{"id":53337,"date":"2023-08-26T15:10:09","date_gmt":"2023-08-26T19:10:09","guid":{"rendered":"https:\/\/ifintechworld.com\/investing\/opinion-if-the-sp-500-breaks-this-key-support-level-bulls-will-be-in-trouble\/"},"modified":"2023-08-26T15:10:12","modified_gmt":"2023-08-26T19:10:12","slug":"opinion-if-the-sp-500-breaks-this-key-support-level-bulls-will-be-in-trouble","status":"publish","type":"post","link":"https:\/\/ifintechworld.com\/?p=53337","title":{"rendered":"Opinion: If the S&#038;P 500 breaks this key support level, bulls will be in trouble"},"content":{"rendered":"<p>The stock market, as measured by the S&amp;P 500 Index<br \/>\n        SPX<span>,<\/span><br \/>\n       peaked near 4600 in late July and has been in a downtrend ever since. Last week, the pullback had its first test of a major support area, at 4330, and that support held quite nicely. So, by that measure, the bull market is still intact on the SPX chart. There is another support area at 4200, but it\u2019s the one at 4330 that needs to hold in order to keep us in a \u201ccore\u201d bullish position.\u00a0<\/p>\n<div>\n<p>There were several oversold conditions, so this current rally might just be an oversold rally. Those usually carry up to and perhaps slightly above the declining 20-day Moving Average before they fail. With the strong earnings of NVIDIA<br \/>\n        NVDA,<br \/>\n        <bg-quote field=\"percentchange\" format=\"0,000.00%\" channel=\"\/zigman2\/quotes\/200467500\/composite\" class=\"negative\">-2.43%<\/bg-quote><br \/>\n       on Wednesday, SPX will likely exceed its declining 20-day Moving Average on Thursday. <\/p>\n<div data-layout=\"inline\n                \" data-layout-mobile=\"\" class=\"\n          media-object\n          type-InsetMediaIllustration\n            inline\n  article__inset\n          article__inset--type-InsetMediaIllustration\n            article__inset--inline\n  \"><\/p>\n<p>          <!-- eventually when we know what this card will be we can change it and leave this one --><\/p>\n<figure class=\"\n        media-object-image\n        enlarge-image\n        img-inline\n        article__inset__image\n      \" itemscope=\"\" itemtype=\"http:\/\/schema.org\/ImageObject\"><\/p>\n<div style=\"padding-bottom:74.85714285714286%;\" data-subtype=\"photo\" class=\"image-container  responsive-media article__inset__image__image\"><\/div>\n<\/figure><\/div>\n<p>This recent pullback saw SPX trade below its -4\u03c3 \u201cmodified Bollinger Band\u201d (mBB). That successfully completed the McMillan Volatility Band (MVB) sell signal of late July (red \u201cS\u201d on the SPX chart). Not only that, but by moving below the -4\u03c3 Band now, a potential new MVB buy signal could set up. Yesterday\u2019s action in SPX saw a \u201cclassic\u201d mBB buy signal occur. We don\u2019t trade those, though, because there have been too many whipsaws from them in the past. Rather, we wait for further confirmation in the form of follow-through that creates the MVB buy signal. That could come as soon as today.<\/p>\n<p>Equity-only put-call ratios continue to move higher. Thus, they remain on sell signals and will continue to do so until they roll over and begin to decline. Even when the market rallies, it seems that there is a good deal of put buying, which keeps these ratios moving higher.<\/p>\n<div data-layout=\"inline\n                \" data-layout-mobile=\"\" class=\"\n          media-object\n          type-InsetMediaIllustration\n            inline\n  article__inset\n          article__inset--type-InsetMediaIllustration\n            article__inset--inline\n  \"><\/p>\n<p>          <!