Weekly Market Summary
Index
10/10/08 Wk Chng Week %
Mn Chng
Mnth % Yr Chng Year % 2K Chng*
2000 %
------ -------- -------
------ ------- ------
------- ------ -------- ------
Dow30 8451.19 -1874.19 -18.2% -2399.47 -22.1% -4813.63 -36.3% -3045.93 -26.5%
Trans 3744.74
-389.81 -9.4% -871.27
-18.9% -825.81 -18.1% 767.54
25.8%
Utils 324.57 -87.14
-21.2% -103.88 -24.2%
-207.96 -39.1% 41.21 14.5%
S&P500 899.22
-200.01 -18.2% -267.14
-22.9% -569.14 -38.8% -570.03 -38.8%
Nasdaq 1649.51
-297.88 -15.3% -432.82
-20.8% -1002.77 -37.8% -2419.80 -59.5%
NYSE 5704.13 -1384.81 -19.5% -1828.67 -24.3% -4036.19 -41.4% N/A
N/A
Rus2000 522.48
-96.92 -15.6% -157.10
-23.1% -243.55 -31.8% 17.73
3.5%
Amex 1290.78
-456.79 -26.1% -496.11
-27.8% -1118.84 -46.4% 422.04 48.6%
Val Lne
1435.66 -311.02 -17.8%
-472.64 -24.8% -809.92 -36.1% 409.86
40.0%
30Yr Tr 41.37
0.14 -0.3% -1.68
3.9% -3.22 7.2%
-23.43 36.2%
Bnk Idx 52.88
-14.65 -21.7% -14.83
-21.9% -35.72 -40.3% -24.12 -31.3%
MSH 35 363.35
-68.85 -15.9% -110.59
-23.3% -259.15 -41.6% -557.43 -60.5%
Consumr 544.77
-92.39 -14.5% -110.67
-16.9% -193.01 -26.2% 10.00
1.9%
Cyclicl 585.98
-106.88 -15.4% -186.53
-24.1% -415.75 -41.5% 0.20
0.0%
Airline 16.31
-4.18 -20.4% -5.18
-24.1% -18.02 -52.5% -137.16 -89.4%
Retail 274.38
-57.45 -17.3% -88.06
-24.3% -135.56 -33.1% N/A
N/A
* Change since 12/31/1999
Winners-Losers 0-30 0-30 1-29
Dow Industrials Oct-10
Wk Chg Week % Mn Chg Mnth % Yr
Chg Year %
--------------- ------
------ ------ ------ ------ ------ ------
General Motors 4.89
-4.11 -45.7% -4.56 -48.3% -19.46 -79.9%
Alcoa 11.25 -7.99
-41.5% -11.33 -50.2% -24.74
-68.7%
Bank of America 20.87
-13.61 -39.5% -14.13 -40.4% -18.15 -46.5%
Chevron-Texaco 57.83
-21.55 -27.1% -24.65 -29.9% -33.53 -36.7%
American Exprss 23.15 -7.72
-25.0% -12.10 -34.3% -28.00
-54.7%
Citigroup 14.11 -4.24
-23.1% -6.40 -31.2% -14.13
-50.0%
Boeing 41.80 -12.03
-22.3% -15.55 -27.1% -44.30
-51.5%
Disney 23.04 -6.50
-22.0% -7.65 -24.9% -9.24 -28.6%
Coca-Cola 41.50
-11.07 -21.1% -11.38 -21.5% -18.65 -31.0%
Pfizer 15.14 -3.86
-20.3% -3.30 -17.9% -6.56 -30.2%
AT&T 22.42 -5.70
-20.3% -5.50 -19.7% -17.82
-44.3%
Exxon-Mobil 62.36
-15.58 -20.0% -15.30 -19.7% -30.04 -32.5%
Microsoft 21.50 -4.82
-18.3% -5.19 -19.4% -13.69
-38.9%
Kraft Foods 27.25
-5.83 -17.6% -5.50 -16.8%
-4.53 -14.3%
Merck 26.23
-5.55 -17.5% -5.33 -16.9% -30.18 -53.5%
