Stock indices were a bit volatile for the week closing slightly down, with the exception of the Russell which was slightly up. Oil was up and is near $20 again. Bonds and gold were down.
The S&P hit vM at 2811.5
See if can bounce from here towards vW 2990 and 3016.75
Otherwise expecting further selling towards 2749.
The Russell has hit vW 1251.6, fell through slightly, and so far bounced back above.
vW's to 1424.2 and 1563.7 are still triggered.
Bonds still pretty much sideways.
Has triggered vM's to 221'15 and 213'11
Oil is back near $20.
Has vW to 30.43 that is triggered.
Also techincally has a vW to 80.82 that is triggered
when taking into account the negative price action.
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