Friday, January 09, 2009

2009-01-09 Market Watch: weekend analysis

今天原油期货下跌到前期支撑位置,大概在40.65左右,然后在这个位置徘徊了一段时间就收盘了。下周出现强烈反弹的可能性小,大幅度下跌的可能性也不大,可能是继续盘整或缓慢下跌。

/ES早上猛烈下跌之后进入Fib 38.2-50%之间的盘整区。一天时间大盘都在盘整,最后快收盘的时候放量突破。但还没有来得及找下一个支承点就收盘了。目前技术指标没有超卖,没有好的支撑,从measured move的角度看,要继续下跌到875左右。

XLF突破盘整区继续下跌,还没有达到下面的支撑位置11.5左右。即使到了那里,经过盘整,继续突破的可能性也很大。XLF是前段时间上涨过程中保持lower high, lower low的板块,所以这次下跌它首当其冲。

值得注意的是,SKF前段时间走高时成交量缩小,这次则放大。从量价关系上看,有资金吃进SKF已经花了一个月的时间了。

期货收盘只见逃跑的,不见抄底的。可见小妞妞们已经害怕了。大小资金对下周普遍不看好。万一有反弹,很可能还是在/TF也就是Russell2000上。但是,绝对不要报任何希望。

美元有少许反弹,黄金没有大的动静。T-note/T-bond盘整。forex确认了目前的跌势,尤其是EUR/USD的暴跌,更是给目前的形势做了很好的印证。

SPX和各大指数的上升趋势线被打破,根据蛇老大的1:1规则,下跌能量远大于上涨(不用规则也看的出,呵呵)。因此,对后市不看好。

蛇老大的图:

001: 从信号上看,中期顶部基本确认了。
002: RSI/STO中性,没有超卖,NYMO超买,指向进一步下跌。
003: 中期信号指向进一步下跌,MACD还是买入信号,但从histogram上看,转向是迟早的事情。
1.0.3 S&P 500 SPDRs (SPY 30 min) 信号中性,下面的MACD并不准,因为是盘整区的缘故,另外转向也是迟早的事情。
1.0.4 S&P 500 SPDRs (SPY 15 min) 中性,成交量指向进一步下跌。
1.0.7 S&P 500 Large Cap Index (GMMA) 那一堆粉红线有效阻挡了指数上升,阻力太大了。
2.0.0 Volatility Index (Daily) MACD买入信号,没有超买,有上升空间。我不主张过渡分析VIX,随便看看没事的。
2.8.0 CBOE Options Equity Put/Call Ratio 中期顶部确认。

结论: 不要对大盘的上涨抱有幻想了。目前是逢高做空的时间。建议保留所有看跌仓位,由短期转为中期持有,直到中期信号转向为止。


Last weekly analysis.  In this week the market went up in the first two days and then pulled back after it got extremely overbought.  Very likely the intermediate top has passed and the pullback could become a trend reversal.

Overview of World Markets and Sectors

On the following weekly chart, we can see that US market leads the world.  It won't be a surprise if the other parts of the world follow US market to go south.  From the relative strengths of different markets, the emerging market shows larger volatility, which could act as a good candidate of short sell while the whole world is sinking.

image (world market weekly)image (relative strength)

The next chart shows the MSCI World/EAFE/Emerging Market, Shanghai Stock Exchange Composite Index, Hang Seng Index, and Nikkei 225 index.  Currently all markets are still in a stage of recovering from the November low, and it is not too bearish at the moment.

image

Major indices, commodities, and US dollar are shown in the next chart.  The market is really at an edge where further down will confirm the trend reversal.

image

Sector overview chart. XLF is still the weakest, and XLV/XLY are relatively more bullish.

image

SPX

In term of wave counting, the analysis in the last week is still valid.  The estimation of the next stop was 946, actually it's 943.85.  Should the market goes back to the original track in the upper half of the next week, original target could be still reachable.  Therefore, the market direction in the next week is critical for judging the mid-term trend.

image

P&F chart isn't very interesting.  Skipped.