Home Depot 19.75
-4.06 -17.1% -6.14 -23.7%
-6.51 -24.8%
Procter-Gamble 59.56
-11.46 -16.1% -10.13 -14.5% -12.62 -17.5%
Minn Mining Mnf 54.26
-10.34 -16.0% -14.05 -20.6% -28.41 -34.4%
Caterpillar 43.13
-8.08 -15.8% -16.47 -27.6% -28.27 -39.6%
Johnson-Johnson 55.85
-10.31 -15.6% -13.43 -19.4%
-9.52 -14.6%
IBM 87.75 -15.69
-15.2% -29.21 -25.0% -19.08
-17.9%
Wal-Mart 50.95 -8.78
-14.7% -8.94 -14.9% 4.03
8.6%
Verizon Comm 26.77 -4.47
-14.3% -5.32 -16.6% -15.27
-36.3%
Hewlett-Packard 37.00
-6.00 -14.0% -9.24 -20.0% -13.22 -26.3%
DuPont 33.40 -5.40
-13.9% -6.90 -17.1% -9.56 -22.3%
United Tech 47.63
-7.23 -13.2% -12.43 -20.7% -27.88 -36.9%
Intel 15.19 -2.12
-12.2% -3.54 -18.9% -10.99
-42.0%
McDonald's 53.35
-6.88 -11.4% -8.35 -13.5%
-4.43 -7.7%
JP Morgan Chase 41.64
-4.26 -9.3% -5.06 -10.8%
-0.48 -1.1%
General Electrc 21.50 -0.07
-0.3% -4.00 -15.7% -14.35 -40.0%
Fiend's Prime-25©
-----------------
Winners-Losers 0-25 0-25 1-24
Company
Sep-30 Wk Chg Week % Mn Chg Mnth % Yr Chg
Year %
---------------
------- ------ ------ ------ ------
------ ------
Bank of America 20.87
-13.61 -39.5% -14.13 -40.4% -18.15
-46.5%
Chevron-Texaco 57.83
-21.55 -27.1% -24.65 -29.9% -33.53
-36.7%
ConocoPhillips 48.23
-17.91 -27.1% -25.02 -34.2% -38.62
-44.5%
Citigroup 14.11
-4.24 -23.1% -6.40 -31.2% -14.13
-50.0%
Coca Cola 41.50
-11.07 -21.1% -11.38 -21.5% -18.65
-31.0%
Pfizer 15.14
-3.86 -20.3% -3.30 -17.9% -6.56
-30.2%
AT&T 22.42 -5.70 -20.3% -5.50 -19.7%
-17.82 -44.3%
Philip Morris 39.74
-9.93 -20.0% -8.36 -17.4% -9.21
-18.8%
Exxon-Mobil 62.36
-15.58 -20.0% -15.30 -19.7% -30.04
-32.5%
Cisco 17.23 -4.02 -18.9% -5.33 -23.6% -9.84
-36.4%
Microsoft 21.50
-4.82 -18.3% -5.19 -19.4% -13.69
-38.9%
Schlumberger 60.50
-12.03 -16.6% -17.59 -22.5% -37.21
-38.1%
Pepsico
57.80 -11.20 -16.2% -13.47 -18.9%
-16.76 -22.5%
Procter-Gamble 59.56
-11.46 -16.1% -10.13 -14.5% -12.62
-17.5%
Johnson-Johnson 55.85
-10.31 -15.6% -13.43 -19.4% -9.52
-14.6%
IBM 87.75 -15.69 -15.2%
-29.21 -25.0% -19.08 -17.9%
Wal-Mart 50.95 -8.78 -14.7% -8.94 -14.9% 4.03
8.6%
Oracle 16.68 -2.80 -14.4% -3.63 -17.9% -5.90
-26.1%
Verizon Comm 26.77 -4.47 -14.3% -5.32 -16.6%
-15.27 -36.3%
Google 332.00 -54.91 -14.2%
-68.52 -17.1% -359.48 -52.0%
Hewlett-Packard 37.00
-6.00 -14.0% -9.24 -20.0% -13.22
-26.3%
Intel 15.19 -2.12 -12.2% -3.54 -18.9%
-10.99 -42.0%
