Stock Market Weekly -Apr 10th
We continued to see a pullback in the markets last week, and a continuation of the rise in interest rates. Could be another choppy week as we get CPI reports, and a few big Bank earnings. April monthly Options expiration on Thursday. Markets will be closed for Good Friday.
VIX was up a bit, and Bonds dropped even further. Oil dropped a bit, Gold was up slightly.
Bitcoin/Crypto was down a bit.
What was up this week: US Dollar, Interest rates, TWTR
What was down this week: ,
High yield Corporate Bonds (HYG) (2yr chart) -dropped
Investment grade Corporate Bonds (LQD) (2yr chart) -dropped
Over $30 Trillion in debt! See Debt Clock on the left, or here...
New all time highs: KO, JNJ, WMT, UNH -all DOW stocks! Also ABBV, AZN, SO, SHEL, SG, KR, etc.
All time lows: RKT,
Options watch: S&P 500 Implied Volatility (CBOE VIX) -LOW end of the range
ETFs | SPY, IWM, QQQ, GLD/SLV, USO, XOP, VXX, XLF, XLE, FXI, EEM EWZ, | |
Stocks | AAPL, AMD, BAC, BABA, DIS, FB, MSFT, NFLX, NVDA, T, TSLA... |
This week's charts:
$NYA -NYSE Composite -choppy
(IWM) Small-caps -dropping
Links...
ETFs performance - Ranked by Volume
S&P 500 Sector performance -
S&P 500 Sector performance -
Commodities/Futures:
Crude Oil dropped a bit, closing near 97.90
Gold was up, closing around 1950
The US Dollar was up a bit, closing near 99.81 -near 100!
The 30 year Bond dropped, closing near 143.34
News:
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