- P/E : @39.73 Tops land " Usually bottom of crashes not tops" - SPX's Dividend Yield: @ 1.49 Possible target is 1.10 2000's bottom !!! US10Y @ 1.672 " a bit lower " - Insiders: 113 Sell, 43 Buy. Selling is down from 179, nothing of significant here. " Both look come" - Seasonality: April is the best month of the past 20 years & 2ed past 10Y. Max 12.5% Min (-6.1%) - Deviation : Daily - @12.52 (64% single pullback) weekly - @34.79 (76% single pullback) - Candles Auto recognition : Nothing found three weeks in a row. - Putt/Call composite @.764 Vs. .66 last week = More puts bought last week than the weeks before. Higher Highs/Higher low Golden Cross coming soon every day passes it becomes closer = Pullback. -Total Option Volume: 295309 big drop of 25 % from 400476 - VIX : In our safe green zone, we hit 18.68 Lowest seen # since last years crash=No volatility @ all!!! - VWAP: @ 69.99 = 78% @ a bottom or up swing.. - DIX : 43.6 No man's land. - GEX : @ 1,800,000,000 "No man's land". - SPX : Above 50D MA average . *****FLASH SIGNAL OF A PROBABLE BIG PULLBACK.******** STAY NIMBLE COMING TWO WEEKS !!!! - NYSE: Above average nothing to mention. ----------------------------------------------------------------------------------------------------------------------------
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