JP Morgan Chase 41.64
-4.26 -9.3% -5.06 -10.8% -0.48
-1.1%
General Elctrc 21.50 -0.07
-0.3% -4.00 -15.7% -14.35
-40.0%
Apple Comp 96.80
-0.27 -0.3% -16.86 -14.8% -101.28 -51.1%
Prime-25© 3117.64 -651.52 -17.3% -802.59
-20.5%-1504.31 -32.5%
RNK Company (Bil)
P/E Yield Symb Sector
--- -----------------
------ ----- ----- ----
---------------
1. Exxon-Mobil $329
8.11 2.57% XOM Energy
2. General Eltrc $214
9.95 5.77% GE Conglomerate
3. Wal-Mart $201 15.73
1.86% WMT Services
4. Microsoft $197
11.50 2.05% MSFT Technology
5. Procter-Gamble $182
17.57 2.69% PG Consumer
6. Johnson-Johnson $157
13.52 3.29% JNJ Healthcare
7. JP Morgan Chase $143
13.65 3.65% JPM Financial
8. AT&T $133 10.88
7.14% T Technology
9. Chevron-Texaco $120
6.38 4.50% CVX Energy
10. IBM $118 10.89
2.28% IBM Technology
11. Google $104 21.83
0.00% GOOG Technology
12. Pfizer $102 13.52
8.45% PFE Healthcare
13. Cisco $102 13.46
0.00% CSCO Technology
14. Coca Cola $96
14.66 3.66% KO Consumer
15. Bank of America $93
8.81 12.27% BAC Financial
16. Pepsico $92 16.71
2.94% PEP Consumer
17. Hewlett-Packard $91
11.97 0.86% HPQ Technology
18. Intel $87 12.55
3.69% INTC Technology
19. Oracle $86
15.74 0.00% ORCL Technology
20. Apple Comp $85
19.96 0.00% AAPL Technology
21. Philip Morris $84
0.92 4.63% PM Consumer
22. Citigroup $77 3.79
9.07% C Financial
23. Verizon Comm $76 13.66
6.43% VZ Services
24. ConocoPhillips $74
6.25 3.90% COP Energy
25. Schlumberger $72
13.63 1.39% SLB Energy
_ Prime-25© $3,118 8.50
3.57%
Currencies
----------
Dec
Crrncy Oct-10 Wk Chg
Week % Mn
Chg Mnth % Yr Chg Year % 2K Chng* 2000 %
------ -------
------- ------ ------
------ ------ ------ --------
------
Pound 169.73
-7.68 -4.3% -8.67
-4.9% -28.12 -14.2% 7.83
4.8%
SwFrnc 88.79 -0.26
-0.3% -0.84 -0.9%
0.41 0.5% 25.32
39.9%
Euro 134.87
-3.42 -2.5% -6.47
-4.6% -11.03 -7.6%
33.26 32.7%
Yen 101.11
5.48 5.7% 6.13
6.5% 10.98 12.2%
2.19 2.2%
US Dlr 83.31
2.73 3.4% 3.95
5.0% 6.55 8.5%
-18.11 -17.9%
Commodities
-----------
Dec
Cmmdty Oct-10 Wk Chg
Week % Mn
Chg Mnth % Yr Chg Year % 2K Chng* 2000 %
------ -------- -------
------ ------- ------
------- ------ -------- ------
Gold $859.00
$25.80 3.1% -$21.80
-2.5% $3.10 0.4%
$569.40 196.6%
XAU 100.56
-11.53 -10.3% -30.65
-23.4% -72.76 -42.0% 32.59
47.9%
Oil/Nv $77.70
-$16.18 -17.2% -$22.94
-22.8% -$16.95 -17.9% $52.10 203.5%
