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2026-W37

Finance Analyst Report: 2026-09-09 14:04:38 ET

Signal Alignment

SPY Direction: SPY -0.9% (3d) | Alignment: 40% (2 aligned, 3 divergent) Status: MIXED β€” Mixed β€” no clear signal consensus

Category Signal Says vs SPY Key Driver
Dark Pool πŸ”΄ BEARISH βœ“ ALIGNED DIX 0.485 moderate, 0DTE PCR 1.31 put-heavy
Gamma 🟒 BULLISH βœ— DIVERGENT GEX +6.0B strong suppression
Breadth πŸ”΄ BEARISH βœ“ ALIGNED Breadth 38% β€” narrow participation, rally is fragile
Energy βšͺ NEUTRAL β€” Energy ELEVATED β€” watch for transmission but not yet bearish
growth_expectations βšͺ NEUTRAL β€” Copper/Gold +4.2% growth optimism Β· real yield 2.43% restrictive
Correlations 🟒 BULLISH βœ— DIVERGENT SPY/VIX -0.81 normal, SPY/DXY -0.30 normal, SPY/TNX -0.46 elevated, SPY/Oil -0.51 stretched
Volatility βšͺ NEUTRAL β€” VIX 16.2 sub-20 in contango Β· SKEW 149 firm Β· VVIX/VIX 5.77 dealer stress
Inflation βšͺ NEUTRAL β€” Stagflation score 34 β€” moderate, watching
carry_risk βšͺ NEUTRAL β€” USD/JPY 5d -3.4% yen strengthening, MOVE 76 calm
Liquidity βšͺ NEUTRAL β€” Liquidity Adequate
Credit 🟒 BULLISH βœ— DIVERGENT HY OAS 2.67% moderate, NFCI -0.558 loose

Divergence read: Signals are mixed with no strong directional consensus against price.

Market Status

Regime: CAUTIOUS | Score: 66/100 (Mixed) |

Leading indicators show DIX stable at 0.485; GEX positive at 6.0B (vol-suppressing); breadth falling to 38% (participation narrowing). Lagging confirmation: VIX at 16.2 (low-fear environment); seasonal pattern historically neutral.

Screener Action Board

  • Screener Action Board not available this cycle.

Track Record

  • AI brief hit rate not available this cycle.
  • Screener board record not available this cycle.

What Changed

  • No signal changes detected.

Key Levels

  • SPY: $763.07 | 50 SMA $757.60 | 200 SMA $712.68 | +0.0% from 50d | ZGL $766.6
  • QQQ: $716.68 | 50 SMA $711.32 | 200 SMA $658.32 | +0.0% from 50d | ZGL $595.0
  • IWM: $291.01 | 50 SMA $296.91 | 200 SMA $272.99 | -0.0% from 50d | ZGL $240.0
  • VIX: 16.19 β€” sub-20 (low vol)
  • 10Y Yield: 4.829%

Equity & Derivatives Board

Ticker Price RSI(14) IVR ZGL Ξ³-Sent PCR
SPY $763.07 48.48 15.7 $766.60 Bearish 2.38
QQQ $716.68 50.74 18.0 $595.00 Neutral 1.41
IWM $291.01 40.17 6.1 $240.00 Bearish 5.02

Macro Board

Ticker Price RSI(14) IVR ZGL Ξ³-Sent PCR
VIX 16.19 54.38 21.5 $11.07 Neutral 1.06
TNX 48.29 60.59 21.8 - - -
GLD $405.07 50.67 37.1 $402.36 Neutral 0.51
DXY 98.75 48.60 35.4 - - -
SLV $61.34 55.77 11.1 $46.61 Bearish 0.47

Dark Pool Activity

  • DIX (Dark Index): 0.485
  • DIX Signal: Strong buying
  • GEX (Gamma Exposure): 5.96B

Credit Conditions

  • HY OAS Spread: 2.67% (Normal)
  • BBB Spread: 0.99%
  • 2s10s Spread: 0.41% (Flat-ish)

Market Breadth

  • Stocks Above 50-Day SMA: 38.3%
  • Stocks Above 200-Day SMA: 59.3%
  • Breadth Signal: Moderately Bearish
  • Total Stocks Analyzed: 496
  • Mag 7 Concentration: 32.2%
  • Top 10 Concentration: 41.7%