-- eventually when we know what this card will be we can change it and leave this one --><\/p>\n<figure class=\"\n        media-object-image\n        enlarge-image\n        img-inline\n        article__inset__image\n      \" itemscope=\"\" itemtype=\"http:\/\/schema.org\/ImageObject\"><\/p>\n<div style=\"padding-bottom:75.28571428571429%;\" data-subtype=\"photo\" class=\"image-container  responsive-media article__inset__image__image\">\n        <img decoding=\"async\" itemprop=\"contentUrl\"   src=\"https:\/\/ifintechworld.com\/wp-content\/uploads\/2023\/08\/im-841259\" alt=\"\" title=\"\">\n      <\/div>\n<\/figure><\/div>\n<div data-layout=\"inline\n                \" data-layout-mobile=\"\" class=\"\n          media-object\n          type-InsetMediaIllustration\n            inline\n  article__inset\n          article__inset--type-InsetMediaIllustration\n            article__inset--inline\n  \"><\/p>\n<p>          <!-- eventually when we know what this card will be we can change it and leave this one --><\/p>\n<figure class=\"\n        media-object-image\n        enlarge-image\n        img-inline\n        article__inset__image\n      \" itemscope=\"\" itemtype=\"http:\/\/schema.org\/ImageObject\"><\/p>\n<div style=\"padding-bottom:74.71428571428571%;\" data-subtype=\"photo\" class=\"image-container  responsive-media article__inset__image__image\">\n        <img decoding=\"async\" itemprop=\"contentUrl\"   src=\"https:\/\/ifintechworld.com\/wp-content\/uploads\/2023\/08\/im-841257\" alt=\"\" title=\"\">\n      <\/div>\n<\/figure><\/div>\n<p>Breadth has been very poor throughout most of August, and so the breadth oscillators have remained on sell signals. They have reached deeply oversold conditions, but it would take at least two days of positive breadth to pull them out of this condition and over onto a buy signal. That has not taken place yet.<\/p>\n<p>New 52-week Lows on the NYSE have outnumbered New Highs for the past eight trading days. That stopped out the long-standing buy signal from this indicator, but the indicator is now neutral. It would take New Lows registering more than 100 issues for two consecutive days in order to generate a sell signal. So, despite the recent increase in New Lows, it has not been enough to create a sell signal.<\/p>\n<p>The above indicators are what we call \u201cmarket internals,\u201d and they have been fairly negative in line with the decline in SPX. Volatility measures, on the other hand, have more or less remained subdued and thus bullish in their outlook for stocks. The VIX<br \/>\n        VX00,<br \/>\n        <bg-quote field=\"percentchange\" format=\"0,000.00%\" channel=\"\/zigman2\/quotes\/210387616\/delayed\" class=\"negative\">-4.42%<\/bg-quote><br \/>\n       \u201cspike peak\u201d buy signal that was generated a couple of weeks ago remains in place (green \u201cB\u201d on the accompanying VIX chart). In addition, the intermediate-term trend of VIX buy signal remains in place as well. That signal would be stopped out if VIX were to close above its declining 200-day Moving Average, which it briefly touched this week. The 200-day MA is at 18.70 and declining.<\/p>\n<div data-layout=\"inline\n                \" data-layout-mobile=\"\" class=\"\n          media-object\n          type-InsetMediaIllustration\n            inline\n  article__inset\n          article__inset--type-InsetMediaIllustration\n            article__inset--inline\n  \"><\/p>\n<p>          <!