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2026-W17

Finance Analyst Report: 2026-04-23 10:15:09

Signal Alignment

SPY Direction: SPY -0.1% (5d) | Alignment: 14% (1 aligned, 6 divergent) Status: STRONG DIVERGENCE — Strong divergence — structural signals broadly disagree with price

Category Signal Says vs SPY Key Driver
Dark Pool 🟢 BULLISH ✗ DIVERGENT DIX 0.484 above 0.45 and rising — institutions accumulating
Gamma 🟢 BULLISH ✗ DIVERGENT GEX +9.9B — dealers long gamma, suppressing downside vol
Credit 🟢 BULLISH ✗ DIVERGENT HY OAS 2.85% benign, NFCI -0.497 avg
Breadth 🟢 BULLISH ✗ DIVERGENT Breadth 56% — broad participation supports rally
Energy 🔴 BEARISH ✓ ALIGNED Energy RISING — oil climbing, margin pressure building
growth_expectations 🟢 BULLISH ✗ DIVERGENT Copper/Gold 20d RoC +2.8% — growth expectations improving
Correlations ⚪ NEUTRAL SPY/Oil correlation unavailable
Volatility 🟢 BULLISH ✗ DIVERGENT VIX 19.3 sub-20 in contango · VVIX/VIX 5.11 above-trend
Inflation ⚪ NEUTRAL Stagflation score 36 — moderate, watching
carry_risk ⚪ NEUTRAL USD/JPY 5d +0.2% stable
Liquidity ⚪ NEUTRAL Liquidity Adequate

Divergence read: Strong divergence — dark pool, gamma, and credit flash bullish as SPY falls. 6 of 7 signals refuse to confirm the decline — reversal risk if structure holds.

Market Status

Regime: RISK-ON | Score: 80/100 (Favorable) | Signal-price divergence detected: 6 signals disagree with SPY's 5d trend.

Leading indicators show energy RISING (WTI at $94, watch for margin compression); DIX rising to 0.484 (institutional accumulation increasing); GEX positive at 9.9B (vol-suppressing). Lagging confirmation: VIX at 19.3 (low-fear environment); sentiment reads Bullish; seasonal pattern historically bullish.

  • Sentiment: Bullish (Score: 0.24)

What Changed

  • No signal changes detected.

Key Levels

  • SPY: $710.05 | 50 SMA $676.23 | 200 SMA $667.77 | +0.1% from 50d | ZGL $687.98
  • QQQ: $652.85 | 50 SMA $604.61 | 200 SMA $600.32 | +0.1% from 50d | ZGL $654.46
  • IWM: $276.25 | 50 SMA $258.00 | 200 SMA $246.20 | +0.1% from 50d | ZGL $267.78
  • VIX: 19.34 — sub-20 (low vol)
  • 10Y Yield: 4.290%

Equity & Derivatives Board

Ticker Price RSI(14) IVR ZGL GEX Sent PCR
SPY $710.05 ▼ 90.56 84.1 $687.98 Neutral 1.18
QQQ $652.85 ▼ 94.34 90.5 $654.46 Neutral 1.16
IWM $276.25 ▼ 89.68 67.7 $267.78 Neutral 1.31

Macro Board

Ticker Price RSI(14) IVR ZGL GEX Sent PCR
VIX 19.34 ▲ 29.15 60.0 $11.34 Neutral 0.97
TNX 42.90 ▼ 46.31 52.7 - - -
GLD $433.72 ▲ 48.05 43.8 $409.00 Neutral 0.83
DXY 98.71 27.78 ▲ 23.7 ▲ - - -
SLV $68.64 ▲ 55.38 24.9 $70.58 Neutral 1.00

Dark Pool Activity

  • DIX (Dark Index): 0.484
  • DIX Signal: Strong buying
  • GEX (Gamma Exposure): 9.89B

Credit Conditions

  • HY OAS Spread: 2.85% (Normal)
  • BBB Spread: 1.00%
  • 2s10s Spread: 0.51% (Healthy slope)

Market Breadth

  • Stocks Above 50-Day SMA: 56.4%
  • Stocks Above 200-Day SMA: 59.8%
  • Breadth Signal: Moderately Bullish
  • Total Stocks Analyzed: 484

Sector Breadth

Sector % > 50d SMA Stocks
Financials 76.1% 51/67
Real Estate 70.8% 17/24
Communication Services 70.0% 14/20
Technology 68.8% 44/64
Energy 63.2% 12/19
Materials 59.1% 13/22
Consumer Discretionary 56.9% 33/58
Industrials 53.1% 34/64
Health Care 38.9% 21/54
Consumer Staples 30.3% 10/33
Utilities 24.1% 7/29

Energy & Commodities

  • Energy Regime: RISING
  • WTI Crude: $94.05 ▲ (5d: +12.2% ▲)
  • Brent Crude: $103.13 ▲ | Spread: $9.08 ▲
  • RBOB Gasoline: $3.2600/gal
  • Heating Oil: $3.8000/gal ▲
  • 3-2-1 Crack Spread: $50.43/bbl ▲ (Very wide)
  • XLE (Energy Sector): $56.82 ▼
  • UNG (Nat Gas): $10.68 ▲

