Indices closed mixed with overall positive for 2 weeks, a change in direction from negative TAPE action for 5 weeks to positive for 2 weeks & counting.
S&P 500 @ 4643.06, high 4646.03, low 4601.67
RSI @ 60.54
CMF @ 0.185
Internals were :
UP volume led by 1.72 to 1 in NYSE & .91 to 1 in Nasdaq
Advancing stocks led by 1.08 to 1 in NYSE & .71 to 1 in Nasdaq
Net new lows were leading by 68 in NYSE & 71 in Nasdaq
VIX Down 3.97% @ 20.81
Oil @ $113.90
Gold @ $1954.20
Canadian $ @ .7483
Stocks which were UP 2% or more included HST
CNX SLB LNG MOS TJX CGC TLRY CRUS...
Here is my portfolio weighting :
HST 24.75%
MGM 21.50%
UAL 18.00%
PLTR 12.01%
BTCC 10.23%
NCLH 8.28%
RIOT 3.85%
SOFI .83%
SOL .55%
Next post by 6 PM on Sunday
BLOG does NOT give buy or sell.
Saleem
No comments:
Post a Comment