XOI 806.23
-252.87 -23.9% -350.03
-30.3% -753.47 -48.3% 303.23
60.3%
CRB 289.89
-36.62 -11.2% -55.61
-16.1% -68.82 -19.2% 84.75
41.3%
Foreign
Markets
---------------
Exchng Oct-10 Week
Chg Week % Mnth Chg Mnth % Year Chg Year % 2K Chng* 2000 %
------ --------
-------- ------ -------- ------ -------- ------ -------- ------
TSX 9065.16 -1738.19 -16.1% -2687.74 -22.9% -4767.90 -34.5% 651.41
7.7%
IPC 19905.27 -3084.23 -13.4% -4983.63 -20.0% -9631.56 -32.6% 12775.39 179.2%
BVSP 35609.54 -8907.78 -20.0%-13931.73 -28.1%-28035.33 -44.0% 18517.54 108.3%
FTSE 3932.06 -1048.19 -21.0%
-970.39 -19.8% -2524.84 -39.1%
-2998.14 -43.3%
CAC-40 3176.49
-904.26 -22.2% -855.61
-21.2% -2437.59 -43.4% -2781.83 -46.7%
DAX 4541.20 -1255.83 -21.7% -1289.82 -22.1% -3526.12 -43.7% -2416.94 -34.7%
MIB-30 20756.00
-5514.00 -21.0% -5269.00 -20.2%-18129.00 -46.6%-22235.00 -51.7%
Swiss 5523.48 -1368.41 -19.9% -1131.41 -17.0% -2960.98 -34.9% -2046.62 -27.0%
Nikkei 8276.43 -2661.71 -24.3% -2983.43 -26.5% -7031.35 -45.9%-10657.91 -56.3%
HngSng 14796.87 -2885.53
-16.3% -3219.34 -17.9%-13015.78
-46.8% -2165.23 -12.8%
AllOrd 3939.50
-763.30 -16.2% -691.80
-14.9% -2481.50 -38.6%
787.00 25.0%
* Change since 12/31/1999
Market
Internals
================
Current
Data
------------
NYSE Adv/Dec Line:
16054 -1021
(lowest since 07/2006)
DJIA 50 Day MA:
11,057 - below since 09/15/08; Momentum: -529 -347
DJIA 200 Day MA: 11,991 - below since 05/20/08; Momentum:
-213 -93
(lowest since 12/1974)
DJIA is 30% below its 200
DMA
(lowest since the 1930s!)
Trends
------
1-4 wks 1-6 mnths 6-18+ mnths
Short Term Intermediate Term Long Term
Dow Industrials: Down Down Down
Nasdaq: Down Down Down
Bear Troughs
------------
NYSE Nasdaq
20 (10/28/97) 21 (05/27/98)
16 (09/24/01) 21 (07/16/96)
17 (04/27/98) 18 (11/20/00)
16 (01/28/00) 18 (02/25/99)
13 (02/25/99) 18 (04/04/00)
12 (04/11/97) 13 (02/10/99)
11 (10/15/99) 10 (09/20/01)
11 (07/17/96) 9 (11/22/00)
10 (10/13/98) 5 (10/09/02)
10 (07/24/02) 4 (07/24/02)
9 (09/24/99) 4 (04/17/00)
New Highs: 7 (05/11/04) 1 (10/08/98)
New Lows: 2,041 (10/08/09)*
1,850 (10/06/09)
1,183 (08/31/98) 1,326 (10/09/98)**
1,181 (07/15/08) 1,263 (08/31/98)
1,105 (09/17/08) 982 (01/22/08)
1,099 (01/22/08) 791 (07/16/96)
917 (07/24/02) 788 (12/20/00)
860 (05/10/04) 737 (09/21/01)
784 (09/21/01)
* highest of all
time!