The pullback target of 885-900 given in the last week has reached like a magic.  On the hourly chart, the downtrend is weakening but it's not over yet.  I would give 10 points of downside space, and then consolidation or rally considering the strong market internal strength.  This scenario will be invalidated once SPX goes below 880 decisively.

image

XLF and SKF

XLF is weaker than my original observation and it is now at the cliff.  The Friday close is not very far from the support, but the support will likely break at the downside after so many times of tampering.

image

The target region of 114-115 given in the last week has been over hit.  Since XLF is very weak, the future of SKF looks promising.

image

Forex

USD/CAD: the trend is down but the road is choppy.  The outlook keeps the same.

image

USD/SGD: still the previous outlook, looking forward to further rally.

image

EUR/USD: same

image

Commodities

No update to the long term.

In the short term I expect further down.  The last week's estimation is correct.

image (/ZG daily, Gold 100-oz futures)

From the hourly chart of the crude oil future, it seems the oil price could go up a bit after further consolidation.

image

Matthew's charts

VIX long term chart: buy signal is changing to sell.

INDU - weekly long term: positive. bottom in place.  buy.

Dow daily TRIX: still a buy signal.

SPX LT Stochastics: bottomed out. buy.

S&P 500 Projection: wave 3 finished.  Bottomed out.

S&P500 trend chart:

SPX daily TRIX: same as INDU.

NASI 1 year: buy signal.

$CRX - Commoditiy Related Equity Index: I think buy signal has been confirmed.  Good news for commodity stocks.

SSO system: buy.

SDS system: short.

Index All:

Dow 60-min:

put,call and put,call 10 day: the market could be falling off a top.

SPX 15:

USD monthly:

Thursday, January 08, 2009

2009-01-08 Market Watch

收盘小节

今天大盘从SPX上看稍微涨了一点,收盘是全天最高。从/ES上看,始终没有突破昨天夜里的高点,大概是Fib 61.8%左右。从/ES上看,目前的关键价位是昨天的突破位置910左右。如果明天能够放量站稳到910之上,下周可能涨,否则今天最低点会在下周突破。大盘花了一天时间盘整,也可以认为是从低点回调,但盘末short covering不够大。感觉很多人并没有失去信心,多空双方都在观望,大资金可能在等机会下手。

XLF最低到达11.81,下午涨了一点,但未能收复失地。

/CL达到支撑线后稍有反弹,成交量不大,无法确认进一步的趋势逆转。XLE表现比较好,上涨1.29%。

技术板块反弹,QQQQ和XLK表现都不错。XLI工业板块也不错。材料板块XLB比较强。

所以目前拖后腿的是金融。

从量价关系上看,今天没有明显的流出,有少许流入资金。

从intraday charts上看,大盘目前处于超卖之后的反弹。

看蛇老大的图: 002信号中性,但NYMO仍然超买。243 NYA50R仍然超买,280确认没有问题。因此,即使星期五继续涨,中期长势也维持不了多久了。

总的来说,中期走势不看好,明天可能继续小涨或盘整,如果成交量不配合,上涨幅度不够,下周有可能继续跌。

做短线的盘后可以稍微cover一部分空仓,等明天再说。中期的建议不动。不建议现在空,不建议完全cover空仓。我没有动作,继续母鸡。

Charts:

SPX daily: the chart remains same.  The wave can go either directions.

image (SPX hourly, technical indicators shout for rally but moving averages say otherwise)

image (XLF hourly, financials are lower high while the broad market is making higher high, which is bad)

image (/ES 5-min)

image (/CL hourly)

Wednesday, January 07, 2009

2009-01-07 Market Watch

大盘终于回调了。上午SPX毫不犹豫的打破了前期的高点918,之后盘整了一段时间继续跌,这表明这个支撑很弱。盘尾跌势有所缓和。小时图上RSI超卖,15min图上双底超卖。

/ES最低达到了898.75。收盘时候有大量的short cover,但随后在收盘的1分钟之内出现大量的卖盘。可能是小熊熊在锁定利润,小妞妞恐惧逃跑。成交量不算特别惊人。

