Directional Bias For The Day:
S&P Futures are higher at 9:00 AM – moving up since 8:00 Am within a trading range between 4185.00 and 4161.00 since 6:00 PM on Thursday- The odds are for an up day with elevated volatility – watch for a break below 4161.00 for a change of sentiments
- The major economic data reports due during the day:
- Core PCE Price Index ( 0.3% vs. 0.3% est.; prev. 0.1%) at 8:30 AM
- Personal Income ( 0.3% vs. 0.4% est.; prev. 0.4%) at 8:30 AM
- Personal Spending (0.7% vs. 0.5% est.; prev. 0.4%) at 8:30 AM
- Revised UoM Consumer Sentiment ( 63.0 est.; prev. 63.0) at 10:00 AM
- Revised UoM Inflation Expectations ( prev. 3.8%) at 10:00 AM
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Key Levels:
- Critical support levels for the S&P 500 are 4127.90, 4103.98, and 4084.73
- Critical resistance levels for the S&P 500 are 4170.33, 4183.60, and 4195.60
- The key levels for E-mini futures are 4185.00, the high at 5:00 AM and 4161.00, the low at 8:00 AM
Pre-Open
- On Thursday at 4:00 PM, S&P futures (December 2023) closed at 4156.75, and the index closed at 4137.23 – a spread of about +19.50 points; the futures closed at 4156.50; the fair value is +0.25
- Pre-NYSE session open, futures were higher – at 9:00 AM, S&P 500 futures were up by +19.50, Dow by +37, and NASDAQ by +135.75
Markets Around The World
- Markets in the East closed mostly higher – Singapore closed lower
- European markets are mostly lower – Germany and Spain are higher
- 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 higher
- Industrial metals are mostly lower
- Soft commodities are mostly higher
- Treasuries (Compared to two weeks ago)
- The 10-year yield closed at 4.888, up +17.6 basis points from two weeks ago;
- The 30-year is at 5.050%, up +17.9 basis points
- The 2-year yield is at 5.046%, down -2.9 basis points;
- The 10-Year-&-2-Year spread is at -0.158, up from -0.363
- The 30-Year-&-10-Year spread is at 0.162, down from +0.159
- VIX
- At 20.57 @ 8:00 AM; down from the last close; above the 5-day SMA;
- Recent high = 23.08 on October 23; low = 15.44 on October 12; Sentiment: Risk-On
The trend and patterns in various time frames for the S&P 500:
Weekly: |
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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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Previous Session
The major indices opened lower and traded down until the afternoon, when they bounced for an hour or so before declining and closing near the day’s low.
All but three S&P sectors – Materials, Utilities, and Real Estate – closed down. Crude oil closed down, gold closed up, and the US Treasury Yields closed down.