S&P 500 3876,50 -30,21.
Over the last week, important sectors rotation has taken place. Interest rates and commodities are going up, markets are anticipating a stronger economy than previously thought and a lot of bottlenecks and shortage of various materials, components or limited capacities are appearing here and there. These factors may lead to a resurgence of inflation and affect the valorization of high-flying stocks. Our model improved slightly but the sentiment of most market participants points out to a lot of optimism if not euphoria in some pockets of the market.
|Very short term oscillator||Negative -|
|Short term oscillator||Neutral|
|RVI trend||Positive +|
|Trend short term (5 days)||Down |
|Trend mid term (8 days)||Down |
|Differential of trends||Up |
|Risk profile||75 (scale of 1 (low risk) to 100 (high risk))|