Russell 2000 823.45 +1.50 DJT 5084.90 24.53 DJU 415.61 +4.73 VIX 18.35 -.87
US Gov rates: 6 mo .152% 2 yr .7156% 10 yr 3.41 -.05 30 yr 4.49 -.05
IEF (US 10 YR) 93.33 -.08 TLT (US 20+) 92.21 -.07 MUB (LT Natl Muni) -.04
BND (Total Bond Mkt) 80.36 +.12 HYG (High Yield) 92.50 +.46
Gold 1409.90 +.60 Silver 33.80 +.90 Copper 4.49 +.06 Platinum 1809.20 +5.80
Oil 96.97 -.91 RBOB 2.89 +.16 Nat Gas 4.04 +.04
Aussie 101.81 -.0026 EURO 1.3747 +.0049 Pound 1.6157 +.0139
USD Index 76.92 -.38 DBC 29.69 +.02
Days to option expiration: 15
Long Term Opinions:
US Bonds: Major long term top forming. .... Current trend down
Muni Markets: Bottoming : Current trend Neutral
Stocks: At 2 year highs...... Current trend up
Gold: Primary top forming ..... Current trend up
Silver: Blow out top....Current trend up
Oil : Secondary bear market rally ending..... Current trend up
Commodities: Bear market rally ending..... Current trend up
Real Estate: Bottoming ..... Current trend down
Muni Markets: Bottoming : Current trend Neutral
Stocks: At 2 year highs...... Current trend up
Gold: Primary top forming ..... Current trend up
Silver: Blow out top....Current trend up
Oil : Secondary bear market rally ending..... Current trend up
Commodities: Bear market rally ending..... Current trend up
Real Estate: Bottoming ..... Current trend down
US Dollar: Long term bottom forming .Current Trend down
US Economy: Proped up with debt.....Current trend up ..Slowing
China: Accident waitng to happen.. Current trend downUS Economy: Proped up with debt.....Current trend up ..Slowing
Emerging Markets: Bear market rally ending..... Current trend down
Emerging Markets Debt: A disaster.... Current trend down
World economy: Current trend slowing
World political environment: Tension, aggravated
Where's Waldo: Waldo is buying Gold, Foreign Bonds and Emerging Markets, US Stocks.
Stock Market Trends
Mikey Short term up 12-6 11362
Mikey Intermediate Trend: Up 09/03/10 10477
Mikey Long term trend: UP 10/13/10 11052
Mikey current trend opinion: 1-21 (DJI 11871) The caution light is on for this uptrend :
IBD : Uptrend resumes 2-1
Oil upside breakout 12-1-10 @87.42 USO 37.29
Gold upside breakout 9-22-10 @1283.50 GLD 123.11
Dollar Index breakdown 9-21-10 @81.17 UUP 23.52
Short Term Trading Indicators
Mikey OB/OS index (80 OB 20 OS) .87
Put/Call Ratio(.6 OB 1.2 OS).84 10 day average .78
Ratio Put Premiums to Call Premium (..34 to 2.5) .67 10 day ave .60
Mutial Fund Purchase/Redemptions ( 1.5 to .66) 1.15
Williams %R 12 day 38.45 weekly 15.91
Bulls 53.3 Bears 18.9 Bull/Bear ratio 2.82 Bullish
Mikey Thrust indicator: Daily 4 Weekly 8 (1 low, 10 max) 12, -5
DJIA MACD 98.92 Falling/Negative Cross 2-22
NYSE New Highs 266 (12/7 429) New Lows 14
NASDAQ New Highs 144 (12-7 352) New Lows 21
NYSE Advance-Decline +1074 NASDAQ Advance-Decline -8
Mikey A/D line (2/18 24526). NYSE +24216 NASDAQ ( 2-18, 10095 ) +8917
NYSE % above 200 day ave 78%
Support: 1190 SPX, 11200 DJIA Breakout 9/20
Resistance: 1313 SPX; 13136 DJIA
Downside reversal 1270 SPX, DJIA 11800, NASDAQ 2679
Comments:
1-3 New highs on averages and A/D line N/H N/L Still off Nov 4 highs
1-4 Gold drops $44 Oil 2.17 Commodities showing weakness
1-5 Gold sell signal
Market sells off on higher volume DJIA up
Dollar holds 50 day average turns up
1-7 Foreign markets showing weakness. India in a downtrend
Dollar nears intermediate reversal levels up
Bad news in Europe surfaces again
1-10 MACD Negative cross
World markets give sell signal
1-12 New highs in DJI and NASDAQ confirmed by AD Line.
