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382% Model portfolio performance for 2005!
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Weekly Scoreboard* at 2006-02-06 23:45:56
Indices S&P 500 1,264.03 -1.53% DJIA 10,793.62 -1.04% NASDAQ 2,262.58 -1.81% Russell 2000 724.22 -1.09% S&P Equity Long/Short Index 1,164.53 +1.73% S&P Barra Growth 611.84 -1.57% S&P Barra Value 657.78 -1.49% Morgan Stanley Consumer 589.28 -1.62% Morgan Stanley Cyclical 779.83 -2.37% Morgan Stanley Technology 526.48 -3.01% Transports 4,263.56 -1.07% Utilities 405.37 -2.57% S&P 500 Cum A/D Line 7,796 -7.0% Bloomberg Crude Oil % Bulls 40.0 -31.61% Put/Call 1.06 +35.90% NYSE Arms 1.21 +32.97% Volatility(VIX) 12.96 +8.27% ISE Sentiment 159.00 -19.70% AAII % Bulls 44.70 +45.27% AAII % Bears 33.33 unch. US Dollar 89.89 +.63% CRB 345.90 -.31% ECRI Weekly Leading Index 138.20 -.07%
Futures Spot Prices Crude Oil 65.37 -3.64% Unleaded Gasoline 168.17 -7.34% Natural Gas 8.61 +.38% Heating Oil 178.16 -3.17% Gold 571.60 +.07% Base Metals 175.83 +4.13% Copper 230.40 +3.41% 10-year US Treasury Yield 4.52% +.22% Average 30-year Mortgage Rate 6.23% +1.80%
Leading Sectors Airlines +4.16% Alternative Energy +3.56% HMOs +3.19% Restaurants +2.14% Networking +1.57% Telecom +.72%
Lagging Sectors Utilities -2.57% Software -2.60% Tobacco -2.78% Internet -3.65% Semis -4.02%
One-Week High-Volume Gainers One-Week High-Volume Losers
*5-Day % Change
Blog Source - http://www.hedgefundmgr.blogspot.com/atom.xml
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