Posts Tagged ‘
WTIC ’
Apr 26th, 2010 |
By Rob
U.S. stocks looked unusually strong on Friday as two major factors concerning short term risk in global markets changed dramatically. The stagnant housing market and uncertainty over a viable path to solvency in Greece, which have been weighing heavily on global markets, seem to be less threatening if Friday’s data were judge. Technicals remain extremely overbought in commodities and equities as markets now face Bernanke and Q1 GDP this week.
Posted in DS Feature, Weekly Spectrum |
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Tags: 2010 Q1 GDP, April Econ data, Bernanke, Case Shiller, Case Shiller Home Price Index, Chicago PMI, Consumer Confidence, Consumer Sentiment, diamond slice weekly spectrum, DJIA, Dow Jones Industrial Average, DTO, Economic Data, EIA Petroleum Status Report, employment cost index, EU Greek Bailout, Fed, Federal Reserve, FOMC, GDP, Greece, Housing, housing market, initial jobless claims, Jobless Claims, March Econ Data, markets, months supply of homes, new home sales, Q1 GDP, S&P 500, SDS, SPX, SPY, U.S., U.S. economy, U.S. GDP, U.S. Housing, U.S. Market, USO, VXX, VXZ, Weekly Spectrum, WTI, WTIC
Jan 26th, 2010 |
By Rob
Bernanke and the crew will get started bright and early behind the collasal locked mohagany doors of the FOMC board room Tuesday morning, while traders will ernestly focus on the information at hand. A slew of earnings from Ashland (ASH) (0.71 EPS est.), Corning (GLW) (0.42 EPS est.), Delta Airlines (DAL) (-0.24 EPS est), DuPont (DD)
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Posted in Market Synopsis |
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Tags: 10 year treasury, 2 year, 4 week, ASH, Ashland, bear market, bill, Case Shiller, commoditiy, Consumer Confidence, Corning, crude oil, DAL, DD, delta, DuPont, fast cash, fast profits, gains, GLW, Home price, Housing, inside edge, insider trading, losses, lower close, market, note, Oil Price, Price Index, profit, profit from commodities, profit from stocks, recession, S&P 500, Sherwin Williams, SHW, SPX, stock, technical pause, trader notes, trader's edge, trader's secrets, Treasury, WTI, WTIC
Jan 12th, 2010 |
By Rob
Earnings season officially began, as the firstĀ memberĀ of the S&P 500 and Dow Jones Industrial Average to grab Q4 2009 earnings headlines, Alcoa (AA), reported a net profit of $0.01 EPS on Monday, January 11. The shortfall to the $0.06 EPS market consensus was explained by CEO Klaus Kleinfield by the unexpected weakness in the dollar,
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Posted in Commodities, Forex, Industry Analysis, Manufacturing, Market Synopsis, Trade Strategy, U.S. |
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Tags: AA, Acloa, aluminum ore, black gold, bonds, commodities, crude oil, DJIA, DTO, equities, industrial corporations, Klaus Kleinfield, market, oil, petroleum, S&P 500, SCC, SDS, stock market, Treasury, USD, USO, WTI, WTIC
Dec 15th, 2009 |
By Rob
Posted in Market Synopsis |
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Tags: 10 year treasury, 10-Year Note, 10-yr note, bear market rally, bearish sentiment, Bernanke, commodities, commodity, Crude, crude oil, DTO, equities, Fed, FOMC, negative outlook, oil, S&P 500, SDS, SPX, SPY, Treasury, TYD, TYO, U.S. dollar, U.S. recovery, UDN, USD, UUP, WTI, WTIC