** highest since 10/87
(2,101)
17467 (07/15/08); lowest since
11/06
16054 (10/10/08); lowest
since 07/06
8126 (10/27/97)
7741 (02/17/99)
7705 (10/08/98)
7599 (08/06/99)
7597 (04/07/99)
7548 (07/23/02)
7474 (10/09/02)
7238 (04/14/97)
6926 (09/21/01)
6731 (03/22/01)
6613 (07/24/96)
6384 (10/18/00)
NYSE Adv/Dec Line: 6368 (03/14/00); lowest since 11/95
-541 (10/09/08); lowest
since 12/87
-478 (08/05/02); lowest
since 12/87
-413 (09/20/01); lowest
since 09/90
-383 (10/08/08); lowest
since 08/02
-361 (10/01/98); lowest
since 10/90
DJIA 50 Day MA:
-320 (07/14/08); lowest since 10/02
DJIA 200 Day MA: -213 (10/10/08); lowest since 12/74
-158 (03/11/03); lowest
since 05/88
-157 (10/07/08); lowest
since 03/03
-146 (10/09/02); lowest
since 06/88
-117 (07/28/08); lowest
since 03/03
-114 (09/21/01); lowest
since 07/88
DJIA 50 DMA below 200 DMA
(09/17/98); first time since 09/94
(11/30/99)
(03/10/00)
(11/15/00)
(02/28/01)
(08/10/01)
(07/23/04)
DJIA at 30% below its 200
DMA (10/10/08); lowest since 1930s!
DJIA at 23% below its 200
DMA (10/09/02); lowest since 12/87
DJIA at 23% below its 200
DMA (10/08/08); lowest since 10/02
DJIA at 21% below its 200
DMA (09/21/01); lowest since 12/87
DJIA at 21% below its 200
DMA (07/19/02); lowest since 09/01
DJIA at 18% below its 200
DMA (10/06/08); lowest since 10/02
DJIA at 15% below its 200
DMA (09/29/08); lowest since 10/02
DJIA at 14% below its 200
DMA (07/15/08); lowest since 10/02
VXO (VIX) at 85.99 on
(10/10/08); highest since October 1987.
Bull Peaks
----------
NYSE Nasdaq
631 (10/03/97); highest
since 11/82
627 (12/01/03)
581 (06/06/03)
537 (07/03/97)
524 (12/02/04) 514 (01/20/04)**
363 (04/11/02) 500 (07/16/97)
357 (11/25/96) 499 (05/14/96)
New Highs: 348 (12/04/95) 465 (09/03/03)
New Lows: 5 (01/12/01) 28 (07/18/95)
4 (06/06/97) 26 (02/25/98)
3 (04/22/96) 13 (01/12/01)
3 (01/31/01) 13 (07/07/99)
1 (06/06/03) 11 (04/30/01)
0 (01/16/04)* 8 (09/24/97)
6
(01/09/02)
*lowest recorded on this page 1 (06/12/03)*
**highest recorded on this page
NYSE Adv/Dec Line: 19779
(07/13/07); all time high
8848 (04/03/98)
8747 (05/03/02)
7502 (03/11/97)
6985 (05/22/96)
210 (05/15/07); highest since 06/03
DJIA 50 Day MA:
326 (12/03/01); highest since 05/99
356 (05/13/99); 369
(06/13/97); highest since 11/82
DJIA 200 Day MA: 176 (06/17/99); highest since 08/87
153 (12/23/03); highest
since 07/99
104 (06/01/07); highest
since 04/04
DJIA at 22% above its 200
DMA (05/03/99); highest since 04/87
DJIA at 19% above its 200
DMA (07/30/97)
DJIA at 14% above its 200
DMA (01/05/04); highest since 07/99
DJIA at 10% above its 200
DMA (05/07/07); highest since 03/04
VXO (VIX) at 9.05 on
(01/24/07); lowest since December 1993.
