Our belief is that the Stock Market is controlled by the Specialists and Market Makers or Exchange Insiders. We developed MktMetrics over a four year period and performed a 30-year computer generated study to test our findings. Our sole purpose was to produce a mirror image of where the Exchange Insiders buy and sell their stock inventory. We hope you will subscribe to http://www.mktmetrics.com/ for $40.00 monthly and financially benefit by its consistent accuracy. After performing our extensive research, we found that the Exchange Insiders control the direction of the Stock Market by moving individual members of the Dow Jones Industrial Average to establish a trend for the purpose of accumulating and distributing stock at wholesale and retail prices for maximum gain. Ergo, we pay strict attention to the numbers generated from the MktMetrics program to spot their intent. To that end, our focus is concentrated on the Dow Jones Industrial Average.
Dow Jones Industrial Average trading range: High 11,709.09 - Low 9,961.52 = 1,747.57
DJIA- Week Ending June 2, 2006
MktMetrics Weekly Stock Market Analysis:DJIA Close: 11,247.87 vs Last week: 11,278.61 down -30.74 / Prior week: +134.55
21-day moving average: 11,318.73 vs Last week: 11,354.74 -36.01 / Prior week: -41.59
DJIA Trend: Rising 39% vs Last week: 26% (High 94% / Low 10%)
DJIA Momentum: Rising 55% vs Last week: 42% (High 88% / Low 10%)
DJIA Volatility: Rising 0.727% vs Last week: 0.17% (High 2.11% / Low 0.17%)
DJIA Outlook: Bearish Rising 37% vs Last week: 32% (High 84% / Low 12%)
DJIA Resistance: Falling Near Term 11,517 vs Last week: 11,553
DJIA Resistance: Falling Intermediate Term 11,715 vs Last week: 11,752
DJIA Support: Falling Near Term 11,121 vs Last week: 11,156
DJIA Support: Falling Intermediate Term 10,923 vs Last week: 10,957
DJIA Money Flow Index: Unchanged 35% vs Last week: 35% (High 97% / Low 08%)
DJIA Current Directional Indicator: -7.3 vs Last week: -5.0 (High 35.4 / Low -28.4)
21-Day M/A Price Advance/Decline Line: -14 vs Last week: -110 (High 647 / Low -455)
21-Day M/A Volume Advance/Decline Line: -208 vs Last week: -264 (High 188/ Low -367)
DJIA Price vs 21-Day M/A: -0.63% vs Last week: -0.67% (High 4.36% / Low -3.56%)
DJIA Moving Average Convergence/Divergence (MACD): SELL(+) vs Last week: SELL (-)
DJIA Overbought/Oversold Index (CCI): +49 vs Last week: -13 (High +255 / Low -202)
DJIA Stochastic 20-Day Indicator: Rising 34 vs Last week: 30 (High 100 / Low 00)
DJIA Relative Strength 14-Day Indicator: 43 vs Last week: 33 (High 97 / Low 12)
DJIA Day/50-Day Moving Average Volume: 0.9 vs Last week: 0.8 (High 1.4 / Low 0.3)
Stock Market Outlook: Bullish Rising 58.9% vs Last week: 37.0% (93.9 / Low 12.2%)
Exchange Insiders' Inventory: Rising -.014% vs Last week: -.039% (High +.187 %/ Low -.241%)
Institutional Demand Factor: Rising 42.90 vs Last week: 40.16 (High 58.32 / Low 22.19)
Institutional Inventory Factor: Rising 45.32 vs Last week: 43.71 (High 71.45 / 35.32)
Institutional Accumulation/Distribution Trend: Rising -.054 vs Last week: -.073 (High .349 / -.414)
Institutional Sentiment Index: Unchanged 88 vs Last week: 88 (High 124 / Low 68)
Speculation Indicator: Rising +.159 vs Last week: +.067 (High +.590 / Low -1.023)
*********************************************************************************
Exchange Traded Funds- Trend/Sector Analysis: (Change +/-)Diamonds-Dow 30DIA: -.10 vs Last week: -.06 (High .62 / Low -.48) Rating: SELL Demand Factor: 75+
SPDR-S&P 500SPY: -.10 vs Last week: -.19 (High .62 / Low -.54) Rating: BUY+ Demand Factor: 90+
SPDR-S&P 400 Mid-CapMDY: -.19 vs Last week: .34 (High .85 / Low -.64) Rating: BUY+ Demand Factor: 89+
Russell 2000 Small-CapIWM: -.14 vs Last week: -.16 (High .51 / Low -.42) Rating: SELL Demand Factor: 91+
Nasdaq 100 Large GrowthQQQQ: -.13 vs Last week: -.25 (High .54 / Low -.35) Rating: SELL Demand Factor: 43+
1.