1-12 Dollar sell signal
1-13 New lows expand on NYSE to 111
1-14 New highs confirmed by AD line
1-18 AAPL blows away earnings
1-19 Big distribution day NYSE 1646 net declines Nasdaq 1758 net declines
1-20 Google blows away earnings estimate
1-20 IBD goes to market under pressure
1-20 AAPL selling off on big volume
1-21 Mikey Caution light is on for this uptrend
1-21 Google stocks reverse lower on big volume
Options expire
1-24 Oil sell signal
1-25 Consumer confidence strong, State of the Union message..over hall taxes
1-26 IBD Uptrend resumes, S&P, NASDAQ 2 year highs..Fed meets no changes Assets rally
1-28 Big distribution day second in 2 weeks
1-28 IBD uptrend under pressure
2-1 IBD uptrend resumes (3 rd change in past month)
2-3 Cramer says Gold decline over
2-4 DJI 4 th closing high in a row, NASDAQ closes at a new high, Transports 4% off highs
NASDAQ AD line lagging
2-16 Gold buy signal
2-18 options expire
2-21 Consumer confidence strong
2-22 IBD Uptrend under pressure 12212
2-22 MACD negative cross
Moving Averages
5 day 12150 Rising/Price above
20 day 12175 Rising/Price above
50 day 11893 Rising/Price above
90 day 11601 Rising/Price above
200 day 10941 Rising/Price above
20 week 11583 Rising/Price above
50 week 10937 Rising/Price above
90 week 10421 Rising/Price above
200 week 10893 Rising/Price above
Trends Green up, Red Down, Black neutral
World Markets (Power Numbers) Ave score 51
DJIA 60, Canada 59 Latin Amer 57 Mexico 41 Brazil 61
Europe 65 UK 58 Germany 68 Spain 74 Russia 50
China 40 Japan 52 Korea 13, Singapore 34, Taiwan 38 India 44 Australia 56
Emer Mkts 53 Total World market Index 53
Commodities (Power Numbers)
Oil 50, Nat Gas 23, Gasoline 87
Gold 70 Copper 41 Silver 77, Platinum 31
Grains 33 DBC 70
Currencies (Power Numbers)
USD 39 Aussie 66 Euro 66 , Brit Pd 61, Yuan 63, Yen 50
US Industry Groups (relative strength) Ave Score 55
6 up, 28 Neutral, 1 Downtrend Score -+5
Homebuilders (XHB) 42, Real Estate (IYR) 69, Finance (XLF) 55, Regional Banks (IAT) 48 Insurance (IAK) 59 , Broker/Dealers ( IAI) 55, Retail (XRT) 56, Consumer Disc (XLY) 59, Telecom (IYZ) 50, Consumer Staple (XLP) 58, Health (XLV) 59, Pharma (IHE) 52, Biotech (PBE ) 45, Transports (IYT) 48 Aerospace (ITA) 50, Shipping (SEA) 45, Airlines ($XAL) 36, ,Utilities (XLU) 58 , Metals and Mining( XME) 56, Copper (COPX) 50, Nat Gas Production (FCG ) 74, Oil Expl and Prod (IEO) 69 Oil Service (OIH) 66, Coal (KOL) 56, Energy (XLE) 70, Gold Miners (GDX) 61 Steel (SLX) 49, Basic Mat (XLB) 52, Timber (Wood) 51 AgriBusiness (MOO) 52, Tech (XLK) 53, Semiconductors (SMH) 59, Software (SWH) 57 Networking (PXQ) 56, Internet (FDN) 47
Bonds (Relative Strength)
(6 up, 0 down, 6 neutral) Score +6
MUB (Natl Muni) 60 NCA(Ca Muni) 48
BND (Total Bond Index) 62 BWX (International Treas Bonds) 66, PCY (Emerg Mkt Debt) 48 TLT (20+ US Treasuries) 60, IEF ( 10 yr Treasuries) 56, PFF (US preferred) 62, HYG (High Yield) 63 MUB (Natl Muni) 60 NCA(Ca Muni) 48