Sector Breadth

Sector % > 50d SMA Stocks
Energy 94.7% 0/0
Health Care 59.3% 0/0
Technology 53.8% 0/0
Communication Services 52.6% 0/0
Financials 45.6% 0/0
Materials 33.3% 0/0
Consumer Discretionary 28.8% 0/0
Consumer Staples 26.5% 0/0
Industrials 16.4% 0/0
Utilities 13.3% 0/0
Real Estate 11.5% 0/0

Energy & Commodities

  • Energy Regime: ELEVATED
  • WTI Crude: $95.71 (5d: +5.2%)
  • Brent Crude: $100.83 | Spread: $5.12
  • RBOB Gasoline: $3.0300/gal
  • Heating Oil: $4.7700/gal
  • 3-2-1 Crack Spread: $55.91/bbl (Very wide)
  • XLE (Energy Sector): $65.38
  • UNG (Nat Gas): $10.14

Correlations

Pair 20d Corr Signal
SPY / VIX -0.806 normal
SPY / DXY -0.297 normal
SPY / TNX -0.463 elevated
SPY / Oil -0.509 stretched

Volatility & Options

  • Volatility Regime: Contango (Normal)
  • MOVE Index (Bond Vol): 76.14
  • VIX/MOVE Ratio: 0.21 (Normal Relationship)
  • 0DTE Call Volume: 2,236,510.0
  • 0DTE Put Volume: 2,930,062.0
  • 0DTE Put/Call Ratio: 1.31 (Heavy 0DTE Put Buying (Hedging))
  • 0DTE Notional Dollar Volume: $394.3B
  • Gamma Call Wall: $770 | Put Wall: $760 (Spot: $763.07)

CTA Trend Stack

  • SMA Stack Score: 3/4 above
  • Position: Above 50,100,200d SMA(s) Β· below 20d

Positioning & Sentiment

  • CFTC E-mini Specs Net: -75,941 contracts (Z +0.70, as of 2026-09-01)
  • AAII Bull-Bear Spread: +2.1% (as of 2026-09-02)
  • Squeeze Setup: none (0/4 triggers Β· no triggers active)
  • Fragility Flags: Air Pocket elevated Β· Re-entry none

Macro Fundamentals

  • 10Y Yield: 4.83%
  • Yield Curve (10Y-3M): 1.02 (Normal)
  • DXY: 98.75
  • Growth vs Value: 0.94
  • Fed Funds Rate: 3.50-3.75% | Next FOMC: 2026-09-16
  • Rate Probabilities: Hold N/A | Cut N/A

Inflation Expectations

  • 5Y Breakeven: 2.40% (Near Target)
  • 10Y Breakeven: 2.37%
  • 5Y5Y Forward: 2.34%
  • Stagflation Risk Score: 34/100

Fed & Global Liquidity

  • Fed Balance Sheet (WALCL): $6737.2B
  • Treasury General Account (TGA): $967.9B
  • Reverse Repo (RRP): $0.6B
  • US Net Liquidity (WALCL - TGA - RRP): $5,769B
  • Liquidity Regime: Adequate
  • ECB Balance Sheet: ~$6,883B
  • BOJ Balance Sheet: ~$4,200B
  • Global Net Liquidity: $16,851B
  • BTC-USD (Liquidity Proxy): $78,784 (Neutral)

