Financial market overview

S&P 500 Liquidity Concerns Persist as Breadth Weakens and RSI Trends Lower

2024.12.13 03:09

The fell by about 50 basis points yesterday, with the down roughly 65 basis points. came in slightly hotter on the headline numbers, but as I reviewed with members earlier, if you strip out the components that feed into the report, nearly all of those metrics were lower than last month. This has led some analysts to believe that may not be as strong as previously anticipated, which helped push yields slightly lower to start the day.

This morning, The ECB rate caused rates in Europe to fall, as the statement was interpreted as dovish. However, following the press conference, rates in Europe rose sharply. Notably, the Italian-German 10-year spread increased by about seven basis points to 1.13%.

This move may have received little attention, but it is significant. Spreads tend to move in tandem, and the Italian-German spread reaching levels last seen in late 2021 or early 2022 is noteworthy. Yesterday’s considerable increase could signal the beginning of a bottoming process in credit spreads.IT10Y-DE10Y-Daily Chart

European rates closed higher, with yields rising by 14 basis points and yields by seven basis points. yields also rose following a weaker-than-expected 30-year auction, ending the day at around 4.33% to 4.34%.

This level is essential, as the 10-year yield closed just above a key trendline and horizontal support at 4.34%, suggesting a potential breakout toward 4.75%. Over the long term, nominal 10-year yields could trend as high as 6%.US10Y-Daily Chart

We’ll get – price data today, with coming Tuesday and the on Wednesday. The is expected to announce a rate cut, but the dot plot may lean more hawkish, potentially pushing rates higher.

U.S. 2-year inflation swaps rose by one basis point to 2.61% yesterday. While still below 2.7%, a sustained rise above that level could shift market expectations toward potential rate hikes in 2025 rather than cuts. Two-year inflation swaps have historically been a leading indicator of Fed policy direction.US 2-Year Inflation Swap

The strengthened by 34 basis points yesterday, with key resistance on the dollar index at 107.25. A breakout above this level could push the back toward 109, a significant move, as the dollar has not been above 107.25 since late 2022.US Dollar Index-Daily Chart

In equities, the S&P 500 declined by 54 basis points, with market breadth showing continued weakness. The relative strength index (RSI) is trending downward, and the advance-decline line is falling, suggesting liquidity strains are beginning to appear in equity markets. Support for the S&P 500 lies around 6,000, with additional support at 5,860 to 5,690. Resistance may be near the upper Bollinger Band at approximately 6,150.SPX-Daily Chart

I will be back on Sunday.

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