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Stock Market Pauses After 2 Big Days, This S&P 500 Level Needs To Be Watched

Stock Market Pauses After 2 Big Days, This S&P 500 Level Needs To Be Watched

股市在兩個重要日子後暫停,標準普爾500指數的水平需要關注
Investor's Business Daily ·  2022/11/15 03:38  · 市場

The stock market wavered Monday, taking a needed pause following the biggest two-day rally since 2008.

週一股市搖擺不定,在經歷了自2008年以來最大的兩日漲勢之後,需要暫停。

The Nasdaq composite was down as much as 1.4% early in the day, but then bounced back. After spending part of the day in the black, the main indexes faded in late trading. The Nasdaq closed with a 1.1% loss. The S&P 500 fell 0.9% and the Dow Jones Industrial Average lost 0.6%.

納斯達克綜合指數在當天早些時候下跌了1.4%,但隨後反彈。在當天的一部分時間處於虧損狀態之後,主要股指在尾盤交易中下跌。納斯達克指數收盤下跌1.1%。標準普爾500指數下跌0.9%,道瓊斯工業平均指數下跌0.6%。

The Innovator IBD 50 ETF fell a more moderate 0.3%.

Innovator IBD 50 ETF下跌了更爲溫和的0.3%。

The market's morning bounce appeared to coincide with a report quoting Fed Vice Chair Lael Brainard. She indicated the Fed is likely to increase rates by a half-percentage point at its December meeting. That increase — milder than previous hikes of 75 basis points — would confirm market expectations.

市場早盤的反彈似乎與援引美聯儲副主席萊爾·佈雷納德的報道相吻合。她表示,美聯儲可能會在12月的會議上將利率提高半個百分點。這一漲幅——比之前的75個基點的漲幅要溫和——將證實市場的預期。

But selling picked up in the last hour of the session and indexes closed at the day's lows. It was bearish action, although not a surprise.

但拋售在交易日的最後一小時有所回升,指數收於當日低點。這是看跌的行動,儘管並不奇怪。

Thursday and Friday combined for the Nasdaq's best two-day advance in 14 years, according to Dow Jones Market Data. Last week was the index's best since March of this year.

道瓊斯市場數據顯示,週四和週五合計創下納斯達克14年來最佳兩日漲幅。上週是該指數自今年3月以來的最佳水平。

Those types of explosive gains cannot last long, so Monday's decline serves to moderate the stock market advance. Volume fell on the NYSE and Nasdaq, which suggested that institutional investors did not sell aggressively.

這類爆炸性漲勢不可能持續很長時間,因此週一的下跌有助於緩和股市的上漲。紐約證券交易所和納斯達克的交易量下降,這表明機構投資者並沒有積極拋售。

The Nasdaq has the smallest margin above the 50-day moving average compared with other main indexes. And it held above that level on Monday. At the same time, the S&P 500 met resistance around the 4,000 level, and that remains a potential ceiling to watch.

與其他主要指數相比,納斯達克指數高於50天移動平均線的利潤率最小。週一它保持在該水平之上。同時,標準普爾500指數在4,000水平附近遇到了阻力,這仍然是一個值得關注的潛在上限。

Stock Market Looks For Leadership

股市尋找領導力

While the major indexes are in confirmed uptrends, investors still need stocks to break out and make gains. In that regard, the picture is still mixed.

儘管主要股指處於已確認的上漲趨勢,但投資者仍需要股票突破並上漲。在這方面,情況仍然好壞參半。

The energy  sector has been leading the market for much of the year and continues to provide opportunities.

能源行業在一年中的大部分時間裏一直處於市場領先地位,並繼續提供機會。

In the field services industry group, $Schlumberger (SLB.US)$ ,$ProFrac Holding (PFHC.US)$ and $Tidewater (TDW.US)$ are progressing from breakouts. Drilling companies $ChampionX (CHX.US)$ and $Noble (NE.US)$are also engaged in strong uptrends.