Active Alerts

  • [WARNING] SPY near gamma wall β€” expect increased resistance/support and potential pinning at key strike.
  • [WARNING] Key correlation regime break detected β€” normal market relationships are shifting, increased unpredictability.
  • [CRITICAL] WTI crude at $95.71 β€” energy shock territory, stagflation risk rising.
  • [INFO] DIX at 0.485 β€” strong dark pool buying activity.
  • [WARNING] USD/JPY 5d RoC at -3.4% β€” yen strengthening, carry unwind pressure building.
  • [WARNING] Oil spike alert: USO at $149.02 (vs 20d avg 132.95, +2.6Οƒ), floor $75.00 β€” potential geopolitical disruption or supply shock.
  • [WARNING] SKEW at 149 β€” elevated tail-risk hedging activity.
  • [WARNING] Data integrity: effr has printed the same value (3.63) for 40 consecutive trading days β€” publish cadence is daily (~1 trading day(s); freeze bar 5). The feed may be frozen: downstream lenses, grading, and analogues are consuming a stale copy.
  • [WARNING] Data integrity: vix_backwardation_depth_pct has printed the same value (0.0) for 103 consecutive trading days β€” publish cadence is intraday (~1 trading day(s); freeze bar 5). The feed may be frozen: downstream lenses, grading, and analogues are consuming a stale copy.
  • [INFO] Screener: 7 fresh PRIMED high-conviction name(s) for 2026-09-09 β€” RVTY (conviction 77/100, breakout_pullback, calibrated oversold_sympathy hit-rate 51% (n=5812)); ASML (conviction 74/100, breakout_pullback, calibrated failed_breakout hit-rate 48% (n=10778)); IRT (conviction 69/100, range_noise, calibrated oversold_sympathy hit-rate 51% (n=5812)); OLN (conviction 68/100, structural_derate, calibrated failed_breakout hit-rate 48% (n=10778)); OMC (conviction 68/100, range_noise, calibrated oversold_sympathy hit-rate 51% (n=5812)); NDSN (conviction 61/100, breakout_pullback, calibrated failed_breakout hit-rate 48% (n=10778)); GAP (conviction 61/100, range_noise, calibrated oversold_sympathy hit-rate 51% (n=5812)). Calibrated setups only; decision-support, not advice.

Seasonality

  • Current Month: September
  • Average Return: -0.54%
  • Median Return: +0.30%
  • Hit Rate: 55%
  • Signal: Historically Neutral

Today's Events

Economic Releases:

  • Employment Situation (Payrolls): ⏳ Pending

Upcoming Calendar (30 Days)

Economic Releases:

  • Producer Price Index (PPI): 2026-09-10
  • Consumer Price Index (CPI): 2026-09-11
  • Retail Sales: 2026-09-16
  • Industrial Production: 2026-09-18
  • Philadelphia Fed Mfg Index: 2026-09-22
  • Gross Domestic Product (GDP): 2026-09-30
  • Employment Situation (Payrolls): 2026-10-02

Earnings & EPS Estimates:

  • JPM (2026-10-13): EPS Est. $5.91 (↑0.1% vs 30d)
  • GS (2026-10-13): EPS Est. $16.43 (↑16.6% vs 30d)
  • TSLA (2026-10-21): EPS Est. $0.45 (↓0.5% vs 30d)
  • MSFT (2026-10-28): EPS Est. $4.72 (↑0.1% vs 30d)
  • GOOGL (2026-10-28): EPS Est. $3.01 (↑0.2% vs 30d)
  • META (2026-10-28): EPS Est. $6.53 (↓3.4% vs 30d)
  • AAPL (2026-10-29): EPS Est. $1.98 (↑0.1% vs 30d)
  • AMZN (2026-10-29): EPS Est. $1.95 (↑0.2% vs 30d)
  • NVDA (2026-11-17): EPS Est. $2.47 (↑5.3% vs 30d)
  • WMT (2026-11-19): EPS Est. $0.64 (↓6.8% vs 30d)

FX News Wire

Unread articles (1):

[1] EUR/USD Price Forecast: Buyers seek a decisive break above the 200-day SMA URL: https://www.fxstreet.com/news/eur-usd-price-forecast-buyers-seek-a-decisive-break-above-the-200-day-sma-202609091746 Published: Wed, 09 Sep 2026 17:46:17 GMT

Iran War News

No new Iran International updates since last report.

Hormuz Strait Status

Strait of Hormuz Dashboard:

  • Strait Status: CLOSED (since 2026-02-28, 193 days ago)
  • Ships Transiting: 6 of 60 normal daily β€” 10.0% of normal
  • Throughput: 10.0% of normal (1.0M / 10.3M DWT)
  • Stranded Vessels: 300
  • Oil Prices: Brent $96.02 (+6.99%)
  • War Risk Insurance: EXTREME β€” 63.3x normal
  • Tanker Rates: WS280 (+460% vs pre-crisis)
  • Global Impact: 21% of world oil supply at risk; est. $4.2 billion/day economic cost