DJIA P/E ratio: 21.9; earnings $573.12 -
dividend yield 2.4%
S&P 500 P/E ratio:
18.0; earnings $78.60 - dividend yield
2.0%
-----------------------------------------------------------------------------------------
Market
Sentiment
================
Investment
Advisers
-------------------
Week ending 10/10/08
Investors
Intelligence: 25.3% Bulls, 53.0% Bears;
previous week 33.7%, 47.2%
Mutual Funds
------------
Equity Inflows (ICI):
for Aug: -$19.5 bil ( -$1.9 bil U.S.)
for Jul: -$27.4 bil ( -$19.6 bil U.S.)
for Jun:
-$4.8 bil ( -$3.6 bil U.S.)
for May: +$15.9 bil ( +$8.5 bil U.S.)
for Apr: +$12.2 bil ( +$6.1 bil U.S.)
for Mar:
-$9.4 bil ( -$8.3 bil U.S.)
for Feb:
+$9.6 bil ( -$3.6 bil U.S.)
2008 for Jan: -$44.9 bil
( -$35.6 bil U.S.)
for Dec: +$10.1 bil ( -$3.4 bil U.S.) for Dec:
+$2.1 billion ( -$7.2 bil U.S.)
for Nov: +$10.8 bil ( -$0.2 bil U.S.) for Nov:
-$9.9 billion ( -$14.6 bil U.S.)
for Oct: +$12.7 bil ( +$0.8 bil U.S.) for Oct:
+$11.3 billion ( -$3.7 bil U.S.)
for Sep:
+$6.6 bil ( -$2.9 bil U.S.) for Sep:
+$7.5 billion ( -$4.1 bil U.S.)
for Aug:
+$5.1 bil ( -$3.7 bil U.S.) for Aug:
-$15.5 billion ( -$17.4 bil U.S.)
for Jul:
+$0.7 bil ( -$4.1 bil U.S.) for Jul:
+$10.8 billion ( -$4.1 bil U.S.)
for Jun:
-$8.4 bil ( -$9.4 bil U.S.) for Jun:
+$5.5 billion ( -$3.3 bil U.S.)
for May:
+$3.2 bil ( -$5.9 bil U.S.) for May:
+$1.3 billion ( -$10.0 bil U.S.)
for Apr: +$26.3 bil ( +$8.0 bil U.S.) for Apr:
+$18.2 billion ( +$1.7 bil U.S.)
for Mar: +$34.4 bil ( +$15.7 bil
U.S.) for Mar: +$8.1 billion ( +$1.1 bil U.S.)
for Feb: +$27.4 bil ( +$8.3 bil U.S.) for
Feb: +$26.3 billion ( +$10.5 bil U.S.)
2006 for Jan: +$31.6 bil
( +$8.2 bil U.S.) 2007 for Jan: +$29.2 billion ( +$7.2 bil U.S.)
for Dec:
+$9.8 bil ( -$2.5 bil U.S.)
for Dec: +$10.3 billion
for Nov: +$21.0 bil ( +$9.0 bil U.S.) for Nov:
+$21.4 billion
for Oct:
+$6.5 bil ( -$2.9 bil U.S.)
for Oct. +$7.2 billion
for Sep:
+$7.9 bil ( -$1.2 bil U.S.)
for Sep: +$10.2 billion
for Aug:
+$6.3 bil ( -$1.9 bil U.S.)
for Aug: +$1.2 billion
for Jul: +$10.0 bil ( +$5.3 bil U.S.) for Jul: +$9.4 billion
for Jun:
+$6.2 bil ( +$1.7 bil U.S.)
for Jun: +$10.4 billion
for May: +$11.2 bil ( +$5.2 bil U.S.) for May: +$0.4 billion
for Apr:
+$8.6 bil ( +$2.5 bil U.S.)
