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[ 2008 ] [ 2007 ] [ 2006 ] [2005] [2004] [2003] [2002] 2005 COMMENTS Click on the date below to be taken to the appropriate commentary. 12/28/05......QQQQ typically rises after hours and declines during the day 12/23/05......The Seasonality Index has performed exceedingly well in 2005 12/21/05......ISE put/call extremely high; OEX open interest looks positive 12/15/05......The S&P hitting new highs while new lows are high as bad sign 12/14/05......Money flows into equity funds; Low put/call readings 12/11/05......Commercial trader positions in stock index futures have tanked 12/07/05......QQQQ Liquidity Premium; Reversals from new highs in the S&P 12/05/05......Rydex money market; AIM model; Large & small option traders 12/01/05......Seasonality and CoT data for the energy sector 11/29/05......Titanic Syndrome; Small options traders in speculative frenzy 11/18/05......No clear edge, expect choppy to higher prices 11/15/05......A broad overview of each of our indicator categories 11/11/05......Financial sector is overbought; New lows are not contracting 11/09/05......Bullish indicators drying up; OEX traders reducing calls 11/07/05......Stock/Bond ratio; Dow Transports versus Industrials 11/03/05......Stock/Bond ratio; OEX traders; Mid-November seasonality 11/02/05......Fed rate reversals; Mutual fund cash reserves 10/31/05......US Dollar positions; Commercial traders in equities 10/28/05......Impending positive seasonality in SOX 10/25/05......Previous Fed nominations; Price volatility 10/24/05......Breadth volatility; Commercial traders; Public shorting 10/21/05......Sector rotation; Immediate price reversals 10/20/05......Outside days in S&P; Large drop in VIX 10/19/05......INTC gaps; Liquidity Premiums 10/18/05......Two up days after oversold; ROBO p/c ratio 10/14/05......Rydex short funds; Rydex small caps; Equity p/c ratio 10/13/05......Indicator failures; Total p/c ratio; NYSE new highs 10/12/05......SOX drop; NDX down 6 straight days 10/11/05......Bond outlook; Gold outlook; Odd lot short sales 10/06/05......Lopsided breadth statistics; Oversold S&P price pattern 10/06/05......Short-term bullish patterns 10/05/05......Liquidity Premiums; ISE index; High-beta breadth 10/03/05......UBS Survey; Specialist shorts; Rydex asset shift 09/29/05......Small price range; Rydex Venture assets; Nat Gas price spike+ 09/28/05......Lowrisk.com survey; Hindenburg Omen 09/27/05......QQQQ P/C ratio; September month-end seasonality 09/26/05......QQQQ gaps up on Mondays; Public short sales 09/23/05......Odd lot short sales; Total P/C ratio; Rydex asset movements 09/22/05......4 consecutive days with a minus 1,000 advance/decline reading 09/21/05......Odd lot traders; Fed day reversals; NYSE TRIN 09/20/05......Stock and bond performance on Fed decision days 09/19/05......Commitments of Traders; U of Michigan Consumer Sentiment 09/16/05......DIA vs IWM; ISE sentiment index; September option expiration 09/13/05......OEX options traders; SPY volume; lowrisk.com survey
09/11/05......OEX traders betting on market decline
09/09/05......OEX options; SPY Premium; Rydex Japan; INTC guidance
09/06/05......Confidence indexes; Sept seasonality; Specialist shorts; COT
09/01/05......Yield curve inversion; Chicago PMI; Mutual fund cash reserves
08/31/05......August intraday updates
08/07/05......Options traders bet on rally; New Rydex funds
07/31/05......July intraday updates
07/24/05......Oil sector outperformance
07/03/05......Block trades; Mutual fund cash reserves
06/30/05......June intraday updates
06/19/05......S&P back to positive; Rydex aggressive & defensive sectors
06/05/05......NDX days w/o 1% drop; Yield curve and inflation
05/31/05......May intraday updates
05/29/05......State Street Investor Confidence; Real-money contrary gauges
05/14/05......Divergence b/ween NDX and SPX; Rydex traders
05/01/05......NYSE breadth flip-flop; Public shorting
04/30/05......April intraday updates
04/17/05......Worst day in two years; Stock/bond ratio
04/10/05......100 year of historical volatility points to more low vol
04/03/05......Small cap underperformance looking for a change
03/31/05......March intraday updates
03/26/05......Low TRIN readings not as bearish as common perception
03/22/05......NYSE versus Nasdaq volume
03/13/05......Nasdaq versus Oil relative strength
03/07/05......Lagging Nasdaq paints bearish picture
03/02/05......A look at the Fidelity Select indicator
02/27/05......A look at four broad indicator categories
02/22/05......SPY volume; Consumer Confidence as a contrary indicator
02/16/05......OEX Determination Index
02/13/05......SPY versus QQQQ; Sector group sentiment
02/08/05......Sector group outlook based on volatility and yield curve
02/03/05......Rydex Banking and Biotech; Nonfarm payroll report
02/01/05......Buy/Sell Confidence introduction; January indicator
01/27/05......Comparing current readings to past bottoms
01/25/05......Breadth is very oversold; Advancing S&P stocks lacking gains
01/20/05......Rydex sectors with assets below 50-day average
01/18/05......AAII sentiment survey; OTC BB volume
01/12/05......Indicator score suggests a trading range
01/09/05......A review of smart and dumb money; S&P price pattern
01/06/05......3 down days to begin year; Odd lot shorts; Rydex assets
01/05/05......No real concern shown about this decline
01/02/05......Swift move lower imminent
[ 2008 ] [ 2007 ] [ 2006 ] [2005] [2004] [2003] [2002]
© 2001-2008 Sundial Capital Research, Inc. All rights reserved. sentimenTrader.com is a trademark of Sundial Capital Research, Inc. Sundial Capital Research, Inc. 12527 Central Avenue NE, Suite 165 Blaine, MN 55434 |
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