-- eventually when we know what this card will be we can change it and leave this one --><\/p>\n<figure class=\"\n        media-object-image\n        enlarge-image\n        img-inline\n        article__inset__image\n      \" itemscope=\"\" itemtype=\"http:\/\/schema.org\/ImageObject\"><\/p>\n<div style=\"padding-bottom:74.71428571428571%;\" data-subtype=\"photo\" class=\"image-container  responsive-media article__inset__image__image\">\n        <img decoding=\"async\" itemprop=\"contentUrl\"   src=\"https:\/\/ifintechworld.com\/wp-content\/uploads\/2023\/08\/im-841261\" alt=\"\" title=\"\">\n      <\/div>\n<\/figure><\/div>\n<p>Finally, the construct of volatility derivatives remains bullish since the term structures of the VIX futures and of the CBOE Volatility Indices continue to slope upwards. Moreover, the VIX futures are trading at relatively large premiums to VIX.<\/p>\n<p>So, we are maintaining a low-delta \u201ccore\u201d bullish position as long as SPX is above 4330, and we will trade other indicators around that.\u00a0<\/p>\n<p><strong>New Recommendation: Potential MVB buy signal<\/strong><\/p>\n<p>SPX has moved above its -3\u03c3 Band and thus created a \u201cclassic\u201d modified Bollinger Band buy signal. However, for a McMillan Volatiltiy Band (MVB) buy signal to occur, SPX will have to trade at 4459 or higher.\u00a0<\/p>\n<p><strong>IF SPX trades at 4459 at any time, then buy 1 SPY <\/strong><br \/>\n        SPY<br \/>\n      <strong> Oct (20<sup>th<\/sup>) at-the-money call<\/strong><\/p>\n<p><strong>And sell 1 SPY Oct (20<sup>th<\/sup>) call with a striking price 18 points higher.<\/strong><\/p>\n<p>We are using a bull spread because these October options are somewhat expensive. This signal will remain in place unless SPX closes below its -4\u03c3 Band, which would stop out the signal. The target for the trade is for SPX to touch the +4\u03c3 Band.<\/p>\n<p><strong>New Recommendation: Archer-Daniels-Midland (ADM)<\/strong><\/p>\n<p>A recent weighted put-call ratio sell signal has been generated for ADM<br \/>\n        ADM,<br \/>\n        <bg-quote field=\"percentchange\" format=\"0,000.00%\" channel=\"\/zigman2\/quotes\/203479136\/composite\" class=\"positive\">+0.62%<\/bg-quote><span>.<\/span><br \/>\n       The stock has fallen below support, so we are going to trade this signal.<\/p>\n<p><strong>Buy 3 ADM Oct (20<sup>th<\/sup>) 82.5 put<\/strong>s in l<strong>ine with the market.<\/strong><\/p>\n<p>ADM: 81.16 Oct (20<sup>th<\/sup>) 82.5 put: 3.00 bid, offered at 3.20<\/p>\n<div data-layout=\"inline\n                \" data-layout-mobile=\"\" class=\"\n          media-object\n          type-InsetMediaIllustration\n            inline\n  article__inset\n          article__inset--type-InsetMediaIllustration\n            article__inset--inline\n  \"><\/p>\n<p>          <!-- eventually when we know what this card will be we can change it and leave this one --><\/p>\n<figure class=\"\n        media-object-image\n        enlarge-image\n        img-inline\n        article__inset__image\n      \" itemscope=\"\" itemtype=\"http:\/\/schema.org\/ImageObject\"><\/p>\n<div style=\"padding-bottom:74.85714285714286%;\" data-subtype=\"photo\" class=\"image-container  responsive-media article__inset__image__image\">\n        <img decoding=\"async\" itemprop=\"contentUrl\"   src=\"https:\/\/ifintechworld.com\/wp-content\/uploads\/2023\/08\/im-841258\" alt=\"\" title=\"\">\n      <\/div>\n<\/figure><\/div>\n<h2><strong>Follow-up action:\u00a0<\/strong><\/h2>\n<p><strong><em>All stops are mental closing stops unless otherwise noted.