for Apr: +$23.0 billion
for Mar: +$15.1 bil ( +$3.3 bil U.S.) for Mar:
+$16.0 billion
for Feb: +$22.2 bil (+$10.5 bil U.S.) for Feb:
+$26.2 billion
2005 for Jan: +$10.0 bil
( +$1.9 bil U.S.) 2004 for Jan: +$43.0 billion
for Dec:
+$14.7 billion for
Dec: -$8.3 billion
for Nov:
+$14.9 billion for
Nov: +$7.0 billion
for Oct:
+$25.3 billion for Oct:
-$7.5 billion
for Sep:
+$17.3 billion for
Sep: -$16.1 billion
for Aug:
+$23.4 billion for
Aug: -$3.1 billion
for Jul:
+$21.5 billion for
Jul: -$52.6 billion
for Jun:
+$18.6 billion for
Jun: -$18.0 billion
for May:
+$11.9 billion for
May: +$4.9 billion
for Apr:
+$16.1 billion for
Apr: +$12.9 billion
for Mar:
-$0.3 billion for
Mar: +$29.6 billion
for Feb:
-$11.1 billion for
Feb: +$5.4 billion
2003 for Jan: -$0.4 billion 2002 for Jan: +$20.0 billion
for Dec:
+$2.9 billion for
Dec: +$11.6 billion
for Nov:
+$15.3 billion for
Nov: +$5.5 billion
for Oct:
+$0.9 billion for
Oct: +$19.2 billion
for Sep:
-$30.0 billion for
Sep: +$17.3 billion
for Aug:
-$4.8 billion for
Aug: +$24.0 billion
for Jul:
-$1.2 billion for
Jul: +$17.3 billion
for Jun:
+$10.8 billion for
Jun: +$22.1 billion
for May:
+$18.1 billion for
May: +$17.0 billion
for Apr:
+$19.2 billion for
Apr: +$34.0 billion
for Mar:
-$20.7 billion for
Mar: +$39.4 billion
for Feb:
-$3.3 billion for
Feb: +$53.7 billion
2001 for Jan: +$25.1 billion 2000 for Jan: +$40.9 billion
for Dec:
+$25.0 billion for
Dec: +$3.2 billion
for Nov:
+$19.1 billion for
Nov: +$12.8 billion
for Oct:
+$21.0 billion for
Oct: +$2.5 billion
for Sep:
+$10.8 billion for
Sep: +$6.5 billion
for Aug:
+$8.9 billion for
Aug: -$11.7 billion
for Jul:
+$12.4 billion for
Jul: +$19.3 billion
for Jun:
+$19.1 billion for
Jun: +$19.2 billion
for May:
+$15.0 billion for
May: +$19.3 billion
for Apr:
+$25.8 billion for
Apr: +$26.5 billion
for Mar:
+$12.6 billion for
Mar: +$22.9 billion
for Feb:
+$0.7 billion for
Feb: +$24.2 billion
1999 for Jan: +$17.1 billion 1998 for Jan: +$14.0 billion
1997 for Dec: +$15.5 billion 1996 for Dec: +$12.2 billion
for Nov:
+$18.2 billion for
Nov: +$17.1 billion
for Oct:
+$18.5 billion for
Oct: +$13.0 billion
for Sep:
+$25.8 billion for
Sep: +$17.4 billion
for Aug:
+$14.0 billion for
Aug: +$17.9 billion
for Jul:
+$26.6 billion for
Jul: $+6.2 billion
for May:
+$20.1 billion for
Jun: +$14.5 billion
for Apr:
+$15.7 billion
for Mar:
+$10.5 billion
for Feb:
+$18.5 billion
for Jan:
+$29.1 billion
Mutual Fund Cash: 4.5%
(August) 4.4% (July)
Volatility index
(VXO): 85.99 +34.23 (highest since October 1987)
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