from -0.989
- The 30-Year-&-10-Year spread is at 0.046, down from +0.134
- VIX
- At 13.52 @ 9:00 AM; down from the last close; below the 5-day SMA;
- Recent high = 21.33 on May 4; low = 12.73 on June 22
- Sentiment: Risk-On
The trend and patterns in various time frames for S&P 500:
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Daily |
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2-Hour (E-mini futures) |
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30-Minute (E-mini futures) |
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15-Minute (E-mini futures) |
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