BiotechBBH: +.53 vs Last week: +.32 (High 1.58 / Low -1.02)Rating: BUY Demand Factor: 100/
2.
BroadbandBDH: -.22 vs Last week: -.24 (High .57 / Low -.32) Rating: SELL Demand Factor: 32/
3.
Central Fund of Canada (Physical Precious Metals)CEF: +.03 vs Last week: -.00 (High .41 / Low -.23) Rating: SELL Demand Factor: 56+
4.
Deutsche Bank Commodity Index Tracking ETFDBC: +.12 vs Last week: +.19 (High .56 / Low -.65) Rating: BUY Demand Factor: 100/
5.
Emerging MarketsEEM: -.55 vs Last week: -.42 (High .84 / Low -.45) Rating: SELL Demand Factor: 39+
6.
EAFE Global EquitiesEFA: +.03 vs Last week: +.06 (High .56 / Low -.21) Rating: BUY Demand Factor: 100+
7.
CanadaEWC: +.10 vs Last week: +.09 (High .52 / Low -.23) Rating: BUY Demand Factor: 87+
8.
SwedenEWD: +.04 vs Last week: +.02 (High .56 / Low -.20) Rating: BUY Demand Factor: 95+
9.
GermanyEWG: +.04 vs Last week: +.08 (High .61 / Low -.18) Rating: BUY Demand Factor: 99+
10.
Hong KongEWH: -.06 vs Last week: +.01 (High .37 / Low -.25) Rating: SELL- Demand Factor: 90+
11.
JapanEWJ: -.01 vs Last week: -.06 (High .63 / Low -.43) Rating: SELL Demand Factor: 95+
12.
BelgiumEWK: +.08 vs Last week: +.12 (High .60 / Low -.21) Rating: BUY Demand Factor: 100+
13.
MalaysiaEWM: +.14 vs Last week: +.16 (High .29 / Low -.21) Rating: SELL- Demand Factor: 100+
14.
FranceEWQ: -.02 vs Last week: +.01 (High .56 / Low -.19) Rating: SELL- Demand Factor: 89/
15.
SingaporeEWS: +.05 vs Last week: +.06 (High .37 / Low -.21) Rating: SELL- Demand Factor: 93+
16.
TaiwanEWT: +.06 vs Last week: +.01 (High .23 / Low -.21) Rating: SELL- Demand Factor: 93-
17.
United KingdomEWU: +.07 vs Last week: +.11 (High .42 / Low -.19) Rating: BUY Demand Factor: 91+
18.
South KoreaEWY: -.32 vs Last week: -.38 (High .43 / Low -.34) Rating: SELL Demand Factor: 42+
19.
Street TRACKS Gold TrustGLD: -.09 vs Last week: +.19 (High .54 / Low -.62) Rating: SELL- Demand Factor: 68-
20.
InternetHHH: -.06 vs Last week: -.04 (High .50 / Low -.72) Rating: SELL- Demand Factor: 34-
21.
Internet ArchitectureIAH: +.12 vs Last week: +.02 (High .65 / Low -.60) Rating: BUY Demand Factor: 38+
22.
Comex GoldIAU: -.15 vs Last week: +.18 (High .81 / Low -.55) Rating: SELL- Demand Factor: 66-
23.
BiotechnologyIBB: +.09 vs Last week: -.07 (High .58 / Low -.62) Rating: BUY+ Demand Factor: 100/
24.
UtilitiesIDU: +.23 vs Last week: +.04 (High .52 / Low -.54) Rating: BUY Demand Factor: 100+
25.
Natural Resources
IGE: -.09 vs Last week: +.06 (High .88 / Low -.65) Rating: SELL Demand Factor: 90+
26.
NetworkingIGN: -.36 vs Last week: -.40 (High .38 / Low -.46) Rating: SELL Demand Factor: 11+
27.
SoftwareIGV: -.59 vs Last week: -.63 (High .33 / Low -.23) Rating: SELL Demand Factor: 14+
28.
SemiconductorIGW: -.57 vs Last week: -.63 (High .62 / Low -.62) Rating: SELL Demand Factor: 05/
29.