XLF低开低走,没有反抗地一路下滑。盘末有个别胆大妄为者抄底(应该是看见超卖了)。

原油期货一路走低,几乎没有反弹,XLE雄风不在,溃不成军。原油目前的价位没有好的支撑,下跌成交量很大,暂时不看反弹,同样XLE也不看好。XLF大概走了一半的路。

/NQ (对应QQQQ的)下跌中有迟疑,企图测试1239左右突破的位置。

/DX回落到支撑位置上。黄金放量跌。T-bond/T-note原地踏步,等待进一步指令。

从上面的分析看,大盘可能反弹,但下跌并没有到位。

蛇老大的图:

首先是2.8.0 CBOE Options Equity Put/Call Ratio,这个图看中期顶部。

0.0.2 SPY Short-term Trading Signals信号中性,没有超卖。注意NYMO还处于超卖状态,指向进一步下跌。

1.0.3 S&P 500 SPDRs (SPY 30 min)信号中性,STO有点像要反弹的样子,其它信号看不到反弹迹象。

1.0.4 S&P 500 SPDRs (SPY 15 min)有点要反弹的样子。

2.0.0 Volatility Index (Daily)中性,测试突破的红线。周线图支持VIX进一步上升。

2.4.3 Breadth Oversold/Overbought Watch中NYA50R仍然超买。

综上所述,明天上午大盘有一定程度的反弹是正常的,但回调没有到位,可能演变成中期下跌,因此建议保留空仓继续观望,不建议盘尾加空仓,不建议抄底。

image (SPX daily, wave counting, it goes completely as expected which is shown in Monday analysis)

image (SPX hourly, however on the hourly chart it seems the target could be 880-890)

image (/CL hourly, it may or may not bounce back but the trend has reversed decisely)

image (/DX hourly, the US dollar bounced back up from the support level)

image (/ZG hourly, gold future shows that most likely US dollar will continue to rise)

image (TLT daily, the proxy of T-bond)

image (SKF hourly, it's rising)

image (JPM hourly)

Tuesday, January 06, 2009

2009-01-06 Market Watch

SPX daily chart is almost the same as yesterday since touching of 50% Fibonacci expansion was expected.

image (SPX hourly, the target for pullback is adjusted to ~900.)

image (/CL, the crude oil is due for a pullback)

All other charts are mostly neutral to bullish.  Today the ultrashort ETF's slightly lost momentum.  Let's see how the market goes tomorrow.

Monday, January 05, 2009

2009-01-05 Market Watch

今天SPX盘整,上面有了周五高点的假突破,下面测试了918突破点,基本上在这个区间震荡。日线图收十字,说明方向未定。按照图形,盘整之后应该是继续上涨的。没有确切的信号之前,还无法认定趋势已经逆转。因此做空大盘的要等待。

石油继续上涨,逼近前期阻力线。美元有所走高,黄金有所下调。几个因素抵消的结果是中性的。

目前,日内图上SPX基本脱离超买,技术指标在一定程度上得到了修正。

蛇老大的图:

002:STO和RSI超买,最重要的是NYMO严重超买,这个指标指向大幅度回调。注意breadth信号目前偏向于bearish,而pattern是bullish的。
003: 看牛。三角形突破和回测成功。

103 SPY 30-min: 技术指标得到修正,MACD开始下降,上升通道打破了。不过,现在是盘整,上升通道破裂是意料之中的。

104 SPY 15-min: 和103没有什么本质的区别。

2.4.3 Breadth Oversold/Overbought Watch: 从NYA50R和RHNYA上看,大盘已经接近超买的极值,要回调了。

从CPC和CPCE上看,大盘接近顶部。

结合期货的收盘情况,我认为大盘可能回调在即,但明天上午可能要继续上涨或盘整,可能不会明显低于918,因此盘后不建议进入空仓。SKF趋势确认,加仓位置在102-105之间。

image (SPX wave counting, wave C not fully unfolded yet)

image (/ES daily, the 8th up day)

image (ascending channel on /ES 15-min)

image (SPX 60-min, near term target 880-890)

image (/CL, the crude oil has reached the previous resistance level.  Big pullback is coming)

image (/DX, US dollar is bouncing back)

image (SKF hourly, buy signal confirmed.)