<\/em><\/strong><\/p>\n<p>We are using a \u201cstandard\u201d rolling procedure for our SPY spreads: in any vertical bull or bear spread, if the underlying hits the short strike, then roll the entire spread. That would be roll up in the case of a call bull spread, or roll down in the case of a bear put spread. Stay in the same expiration and keep the distance between the strikes the same unless otherwise instructed.\u00a0<\/p>\n<p><strong>Long 0 KOPN <\/strong><br \/>\n        KOPN,<br \/>\n        <bg-quote field=\"percentchange\" format=\"0,000.00%\" channel=\"\/zigman2\/quotes\/203584478\/composite\" class=\"positive\">+3.01%<\/bg-quote><br \/>\n      <strong>:<\/strong>\u00a0 The 800-share stock position was stopped out on August 11<sup>th<\/sup>.\u00a0<\/p>\n<p><strong>Long 2 SPY Sept (15<sup>th<\/sup>) 456 calls:<\/strong> This is our \u201ccore\u201d bullish position. The calls have been rolled several times. Roll up every time your long SPY option is at least 6 points in-the-money.\u00a0<\/p>\n<p><strong>Long 10 VTRS <\/strong><br \/>\n        VTRS,<br \/>\n        <bg-quote field=\"percentchange\" format=\"0,000.00%\" channel=\"\/zigman2\/quotes\/209413137\/composite\" class=\"positive\">+0.18%<\/bg-quote><br \/>\n      <strong> Sept (15<sup>th<\/sup>) 10 calls:<\/strong> Roll up and out to the <strong>VTRS Sept (15<sup>th<\/sup>) 11 calls<\/strong>. The stop remains at 10.75.\u00a0<\/p>\n<p><strong>Long 8 CRON <\/strong><br \/>\n        CRON,<br \/>\n        <bg-quote field=\"percentchange\" format=\"0,000.00%\" channel=\"\/zigman2\/quotes\/206842762\/composite\" class=\"negative\">-0.59%<\/bg-quote><br \/>\n      <strong> Sept (15<sup>th<\/sup>) 2 calls:<\/strong> Hold these calls without a stop while the takeover rumors play out.<\/p>\n<p><strong>Long 6 ORIC <\/strong><br \/>\n        ORIC,<br \/>\n        <bg-quote field=\"percentchange\" format=\"0,000.00%\" channel=\"\/zigman2\/quotes\/218085061\/composite\" class=\"positive\">+2.94%<\/bg-quote><br \/>\n      <strong> Sept (15<sup>th<\/sup>) 7.5 calls: <\/strong>The<strong> <\/strong>stock is strong; it made a new yearly high on Wednesday. The stop remains at 8.10.<\/p>\n<p><strong>Long 2 EW <\/strong><br \/>\n        EW,<br \/>\n        <bg-quote field=\"percentchange\" format=\"0,000.00%\" channel=\"\/zigman2\/quotes\/205745196\/composite\" class=\"positive\">+1.55%<\/bg-quote><br \/>\n      <strong> Sept (15<sup>th<\/sup>) 77.5 puts:<\/strong> Continue to hold these puts as long as the weighted put-call ratio remains on a sell signal.<\/p>\n<p><strong>Long 4 SPY Sept (29<sup>th<\/sup>) 480 calls:<\/strong> This is the position taken in line with the CVB buy signal. We are holding SPY calls with a striking price equal to SPY\u2019s all-time high. We will hold without a stop initially.<\/p>\n<p><strong>Long 5 EEM <\/strong><br \/>\n        EEM<br \/>\n      <strong> Oct (20<sup>th<\/sup>) 41 calls: <\/strong>Sell these calls since the EEM weighted put-call ratio is no longer on a buy signal.<\/p>\n<p><strong>Long 1 SPY Sept (15<sup>th<\/sup>) 448 put and Short 1 SPY Sept (15<sup>th<\/sup>) 418 put: <\/strong>Bought in line with the equity-only put-call ratio sell signals. Stop out of this trade if either equity-only put-call ratio moves to a new buy signal.\u00a0<\/p>\n<p><strong>Long 2 NTAP <\/strong><br \/>\n        NTAP,<br \/>\n        <bg-quote field=\"percentchange\" format=\"0,000.00%\" channel=\"\/zigman2\/quotes\/209297588\/composite\" class=\"negative\">-1.07%<\/bg-quote><br \/>\n      <strong> Oct (20<sup>th<\/sup>) 80 puts:<\/strong> Hold this position as long as the weighted put-call ratio for NTAP remains on a sell signal.