Indices closed down @ low of the day @ the end of a bad day, bad week, bad month and bad quarter. September was the worse month since 2002.
S&P 500 @ 3585.62, low 3584.13, high 3671.44
RSI @ 28.47
CMF @ -0.040
Internals were :
Down volume led by 1.44 to 1 in NYSE & 2.37 to 1 in Nasdaq
Declining stocks led by 1.45 to 1 in NYSE & 1.38 to 1 in Nasdaq
Net new lows were leading by 795 in NYSE & 515 in Nasdaq
VIX Down .69% @ 31.62
Oil @ $79.49
Gold @ $1672.00
Canadian $ @ .6216
Stocks which closed green included PLTR SOL SOFI
JKS FSLR SPWR SHOP TJX HOOD AG COIN
TWTR PAAS GOLD AEM DDOG BABA
PDD MSTR PENN .....
Here is my portfolio weighting :
ARKK 30.88%
MGM 19.11%
UAL 17.11%
LSPD 11.30%
PLTR 9.50%
SOFI 6.28%
SOL 4.42%
XPEV 1.40%
Next post by 6 PM on Sunday
BLOG does NOT give buy or sell.
Saleem
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