Bursa Malaysia – KLSE

FRED

Futures (ES, NQ, GC, CL) – 28 June 2017

28 June 2017

Daily status of the futures of Gold (GC), WTI Crude (CL), Nasdaq 100 (NQ) and S&P 500 (ES)

Futures (ES, NQ, GC, CL) – 27 June 2017

27 June 2017

Daily status of the futures of Gold (GC), WTI Crude (CL), Nasdaq 100 (NQ) and S&P 500 (ES)

Futures (ES, NQ, GC, CL) – 23 June 17

23 June 2017

Daily status of the futures of Gold (GC), WTI Crude (CL), Nasdaq 100 (NQ) and S&P 500 (ES)

Options – 18 December 15 Monthly Income – Bull PUT on SPX

Update

14 December 2015

We closed this CALL credit spread and bought it back for $0.05. Overall, it was a small profit to be redeployed for the next trade.

8 December 2015

We sold a monthly CALL credit spread at 2135/2145 for $1.10. The total Return-on-Risk for this new trade is 1.10/8.90 = 12.36 % excluding transaction cost. The PUT credit spread was closed for $1.75.

27 November 2015

We sold a monthly PUT credit spread at 2015/2005 for $1.15. The total Return-on-Risk for this new trade is 1.15/8.85 = 13.00 % excluding transaction cost. Expiration is at 9:30 am, 18 December 2015 (EST)

Options – 21 August 15 Monthly Income – Bull PUT on SPX

Update

21 August 2015

This PUT credit spread expired worthless. The Settlement price was 2015.47.

13 July 2015

We sold a monthly PUT credit spread at 1980/1970 for $1.30. The total Return-on-Risk for this new trade is 1.30/8.70 = 14.94 % excluding transaction cost. Expiration is at 9:30 am, 21 August 2015 (EST)

Options – 17 July 15 Monthly Income – Bull PUT on SPX

Update

13 July 2015

We closed this trade by buying it back for $0.05. Option expiration is this coming Friday morning.

15 June 2015

We sold a monthly PUT credit spread at 1980/1970 for $1.30. The total Return-on-Risk for this new trade is 1.30/8.70 = 14.94 % excluding transaction cost. Expiration is at 9:30 am, 17 July 2015 (EST)

24 January 2017 – Breakout in the indices!

Dow Transportation touched all-time high at 9314.13 and closed at 9288.59 with a bullish marubozu candle above its 21 EMA. Daily trading range was 166.429. The index has broken out of its range trading and Squeezing upward. Momentum is upward. Volumetric buying pressure is at 100%. BuySellTimer is in its positive cycle. The index is in a daily Squeeze.

Dow Industrial closed at 1912.71 with a bullish marubozu candle above its 21 EMA. Daily trading range was 162.53. Momentum is upward. Volumetric buying pressure is at 100%. BuySellTimer is in a positive cycle. The index is in a daily Squeeze.

Russell 2000 closed at 1367.30 with a bullish candle above its 21 EMA. Daily trading range was 22.856. Momentum is neutral. Volumetric buying pressure is at 100%. BuySellTimer is in its positive cycle. The index is in a daily Squeeze.

Nasdaq 100 broked out to new all-time high at 5108.22 and closed at 5101.0641 with a bullish candle above its moving averages. Daily trading range was 39.848. Momentum is upward. Volumetric buying pressure is at 100%. BuySellTimer is in a positive cycle.

S&P 500 broke out to new all-time high at 2284.63 and closed at 2280.07 with a bullish candle above its moving averages. Daily trading range was 17.95. Momentum is upward. Volumetric buying pressure is at 100%. BuySellTimer is in a positive cycle. It is in a daily Squeeze.

Metals and Commodities
WTI Crude oil futures closed with a low closing doji candle above its 21 EMA. Momentum is neutral. It is trading at $52.94 per barrel. BuySellTimer is in positive cycle.

Gold futures closed with a bearish candle above its moving averages. It is trading at $1208.6 per ounce. Momentum is upward. BuySellTimer is in positive cycle.

Silver futures closed with a bearish candle above its moving averages. It is trading at $17.115 per ounce. BuySellTimer is in a positive cycle.

Agriculture (DBA) ETF closed at 20.78 with a bearish candle above its moving averages. Momentum is upward. BuySellTimer is in a positive cycle.

Commodities (DBC) ETF gapped up and closed with a bearish candle at 15.91 above its moving averages. Momentum is upward. BuySellTimer is in positive cycle.

Bonds
Bond futures (ZB) closed with a bearish candle below its moving averages. It is trading at 150’24. Momentum is downward. BuySellTimer is in a negative cycle.

High Yield bond ETF (HYG) closed at 87.26 with a bullish candle above its moving averages. Momentum is upward. BuySellTimer is in a positive cycle.

Currencies
Dollar Index (DX) closed with a bullish candle below its moving averages. It is trading at 100.285. Momentum is downward. BuySellTimer is in a negative cycle.

EUR/USD closed with bearish candle above its moving averages. It is trading at 1.0730. Momentum is upward.

USD/JPY closed with a big bullish candle below its moving averages. Momentum is downward. It is trading at 113.82.

Relative Strength – Sectors
On a monthly lookback, the relative strength order of the ETFs that are outperforming the S&P 500 are XLB, XLY, XLK, XLP and XLI respectively.

On a 3-month lookback, the relative strength order of the ETFs that are outperforming the S&P 500 are XLF, XLB, XLI, XLE, XLY and XLK respectively.

Market Internals
Vix closed at 11.07 Vix futures is at 12.95. Skew is at 138.16. Market sentiment is bullish. Market breadth is sloping upward. Volumetric accumulation/distribution is sloping upward.

The Week Ahead
The indices are Squeezing upward to new all-time high as the market continues to absorb the good economic reports and also with news of impending tax cuts in the US. The prognosis is to ride the bull while it still has legs.

Stock of the Day
The Stock of the Day is GPRO. GoPro, Inc produces mountable and wearable cameras and accessories. The Company’s products are sold globally through retailers, wholesale distributors and on its Website.

 

To YOUR wealth!

Would you like to learn to trade stocks, options or futures? Drop us an email at jefftohch@gmail.com or call +6010 4343 948.


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