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By Marc Nemenoff |
February 25, 2013
By the end of the week the June contract will be considered lead month, which is currently trading at a 1’16 discount to the Mar. contract at 142’06. For today, I’m still looking at the Mar. contract as a trading affair between 142’16 and 144’06.
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By Robert McCurtain |
February 25, 2013
Although last week's selling may test the stock market's bullish resolve, the trend is still intact. But how long can it hold out?
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By Robert McCurtain |
February 19, 2013
All major indexes rallied to new short- to intermediate-term highs. How long can stocks continue to charge forward amid such overbought conditions?
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By Jeff Greenblatt |
February 19, 2013
The U.S. economy comes into question as Wal-Mart sales disappoint. Is an already shaky stock market poised to react?
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By Robert McCurtain |
February 18, 2013
Major stock indexes were mixed last week, while the minor bullish cycle looks vulnerable. An important technical condition will be key.
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By Robert McCurtain |
February 10, 2013
When price and indicators diverge, it's a powerful message for the stock market. The meaning of that message depends on details, context and timing.
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By Marc Nemenoff |
February 7, 2013
Tomorrow morning at 11:00 a.m. (Chicago time) we will have the monthly Crop Report. I do not expect any surprises and will be willing to go into the Report with a long position.
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By Robert McCurtain |
February 4, 2013
The stock market climbs higher despite negative indicator readings. Could Apple's floundering share price push the indexes over the edge?
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By Kris Hicks |
January 31, 2013
Although oil experienced a range reduction on Wednesday and increasing its oversold status, it will require significant strength from the USD to put a halt to the nearly two months of sustained momentum WTI has established.
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By Kris Hicks |
January 30, 2013
The euro still needs to close above 1.35 to tackle the last obstacle between it and moving to my Q1 upside objective of 1.3709.