Swing Trade Idea – April 16, 2024
Laurie’s Abbreviation Index:
** ‘div’ – dividend
** ‘m/m’ – month over month
** ‘y/y’ – year over year
** ‘Inven’ – inventories
** ‘mfg’ – manufacturing
** +/- – plus or minus, positive or negative
** Underlined text – higher volume premarket
** ‘d’ – day
** ‘Y’ – year
**govt – government
Color Key: Positive – Neutral – Negative
Global Markets: USA, Europe, Japan, China, Hong Kong Asia – Neutral global set-up
· Commodities: Gold, Silver, Oil, natgas, AGGS, Industrial Metals
· Yields: 30Y Bond -.23% Currencies: USA$ 0% Vix: -.3%
·
News: USA: Powell 13:15 ET; Ind Prod 9:15 ET; China: GDP
q/y 5.3% beat; Ind Prod 4.5% y/y missed CDN: CPI 8:30 ET
Stocks: UNH+7.5%, MS +3%, ERIC +7.7%, PNC0%, JNJ-0.1%, EPS, AMD+1%, upgrade
·
Overview: USA SPY 505.6 with support at 505 and 500, and resistance at 500
and 510; SPY expected move +/- 4.65. QQQ 431.5 with resistance at 435 and
437, and support at 430, 426, and 425; QQQ expected move +/-4.47. USA
large cap indices are stable overnight but with negative gamma positioning
potential for large drops in either direction. Liquidity was expected to drop
Monday due to the tax deadline and the sharp move higher in bond volatility
reduced liquidity. Higher inflation and weakness in Yen is pressuring yields
higher which makes Powell’s comments today important. Vix term structure is
concerning, but not yet inverted but watch today as inversion can cause a vol
event. A popular trade has been to sell volatility and that trade is being
tested. SPY 505 is a line in the sand for today with potential to move lower to
500. Gamma positioning should provide support at SPX5000 and if that level is
reached a rebound or major breakdown is likely. Breadth is oversold and vol is
high so need to keep an open mind to breakdowns or bounces. Since the bond
market is driving the action, keep an eye on yields today and pay attention at
13:15 ET for Powell. Today’s daily expected move levels: SPY
(509.1-499.8), QQQ (435.5-426.6), IWM (199-192.5), and SPX(5108-5015).
Stocks to watch UNH, HUM, MS, ERIC, AMD, NVDA, TSLA
Spec Names ITCI
Pre-800ET
Earnings UNH, JNJ, BAC, MS, PNC, BK, ERIC, LVMUY
Indices DIA, XLV, SPY, XLF,, XLK, QQQ, COPX, GDX, IBIT, EFA, IWM, TLT, EWC,
Yen
S&P500 UNH, HUM, CVS, MS, ELV, SMCI, IBM, GL, LYV, TSLA,
FCX, ALB, NEM
Movers ITCI, MT, HIMS, EH, PAAS, BHP, SCCO, CLSK, MARA, GOLD, INFY, AA, BP, PDD,
CLF, PLTR, COIN, TSM, AFRM
Trade Idea: AAPL
AAPL is holding up better than other MAG7 stocks. Countertrend as stock is in a downtrend but can consider a long idea > 172.5 with target 175, 180.