2026-06-23 08:00
Automated Market Intelligence
MorningSignal Research
Energy led the session at +0.54%, while Communication Svcs lagged at -2.37%, with XBI +3.65% setting the thematic tone.
S&P -0.31% QQQ -0.36% 2026-06-22
Market Signal
RISK ON
Score 0.70
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
$744.39
-0.31% today · +9.54% YTD
Nasdaq 100
$737.95
-0.36% today · +20.51% YTD
Russell 2000
$298.18
+0.88% today · +20.36% YTD
Dow Jones
$517.08
+0.30% today · +7.72% YTD
Desk Read
Today's Tape
Sector commentary generated from the day’s market data and headline set.
Energy led the session at +0.54%, while Communication Svcs lagged at -2.37%, with XBI +3.65% setting the thematic tone.
Energy +0.5%
Energy led the sector leaderboard at +0.54% as the strongest large-cap gainers were SMCI +15.66%, ABBV +6.25%, LRCX +5.27%.
Communication Svcs -2.4%
Communication Svcs was the weakest major group at -2.37% with pressure concentrated in ARM -7.22%, PLTR -6.98%, GOOGL -4.99%.
Themes — Biotech +3.6%
XBI moved +3.65% on the day and +9.02% over 5 days, giving the market a clear read on thematic leadership.
Factor & Regime +2.0%
Momentum led the factor complex at +1.98% while Low Vol trailed at +0.21%. Market signal registered RISK ON at +0.70.
Industry Leaders — Electronic Components +6.6%
At the GICS sub-industry level, leadership came from Electronic Components +6.57%, Electrical Components & Equipment +6.17%, Construction & Engineering +4.88%. Universe breadth: 55% of S&P 1500 names above their 50-day MA, 60% above the 200-day.
Industry Laggards — Interactive Media & Services -4.6%
Weakest sub-industries today: Interactive Media & Services -4.64%, Internet Services & Infrastructure -4.22%, Restaurants -3.06%.
Moving-Average Cross Events +0.0%
Industry golden crosses: Casinos & Gaming, Consumer Finance, Passenger Airlines; Industry 200d reclaims: Automotive Retail, Restaurants, Independent Power Producers & Energy Traders, Construction Materials, Interactive Media & Services; Industry 200d losses: Health Care Distributors, Interactive Media & Services, Telecom Tower REITs, Automotive Parts & Equipment, Automotive Retail; Industry EMA(12/26) bull crosses: Independent Power Producers & Energy Traders, Multi-Utilities, Aerospace & Defense, Construction Materials, Property & Casualty Insurance; Industry EMA(12/26) bear crosses: Food Retail, Diversified Support Services, IT Consulting & Other Services, Telecom Tower REITs, Oil & Gas Refining & Marketing.
Geopolitics +0.0%
12 active headlines tagged Geopolitics. Top items: [CNBC] Costco issues a lukewarm quarter, but delivers on the metric that matters most; [CNBC] Snowflake surges 36% for best day ever on AI frenzy, fueling software rally
Fed / Macro +0.0%
6 active headlines tagged Fed/Macro. Top items: [CNBC] Investors can buy duration safely as Fed will remain on hold, says Allspring's George Bory; [CNBC] Why Japan's $70 billion-plus intervention and a rate hike didn't prop up the yen more
AI / Tech +0.0%
12 active headlines tagged AI/Tech. Top items: [MarketWatch Top] A 40% market crash is lurking in the IPO pipeline. SpaceX and OpenAI could trigger it.; [CNBC] Dell stock skyrockets 32% for its best day ever as AI server revenue soars
Earnings Tape +0.0%
12 active headlines tagged Earnings. Top items: [CNBC] HPE surges 19% after Monday's blowout earnings, closing its best day ever; [CNBC] Dell stock skyrockets 32% for its best day ever as AI server revenue soars
Cross-Sector Linkage
The cross-sector tape is leaning risk-off. Discretionary vs Staples: XLY -1.89% vs XLP -1.34% (spread -0.55pp). Consumer rotating defensive — Staples bid is a late-cycle warning. Semis vs Software (AI capex theme): SMH +1.37% vs IGV -2.00% — spread +3.37pp. Hardware/infrastructure leg of AI is bid — capex theme intact, hyperscaler spend cycle on. Energy vs Utilities: XLE +0.54% vs XLU -0.09% — spread +0.63pp. Inflation reflation/commodity bid; favours real-asset exposure and pricing-power names.
Data-derived fallback commentary · Not financial advice
Signal & Macro
RISK ON
0.70
Risk Off Neutral Risk On
VIX 17.3 (falling) +0.75
Yield Curve +0.83% (flattening) +0.75
Credit HYG/IEF above 50d (+0.7%) +0.50
Breadth RSP/SPY above 50d (+0.1%) +0.50
Momentum SPY above 50d, above 200d +1.00
RISK ON with a score of +0.70, generated from the quantitative market signal inputs.
VIX
17.28
-2.26% over 5d
10Y Yield
4.51%
Treasury benchmark
2Y Yield
3.68%
Front-end rate signal
2s/10s
+83bps
Steepening / normal
Participation
Energy
+0.54%
Industrials
+0.49%
Health Care
+0.44%
Technology
+0.37%
Real Estate
+0.36%
Financials
+0.24%
Overnight & Global
Fallback note from live macro data: VIX 17.28 (-2.26% over 5d), 10Y 4.51%, 2s/10s +83bps.
Leadership
High-Conviction Setups
View Full Scan
# Ticker Name Sector Score RS Base Trend Price vs 52W High Vol/Avg
1 FLEX Flex Ltd. Technology
82.5
100.0 50.0 100.0 $155.81 -3.8% 2.94x
2 MRVL Marvell Technology, Inc. Technology
82.5
100.0 50.0 100.0 $307.86 -2.7% 2.06x
3 SANM Sanmina Corporation Technology
82.5
100.0 50.0 100.0 $253.45 -10.4% 2.51x
4 WDC Western Digital Corporation Technology
78.2
100.0 37.6 100.0 $732.62 -1.8% 1.75x
5 TER Teradyne, Inc. Technology
77.1
100.0 34.7 100.0 $457.00 +0.0% 1.69x
6 SMTC Semtech Corporation Technology
77.0
100.0 34.2 100.0 $174.73 +0.0% 1.68x
7 AMAT Applied Materials, Inc. Technology
74.1
100.0 26.1 100.0 $640.18 +0.0% 1.52x
8 NHC National HealthCare Corporation Healthcare
73.7
69.9 59.2 100.0 $201.40 -0.1% 1.95x
Coverage
Platform Modules
The research stack now spans daily tape, weekly synthesis, podcast intelligence, and earnings coverage.