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Week Ahead: Nov. 30-Dec. 4, 2020

Goodness. Gut punched today. Not ready to share. This is an abbreviated version my normal weekly note. Check out yesterday's post where I debate ending this blog altogether..

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Performance last week:
U.S. Indices
Dow +2.2% to 29,910. S&P 500 +2.3% to 3,638. Nasdaq +3.% to 12,206. Russell 2000 +3.9% to 1,855. CBOE Volatility Index -12.1% to 20.84.

S&P 500 Sectors
Consumer Staples +0.6%. Utilities +0.2%. Financials +4.6%. Telecom +2.7%. Healthcare +0.5%. Industrials +2.4%. Information Technology +2.1%. Materials +2.7%. Energy +8.5%. Consumer Discretionary +3.%.

World Indices
London +0.3% to 6,368. France +1.9% to 5,598. Germany +1.5% to 13,336. Japan +4.4% to 26,645. China +0.9% to 3,408. Hong Kong +1.7% to 26,895. India +0.6% to 44,150.

Commodities and Bonds
Crude Oil WTI +8.% to $45.53/bbl. Gold -4.8% to $1,783.1/oz. Natural Gas +7.5% to 2.849. Ten-Year Treasury Yield +0.% to 138.54.

Forex and Cryptos
EUR/USD +0.94%. USD/JPY +0.22%. GBP/USD +0.25%. Bitcoin -8.5%. Litecoin -20.1%. Ethereum -6.8%. Ripple +20.7%.
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Earnings:

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I'll update my positioning and ideas sometime later...sorry.

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