Monday, July 19, 2021

Some Market Charts To Ponder On 一些值得思考的市场图表

 I am reposting some charts from an excellent article from ZeroHedge.com ""Fear" Nears 2020 Highs As Stocks, Bond Yields, & Crude Crash" 

The following chart is from Northmantrader.com. It shows the S&P 500 has solidly dropped below its uptrend line from November 2020.  Uptrend has broken, is this the beginning of a bigger correction?




The following charts are sourced from Bloomberg:

The first chart shows 10 year treasury yield has been going down since March 2021, and the S&P 500 has been rising during most that period until recently it started to follow the trend of the 10 year bond yield. Will this be a repeat of the next chart which shows the trends of both the 10 year treasury yield and the S&P 500 which diverged initially and then converged and both dropped sharply last year.






The following chart is also sourced from Bloomberg which shows drastic rise of Covid spread in UK. 
This is supposedly the main trigger for global stock sell off.



The following chart is what I got from CNBC. This chart shows today's Dow drop is the largest for the year of 2021.


The following diagrams are what I got from Finviz.com. The first diagram shows the severity of damages from all the 11 S&P 500 sectors today. The second diagram is the heat map showing the performances of all 500 stocks in the S&P 500 today.





The 1.5X VIX tracking ETF UVXY finally wakes up with 21.42% gain on 4.77 times average volume and broke above 50 day moving average. This shows a lot of fears among investors.




By  the way the  Dow, S&P 500 and Nasdaq Composite are down -725,81 (-2.09%), -68.67 (-1.59%) and -152.25 (-1.06%) respectively today. Not too tragic. There may be even more tragic days in the future.






下面我重新发布 ZeroHedge.com 的一篇优秀文章“恐慌”接近 2020 年高点,股票、债券收益率和原油大跌” 中的一些图表。

下图来自 Northmantrader.com。 显示标准普尔 500 指数自 2020 年 11 月以来的上升趋势线已肯定的被击穿。上升趋势已被打破,这是更大修正的开始吗?




以下图表来自彭博社:

第一张图表显示,10 年期国债收益率自 2021 年 3 月以来一直在下降,而标准普尔 500 指数在此期间的大部分时间里一直在上涨,直到最近才开始跟随 10 年期国债收益率的下跌趋势。 这是否会重演下一张图表,显示的去年 10 年期国债收益率和标准普尔 500 指数的趋势想通呢,它们最初的趋势也是出现分歧的,然后势回归相同,并都大幅下跌。





下面的图表也来自彭博社,它显示了英国 Covid 传播的急剧上升。这被认为是今天全球股票抛售的主要触发因素。




下面的图表是我从 CNBC 得到的。 这张图表显示,今天的道指跌幅是 2021 年最大的。



下面的图是我从 Finviz.com 得到的。 第一张图显示了今天标准普尔 500 指数所有 11 个板块的损失严重程度。 第二张图是显示标准普尔 500 指数中所有 500 只股票今天表现的热图。 





1.5 倍 VIX 追踪 ETF UVXY 今天最终以 4.77 倍的平均成交量上涨 21.42% 并突破 50 天移动平均线。 这表明投资者对市场的非常恐慌。




顺便提一提,道琼斯指数、标准普尔 500 指数和纳斯达克综合指数今天分别下跌了 -725,81 (-2.09%)、-68.67 (-1.59%) 和 -152.25 (-1.06%)。还不算惨烈。以后或会有更惨烈的日子。


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