Jumat, 27 Januari 2012

Friday Morning Update


Nothing much has changed since yesterday;s chart. We are a little lower in the trading range, but entering a zone where we should get plenty of support. The market is doing another 10 am plunge, which means another bad economic number (I have UofM consumer sentiment scheduled for 9:55, but don't have the number). I will be looking for a reversal in about an hour or so. The leading sectors this morning are XLB and XLV, the laggards are XLU and XLP. Both the Nasdaq and Russell 2000 are leading. Oil is up, gold down, treasury yields mixed with the 10 year down and the 30 year up.

I have 49 new highs so far, with breakouts in DWCH, SYNA, QLGC, and STX.  Here is what I have reporting, last night's on the left, this morning's on the right:
Ticker Change
Ticker Change
BVSN -3.13%
AHGP 0.49%
KLAC 3.28%
DHI 2.90%
LSCC 6.02%


RYL -0.59%


SYNA 3.81%



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