<\/p>\n<p><strong>Long 2 EQR <\/strong><br \/>\n        EQR,<br \/>\n        <bg-quote field=\"percentchange\" format=\"0,000.00%\" channel=\"\/zigman2\/quotes\/205190279\/composite\" class=\"positive\">+0.34%<\/bg-quote><br \/>\n      <strong> Oct (20<sup>th<\/sup>) 65 puts:<\/strong> These were bought on the close of Aug 15<sup>th<\/sup>, when EQR closed below 64.50. We will continue to hold as long as the weighted put-call ratio for EQR remains on a sell signal.<\/p>\n<p><strong>Long 3 X<\/strong><br \/>\n        X,<br \/>\n        <bg-quote field=\"percentchange\" format=\"0,000.00%\" channel=\"\/zigman2\/quotes\/200069642\/composite\" class=\"negative\">-0.53%<\/bg-quote><br \/>\n      <strong> Sept (15<sup>th<\/sup>) 31 calls: <\/strong>Hold while the takeover rumors play out.<\/p>\n<p><strong>Long 2 PSX <\/strong><br \/>\n        PSX,<br \/>\n        <bg-quote field=\"percentchange\" format=\"0,000.00%\" channel=\"\/zigman2\/quotes\/207448059\/composite\" class=\"positive\">+1.33%<\/bg-quote><br \/>\n      <strong> Sept (15<sup>th<\/sup>) 115 calls:<\/strong> Hold while the activist investor rumors play out.<\/p>\n<p><strong><em>All stops are mental closing stops unless otherwise noted.<\/em><\/strong><\/p>\n<p>Send questions to: lmcmillan@optionstrategist.com.<\/p>\n<p><em>Lawrence G. McMillan is president of McMillan Analysis, a registered investment and commodity trading advisor. McMillan may hold positions in securities recommended in this report, both personally and in client accounts. He is an experienced trader and money manager and is the author of the best-selling book, <\/em><em>Options as a Strategic Investment<\/em><em>. <\/em><em>www.optionstrategist.com<\/em><\/p>\n<p>\u00a9McMillan Analysis Corporation is registered with the SEC as an investment advisor and with the CFTC as a commodity trading advisor. The information in this newsletter has been carefully compiled from sources believed to be reliable, but accuracy and completeness are not guaranteed. The officers or directors of McMillan Analysis Corporation, or accounts managed by such persons may have positions in the securities recommended in the advisory.\u00a0<\/p>\n<\/p><\/div>\n<p>Read the full article <a href=\"https:\/\/www.marketwatch.com\/story\/if-the-s-p-500-breaks-this-key-support-level-bulls-will-be-in-trouble-4e873985?mod=investing\" target=\"_blank\" rel=\"noopener\">here<\/a><\/p>\n","protected":false},"excerpt":{"rendered":"<p>The stock market, as measured by the S&amp;P 500 Index SPX, peaked near 4600 in late July and has been in a downtrend ever since. Last week, the pullback had its first test of a major support area, at 4330, and that support held quite nicely. So, by that measure, the bull market is still [&hellip;]<\/p>\n","protected":false},"author":1,"featured_media":53338,"comment_status":"open","ping_status":"open","sticky":false,"template":"","format":"video","meta":{"footnotes":""},"categories":[239],"tags":[83],"class_list":["post-53337","post","type-post","status-publish","format-video","has-post-thumbnail","hentry","category-investing","tag-featured","post_format-post-format-video"],"yoast_head":"<!-- This site is optimized with the Yoast SEO plugin v20.6 - https:\/\/yoast.com\/wordpress\/plugins\/seo\/ -->\n<title>Opinion: If the S&amp;P 500 breaks this key support level, bulls will be in trouble | iFintechWorld<\/title>\n<meta name=\"description\" content=\"The stock market, as measured by the S&amp;P 500 Index SPX, peaked near 4600 in late July and has been in a downtrend ever since. 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