The market is navigating elevated event risk today, with a watchful stance on volatility. Key economic data releases, including CPI figures, have already passed. Indices show mixed signals, with SPY…
The morning read is mixed but orderly. Market quality sits in a moderate zone, fear-and-greed is in greed, and the largest index proxies are trading above their pivots rather than near clean reset…
U.S. equity conditions enter July 28 with a bullish regime still intact, but the morning read is less clean than the headline label suggests. SPY is close to its pivot, while QQQ is stretched below…
The morning read is mixed rather than risk-on: QQQ is holding closer to its pivot while SPY sits below its anchor, and both major ETFs show negative opening gaps. Market quality is acceptable, but…
U.S. equity conditions start the session mixed, with event risk elevated and index structure split. SPY is holding above its 752 pivot, while QQQ remains below its 721 anchor, leaving the morning…
Event risk is the morning’s main constraint. SPY is holding near 751.23, above its 749.0 pivot, while QQQ is firmer at 719.36 after a premarket gap. The volatility read is not stressed, but the…
The market enters Wednesday with elevated event risk and a defensive posture, as indicated by the Market Weather score of HIGH. Volatility remains healthy, but market clarity is choppy. The Fear &…
The market enters Tuesday's session with a mixed quality reading and elevated risk. Volatility remains a watchful factor, while market clarity is choppy. The SPY index is anchored near its pivot at…
The market exhibits a mixed quality with a defensive posture and elevated risk as volatility remains watchful. SPY and QQQ are anchored to their pivots, indicating a degree of stability despite…
Markets are experiencing mixed conditions with SPY at 736.13 and QQQ at 714.87, reflecting elevated volatility and a defensive posture. Upcoming economic indicators include the Core PCE Price Index…
The market is navigating a mixed regime with elevated risk, characterized by choppy conditions and a watchful macro backdrop. SPY and QQQ are anchored to their pivots, suggesting a degree of…
U.S. equity conditions start the day mixed, with market quality at 57 and follow-through weaker at 32. The main driver is event risk: the FOMC statement, rate decision, projections, and press…
U.S. equity conditions enter the morning mixed: SPY is sitting near its 754.5 pivot, while QQQ is close to its own anchor after a strong technology-led stretch. The broad read is not risk-off, but it…
U.S. index tone starts firmer, with QQQ up 2.8% from its prior close and SPY up 1.6% in the latest premarket read. The tape is mixed underneath: volatility conditions look orderly, index anchors are…
U.S. equity conditions enter the morning mixed, with SPY sitting below its 737.50 pivot while QQQ holds slightly above 712.50. Small caps are the weak spot after IWM showed a -2.1% gap, while QQQ’s…
The market exhibits a CHOPPY condition with ELEVATED risk, suggesting a DEFENSIVE trade posture. SPY and QQQ are showing stretched biases, trading above their pivot points. Key economic data…
The morning read is constructive but not clean. SPY is close to its 755.5 pivot, while QQQ is stretched below 745.5 after a negative premarket gap. Small caps are firmer, creating a split between…
U.S. index ETFs point lower before the open, with SPY at 755.18 and QQQ at 741.91 against nearby pivot levels. The tape still carries a bullish regime label, but today’s read is less about…
U.S. equity conditions enter Tuesday with a firm risk tone: market quality is elevated, volatility reads healthy, and SPY/QQQ remain close to key anchors. The first macro test is JOLTS Job Openings…
The morning read is constructive but not relaxed. Market quality remains bullish, yet event risk is high with ISM Manufacturing due after the open and payroll data later in the week. SPY and QQQ are…