Market Signals for the US stock market S and P 500 Index and Indian Stock Market Nifty Index for the Week beginning August 12
Indicator
|
Weekly
Level / Change
|
Implication
for
S
& P 500
|
Implication
for Nifty*
|
S
& P 500
|
2919, -0.46%
|
Neutral
|
Neutral
|
Nifty
|
11110,
1.02%
|
Neutral
**
|
Bullish
|
China
Shanghai Index
|
2919, -3.25%
|
Bearish
|
Bearish
|
Gold
|
1508, 3.49%
|
Bullish
|
Bullish
|
WTIC Crude
|
54.22,
-2.59%
|
Bearish
|
Bearish
|
Copper
|
2.59, 0.97%
|
Bullish
|
Bullish
|
Baltic
Dry Index
|
1748, -2.24%
|
Bearish
|
Bearish
|
Euro
|
1.1200,
0.82%
|
Bullish
|
Bullish
|
Dollar/Yen
|
105.70,
-0.83%
|
Bearish
|
Bearish
|
Dow
Transports
|
10207,
-1.61%
|
Bearish
|
Bearish
|
High Yield
(Bond)
|
107.93,
-0.28%
|
Neutral
|
Neutral
|
US 10
year Bond Yield
|
1.75%,
-5.69%
|
Bullish
|
Bullish
|
Nyse
Summation Index
|
435, -33.92%
|
Bearish
|
Neutral
|
US Vix
|
17.97,
2.04%
|
Bearish
|
Bearish
|
Skew
|
116
|
Neutral
|
Neutral
|
20
DMA, S and P 500
|
2969, Below
|
Bearish
|
Neutral
|
50
DMA, S and P 500
|
2937, Below
|
Bearish
|
Neutral
|
200
DMA, S and P 500
|
2793, Above
|
Bullish
|
Neutral
|
20
DMA, Nifty
|
11231,
Below
|
Neutral
|
Bearish
|
50
DMA, Nifty
|
11574,
Below
|
Neutral
|
Bearish
|
200
DMA, Nifty
|
11167,
Below
|
Neutral
|
Bearish
|
India
Vix
|
15.85,
4.33%
|
Neutral
|
Bearish
|
Dollar/Rupee
|
70.93,
0.73%
|
Neutral
|
Bearish
|
Overall
|
S
& P 500
|
Nifty
|
|
Bullish
Indications
|
5
|
5
|
|
Bearish
Indications
|
9
|
11
|
|
Outlook
|
Bearish
|
Bearish
|
|
Observation
|
The S
and P 500 fell and the Nifty rebounded last week. Indicators are bearish for
the week.
The
markets are on the verge of a great depression
style collapse. Watch those stops.
|
|
|
On the
Horizon
|
US – CPI, UK – Employment
data, CPI, Eurozone – German GDP
|
|
|
|
|
|
|
*Nifty
|
India’s
Benchmark Stock Market Index
|
|
|
Raw
Data
|
Courtesy
Stock charts, investing.com
|
|
|
**Neutral
|
Changes
less than 0.5% are considered neutral
|
|
|
The S and P 500 fell and the Nifty rebounded last week. Indicators are bearish for the upcoming week. QE forever from the FED is about to trigger
the deflationary collapse of the century and we have likely made another major top
in global equity markets and are failing at resistance. The market has established a major top with
non-conformations from the transports, other global indices and commodities.
The trend is about to change from bullish to bearish and the markets are about
to get smashed by a strong dollar.
Looking for significant under performance in the Nifty going forward on rapidly
deteriorating macros. A 5 year
deflationary wave is about to start in key asset classes like the Euro,
stocks and commodities amidst a number of bearish divergences and Hindenburg
omens. We are on the verge of a multi-year great depression. The
markets are still trading well over 3 standard deviations above their long term
averages from which corrections usually result. Tail risk has been very high
off late as the yield curve inverts.
The critical levels to watch for the week
are 2930 (up) and 2910 (down) on the S & P 500 and 11200 (up) and 11000
(down) on the Nifty. A significant breach of the above
levels could trigger the next big move in the above markets. You can check out
last week’s report for
a comparison. Love your thoughts and feedback.
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