在現場服務行業集團中, $斯倫貝謝 (SLB.US)$$ProFrac Holding (PFHC.US)$$潮水公司 (TDW.US)$ 正在從痘痘開始發展。鑽探公司 $ChampionX (CHX.US)$$Noble (NE.US)$也處於強勁的上升趨勢。

Pipeline stocks are leading, too. $Flex LNG (FLNG.FTOLD.US)$ is one stock to watch as it works on a cup base. $ONEOK Inc (OKE.US)$ is forming a double-bottom base.

管道股票也處於領先地位。 $Flex LNG (FLNG.FTOLD.US)$ 是一隻值得關注的股票,因爲它在杯底上起作用。 $歐尼克(萬歐卡) (OKE.US)$ 正在形成一個雙底基礎。

Contract manufacturing has emerged as a hot spot in the beleaguered tech sector. $Sanmina (SANM.US)$, $Fabrinet (FN.US)$ and $Plexus (PLXS.US)$ stand out in that No. 6-ranked group.

合同製造已成爲陷入困境的科技行業的熱點。 $新美亞電子 (SANM.US)$$Fabrinet (FN.US)$$普雷克薩斯 (PLXS.US)$ 在排名第六的小組中脫穎而出。

Finance, Manufacturing Among New Leadership

金融、製造業是新領導層

In other stock market sectors, a handful of brokers and financial firms are showing leadership: $Charles Schwab (SCHW.US)$ is forming bases and is part of the MarketSmith 250.

在其他股票市場領域,少數經紀商和金融公司表現出領導地位: $嘉信理財 (SCHW.US)$正在形成基礎,是 MarketSmith 250 的一部分。

Heavy truck maker $PACCAR Inc (PCAR.US)$ and diesel engine manufacturer $Cummins (CMI.US)$ bring some diversity to the list of recent breakouts.

重型卡車製造商 $帕卡 (PCAR.US)$ 和柴油發動機製造商 $康明斯 (CMI.US)$爲最近的突發事件列表帶來一些多樣性。

There's a good group of high-rated stocks setting up in bases.

基地裏有一大批高評級的股票。

But technology is one sector that is lagging in the new uptrend. Of more than 50 stocks in MarketSmith's list of recent breakouts, there are almost no software or chip companies.

但是科技是新上升趨勢中落後的行業之一。在MarketSmith最近突破名單中的50多隻股票中,幾乎沒有軟件或芯片公司。

A10 Networks is near a 19.15 buy point and cleared resistance around 16.50. Chipmaker $GlobalFoundries (GFS.US)$ is near the 66.06 buy point of a cup base. $Super Micro Computer (SMCI.US)$$Super Micro Computer (SMCI.US)$ is a hardware maker now extended from its 75.03 buy point.

A10 網絡 在19.15買入點附近,並在16.50附近清除阻力位。芯片製造商 $GlobalFoundries (GFS.US)$ 接近杯底66.06的買入點。 $超微電腦 (SMCI.US)$$超微電腦 (SMCI.US)$ 是一家硬件製造商,現已從75.03的買入點延期。

More chart patterns will appear with time.

隨着時間的推移,將出現更多的圖表模式。

Remember, the bear market destroyed the leadership — much of it in tech — that led the prior bull market. Fresh leadership could take time to develop and prove itself. With the amount of breakouts and bases investors have to work with right now, an exposure level of 20% to 40% seems adequate, as The Big Picture has noted.

請記住,熊市摧毀了領導先前牛市的領導地位,其中大部分是科技行業。新的領導層可能需要時間來發展和證明自己。正如《大圖》指出的那樣,鑑於目前投資者必須面對的突破數量和基礎,20%至40%的敞口水平似乎已經足夠了。

声明:本內容僅用作提供資訊及教育之目的,不構成對任何特定投資或投資策略的推薦或認可。 更多信息
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