S&P 500 4402,66 -20,49.
A day without much volatility as the market traded in a tight range. We observed some selling pressure as measured by some of our indicators: buying/selling index and capitulation index. Options trading closed on a fairly neutral stance and the weekly survey among private investors is neutral. The main worry is still the deterioration of the cumulative advance/decline line on the NYSE and on the Nasdaq.
| Very short term oscillator | Positive + |
| Short term oscillator | Positive + |
| RVI trend | Positive + |
| Trend short term (5 days) | Up |
| Trend mid term (8 days) | Up |
| Differential of trends | Up |
| Risk profile6 | 51 (scale of 1 (low risk) to 100 (high risk)) |