2026-08-17 16:39
Automated Market Intelligence
MorningSignal Research
Energy led the session at +1.08%, while Communication Svcs lagged at -1.89%, with USO +2.91% setting the thematic tone.
S&P -0.47% QQQ -0.16% 2026-08-17
Market Signal
RISK ON
Score 0.75
Tape Source
Fallback
Data-derived commentary
Breakout Scan
15
Setups passing the model today
Platform
Daily · Weekly
Podcast and earnings feeds included
At A Glance
Market Snapshot
Core index performance and year-to-date context.
S&P 500
$772.67
-0.47% today · +13.70% YTD
Nasdaq 100
$729.87
-0.16% today · +19.32% YTD
Russell 2000
$304.06
-0.34% today · +22.73% YTD
Dow Jones
$534.19
-0.49% today · +11.31% YTD
Desk Read
Today's Tape
Sector commentary generated from the day’s market data and headline set.
Energy led the session at +1.08%, while Communication Svcs lagged at -1.89%, with USO +2.91% setting the thematic tone.
Energy +1.1%
Energy led the sector leaderboard at +1.08% as the strongest large-cap gainers were MRVL +5.54%, LRCX +3.45%, PSX +2.97%.
Communication Svcs -1.9%
Communication Svcs was the weakest major group at -1.89% with pressure concentrated in NOW -5.08%, NKE -4.03%, SMCI -3.92%.
Commodities — Crude Oil +2.9%
USO moved +2.91% on the day and +3.47% over 5 days, giving the market a clear read on thematic leadership.
Factor & Regime +1.5%
Momentum led the factor complex at +1.53% while Low Vol trailed at -0.81%. Market signal registered RISK ON at +0.75.
Industry Leaders — Technology Hardware, Storage & Peripherals +5.3%
At the GICS sub-industry level, leadership came from Technology Hardware, Storage & Peripherals +5.32%, Semiconductor Materials & Equipment +3.50%, Electronic Components +3.40%. Universe breadth: 62% of S&P 1500 names above their 50-day MA, 72% above the 200-day.
Industry Laggards — Specialized Consumer Services -3.1%
Weakest sub-industries today: Specialized Consumer Services -3.07%, Managed Health Care -2.89%, Apparel Retail -2.89%.
Moving-Average Cross Events +0.0%
Industry golden crosses: Health Care Equipment, Metal, Glass & Plastic Containers, Home Furnishings, Specialty Stores; Industry 200d reclaims: Packaged Foods & Meats, Tobacco, Education Services, Electric Utilities, Air Freight & Logistics; Industry 200d losses: Fertilizers & Agricultural Chemicals, Diversified Chemicals, Tobacco, Home Furnishings, Air Freight & Logistics; Industry EMA(12/26) bull crosses: Agricultural Products & Services, Gas Utilities, Food Retail, Managed Health Care, Oil & Gas Equipment & Services; Industry EMA(12/26) bear crosses: Automotive Retail, Passenger Airlines, Commodity Chemicals, Leisure Products, Office REITs.
Geopolitics +0.0%
12 active headlines tagged Geopolitics. Top items: [CNBC] E.l.f. Beauty sees $50 million windfall in tariff refunds as profits surge 100%; [CNBC] Japanese automakers vulnerable to one-two punch of Iran war, yen rally
Fed / Macro +0.0%
6 active headlines tagged Fed/Macro. Top items: [Investing.com Markets] Stocks end lower as oil pops; investors eye Fed minutes, retail earnings this week; [CNBC] 30-year Treasury yield tops 5.31%, the highest in 19 years
AI / Tech +0.0%
12 active headlines tagged AI/Tech. Top items: [CNBC] Nvidia's stock has started to come alive. Here's 3 reasons why it can continue; [CNBC] World's biggest chipmaker TSMC's sales surge 45% amid buoyant AI demand
Earnings Tape +0.0%
12 active headlines tagged Earnings. Top items: [CNBC] Jim Cramer says Cisco’s post-earnings plunge is a buying opportunity. Here’s why; [CNBC] Cerebras stock plunges 14% after second earnings report following IPO
Cross-Sector Linkage
The cross-sector tape is leaning risk-on. Cyclicals vs Defensives: Cyclicals (-0.54%) are leading Defensives (-0.77%) by 0.23pp. Mixed leadership — the tape can't pick a regime. Discretionary vs Staples: XLY -1.23% vs XLP -1.64% (spread +0.41pp). Consumer is risk-on — the household balance-sheet trade is working. Semis vs Software (AI capex theme): SMH +1.06% vs IGV -2.01% — spread +3.07pp. Hardware/infrastructure leg of AI is bid — capex theme intact, hyperscaler spend cycle on.
Data-derived fallback commentary · Not financial advice
Signal & Macro
RISK ON
0.75
Risk Off Neutral Risk On
VIX 15.2 (falling) +0.75
Yield Curve +1.02% (steepening) +1.00
Credit HYG/IEF above 50d (+1.0%) +0.50
Breadth RSP/SPY above 50d (+0.0%) +0.50
Momentum SPY above 50d, above 200d +1.00
RISK ON with a score of +0.75, generated from the quantitative market signal inputs.
VIX
15.19
-1.75% over 5d
10Y Yield
4.72%
Treasury benchmark
2Y Yield
3.70%
Front-end rate signal
2s/10s
+102bps
Steepening / normal
Participation
Energy
+1.08%
Technology
+0.16%
Industrials
-0.10%
Health Care
-0.19%
Utilities
-0.29%
Materials
-0.57%
Overnight & Global
Fallback note from live macro data: VIX 15.19 (-1.75% over 5d), 10Y 4.72%, 2s/10s +102bps.
Leadership
High-Conviction Setups
View Full Scan
# Ticker Name Sector Score RS Base Trend Price vs 52W High Vol/Avg
1 HZO MarineMax, Inc. Consumer Cyclical
79.2
91.7 50.0 100.0 $52.25 -0.4% 2.14x
2 EAT Brinker International, Inc. Consumer Cyclical
70.4
95.0 21.2 100.0 $241.71 -1.7% 1.42x
3 ARWR Arrowhead Pharmaceuticals, Inc. Healthcare
70.2
100.0 14.9 100.0 $88.70 -1.0% 0.45x
4 SLAB Silicon Laboratories Inc. Technology
67.3
64.6 47.1 100.0 $219.29 -0.5% 0.54x
5 ROIV Roivant Sciences Ltd. Healthcare
66.3
96.3 7.9 100.0 $36.24 -1.5% 1.06x
6 SPHR Sphere Entertainment Co. Communication Services
66.1
100.0 3.3 100.0 $171.60 -2.7% 1.09x
7 OGN Organon & Co. Healthcare
65.8
63.7 43.8 100.0 $13.70 -0.1% 1.13x
8 CHEF The Chefs' Warehouse, Inc. Consumer Defensive
65.6
76.9 28.2 100.0 $110.57 -4.1% 1.56x
Coverage
Platform Modules
The research stack now spans daily tape, weekly synthesis, podcast intelligence, and earnings coverage.