Market Pulse on February 26th

Olivier Rigot, EMC Gestion de Fortune

1 minute de lecture

S&P 500 3811.15 -18.19.

The stock market followed through Thursday’s selloff but limited losses. We observed selling pressure as measured by our buying/selling index and options traders started to hedge their positions as measured by put/call ratios. Some of the components of our model that were stuck to the ceiling over the last few weeks started to come back, improving slightly the global risk profile index. 

Very short term oscillator Negative -
Short term oscillator Negative -
RVI trend Negative -
Trend short term (5 days) Down
Trend mid term (8 days) Down
Differential of trends Down
Risk profile 72 (scale of 1 (low risk) to 100 (high risk))

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