Correlations

Pair 20d Corr Signal
SPY / VIX -0.833 normal
SPY / DXY -0.603 stretched
SPY / TNX -0.719 stretched
SPY / Oil N/A N/A

Volatility & Options

  • Volatility Regime: Contango (Normal)
  • MOVE Index (Bond Vol): 69.88
  • VIX/MOVE Ratio: 0.28 (Equity Vol Elevated vs Rates)
  • 0DTE Call Volume: 538,588 ▲
  • 0DTE Put Volume: 638,775 ▲
  • 0DTE Put/Call Ratio: 1.19 ▲ (Balanced 0DTE Flow)
  • Gamma Call Wall: $715 | Put Wall: $700 (Spot: $710.05)

Macro Fundamentals

  • 10Y Yield: 4.29% ▼
  • Yield Curve (10Y-3M): 0.71 ▼ (Normal)
  • DXY: 98.71
  • Growth vs Value: 0.92 ▼
  • Fed Funds Rate: N/A | Next FOMC: 2026-04-29
  • Rate Probabilities: Hold None | Cut None

Inflation Expectations

  • 5Y Breakeven: 2.61% (Above Target)
  • 10Y Breakeven: 2.38%
  • 5Y5Y Forward: 2.15%
  • Stagflation Risk Score: 36/100

Fed & Global Liquidity

  • Fed Balance Sheet (WALCL): $6705.7B
  • Treasury General Account (TGA): $751.4B
  • Reverse Repo (RRP): $0.5B
  • US Net Liquidity (WALCL - TGA - RRP): $5,954B
  • Liquidity Regime: Adequate
  • ECB Balance Sheet: ~$7,285B
  • BOJ Balance Sheet: ~$4,153B
  • Global Net Liquidity: $17,391B
  • BTC-USD (Liquidity Proxy): $77,481 (Neutral)

Active Alerts

  • [INFO] DIX at 0.484 — strong dark pool buying activity.
  • [WARNING] SKEW at 141 — elevated tail-risk hedging activity.
  • [INFO] Full bullish alignment: DIX 0.484, GEX +9.9B, HY OAS 2.85%, breadth 56%.
  • [WARNING] 5Y breakeven inflation at 2.61% — inflation expectations well above Fed target.
  • [WARNING] 3-2-1 crack spread at $50.34/bbl — refining margins extremely elevated, consumer fuel price pressure.
  • [WARNING] Regime shifted from CAUTIOUS to RISK-ON.
  • [INFO] GEX flipped positive to 5.6B — dealer hedging now dampens moves.

Seasonality

  • Current Month: April
  • Average Return: +2.38%
  • Median Return: +1.57%
  • Hit Rate: 80%
  • Signal: Historically Bullish

Today's Events

Economic Releases:

  • Initial Jobless Claims: 214 vs Est. 211 (BEAT) | Prev: 208
  • S&P Global Manufacturing PMI(Apr): 54.0 vs Est. 52.5 (BEAT) | Prev: 52.3
  • S&P Global Services PMI(Apr): 51.3 vs Est. 50.5 (BEAT) | Prev: 49.8
  • Continuing Jobless Claims: 1,821 vs Est. 1,820 (BEAT) | Prev: 1,809
  • S&P Global Composite PMI(Apr): 52.0 | Prev: 50.3

Upcoming Calendar (30 Days)

Economic Releases:

  • Philadelphia Fed Mfg Index: 2026-04-28
  • Gross Domestic Product (GDP): 2026-04-30
  • Consumer Price Index (CPI): 2026-05-12
  • Producer Price Index (PPI): 2026-05-13
  • Industrial Production: 2026-05-15

Earnings & EPS Estimates:

  • MSFT (2026-04-29): EPS Est. $4.07 (↑0.2% vs 30d)
  • GOOGL (2026-04-29): EPS Est. $2.62 (↑0.6% vs 30d)
  • AMZN (2026-04-29): EPS Est. $1.65 (↑0.4% vs 30d)
  • META (2026-04-29): EPS Est. $6.64 (↑0.6% vs 30d)
  • AAPL (2026-04-30): EPS Est. $1.94 (↓0.6% vs 30d)
  • NVDA (2026-05-20): EPS Est. $1.77 (↓0.0% vs 30d)
  • WMT (2026-05-21): EPS Est. $0.66 (↓0.3% vs 30d)
  • JPM (2026-07-14): EPS Est. $5.38 (↓1.2% vs 30d)
  • GS (2026-07-14): EPS Est. $13.76 (↓3.4% vs 30d)
  • TSLA (2026-07-22): EPS Est. $0.35 (↓13.3% vs 30d)

FX News Wire

No new articles found since last report.

Iran War News

No new Iran International updates since last report.

Hormuz Strait Status

Hormuz Strait: no change since last report.

Strait of Hormuz Dashboard:

  • Ships Transiting: Near zero (normal: ~60/day)
  • Stranded Vessels: 150+ ships including tankers, bulk carriers, and other commercial vessels
  • Oil Prices: Brent crude surging due to supply disruption
  • War Risk Insurance: Premiums at extreme levels, over 16x normal rates
  • Throughput: Under 2% of normal daily deadweight tonnage
  • Global Impact: 21% of world oil supply at risk; 25% of global LNG trade at risk; est. $4 billion/day economic cost
  • Shipping: +14 days via Cape reroute; tanker rates tripled