S&P 500 4521,54 +37,67.
The rebound of February is still underway as bargain hunters are pouring money into the market as measured by our various indicators tracking buying/selling activities. Internal momentum is not that impressive as breadth on a daily basis is barely positive led by some big cap stocks. Options trading is fairly neutral while our model measuring the global risk is trending towards the neutral level.
| 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 profile | 44 (scale of 1 (low risk) to 100 (high risk)) |