Internet InfrastructureIIH: -.02 vs Last week: -.13 (High .37 / Low -.23) Rating: SELL Demand Factor: 43+
30.
Mid-Cap 400 Blend
IJH: -.04 vs Last week: -.24 (High .42 / Low -.28) Rating: SELL Demand Factor: 97+
31.
Mid-Cap 400 GrowthIJK: -.21 vs Last week: -.25 (High .38 / Low -.52) Rating: SELL Demand Factor: 57-
32.
Small-Cap 600IJR: -.13 vs Last week: -.12 (High .83 / Low -.16) Rating: SELL Demand Factor: 92+
33.
S&P/TOPIX 150 Japan IndexITF: -.25 vs Last week: -.23 (High .92 / Low -.34) Rating: SELL Demand Factor: 100+
34.
Global FinancialIXG: -.00 vs Last week: +.06 (High .52 / Low -.33) Rating: SELL- Demand Factor: 96+
35.
Consumer CyclicalIYC: +.03 vs Last week: -.03 (High .36 / Low -.64) Rating: SELL Demand Factor: 36+
36.
EnergyIYE: -.11 vs Last week: -.17 (High .79 / Low -.69) Rating: SELL Demand Factor: 43+
37.
HealthcareIYH: +.09 vs Last week: -.10 (High .39 / Low -.44) Rating: BUY+ Demand Factor: 68+
38.
IndustrialIYJ: -.03 vs Last week: -.12 (High .41 / Low -.25) Rating: BUY+ Demand Factor: 95+
39.
Consumer Non-CyclicalIYK: +.19 vs Last week: +.10 (High .31 / Low -.56) Rating: SELL- Demand Factor: 13+
40.
Basic MaterialsIYM: -.06 vs Last week: +.05 (High .38 / Low -.52) Rating: SELL- Demand Factor: 73+
41.
Real EstateIYR: +.13 vs Last week: -.07 (High .62 / Low -.38) Rating: BUY+ Demand Factor: 69-
42.
TransportationIYT: -.07 vs Last week: -.15 (High .80 / Low -.52) Rating: SELL Demand Factor: 79+
43.
TechnologyIYW: -.40 vs Last week: -.53 (High .42 / Low -.21) Rating: SELL Demand Factor: 06-
44.
TelecommunicationsIYZ: +.11 vs Last week: +.06 (High .28 / Low -.30) Rating: BUY Demand Factor: 95-
45.
Oil ServicesOIH: -.38 vs Last week: -.22 (High 1.63/ Low -.98) Rating: SELL Demand Factor: 80+
46.
PharmaceuticalPPH: -.19 vs Last week: -.23 (High .47 / Low -.61) Rating: SELL Demand Factor: 25+
47.
Regional BankRKH: -.34 vs Last week: -.37 (High .88 / Low -.48) Rating: SELL Demand Factor: 46+
48.
RetailRTH: -.07 vs Last week: -.23 (High .58 / Low -.58) Rating: SELL Demand Factor: 33+
49.
SemiconductorSMH: -.35 vs Last week: -.43 (High .45 / Low -.52) Rating: SELL Demand Factor: 10+
50.
SoftwareSWH: -.18 vs Last week: -.41 (High .51 / Low -.41) Rating: SELL Demand Factor: 32+
51.
Lehman 20+ Treasury Bond FundTLT: +.14 vs Last week: +.02 (High .34 / Low -.44) Rating: BUY Demand Factor: 56+
52.
TelecommunicationsTTH: -.24 vs Last week: -.28 (High .54 / Low -.31) Rating: SELL Demand Factor: 09-
53.
UtilitiesUTH: +.26 vs Last week: +.26 (High .68 / Low -.65) Rating: BUY Demand Factor: 98-
54.
WirelessWMH: -.24 vs Last week: -.47 (High .55 / Low -.50) Rating: SELL Demand Factor: 06/
55.
S&P Energy SelectXLE: -.05 vs Last week: -.07 (High .76 / Low -.32) Rating: SELL Demand Factor: 78+
56.
S&P Financial SelectXLF: +.03 vs Last week: -.02 (High .31 / Low -.23) Rating: BUY+ Demand Factor: 95+
57.
TechnologyXLK: -.26 vs Last week: -.38 (High .34 / Low -.21) Rating: SELL Demand Factor: 12-
58.
Consumer StaplesXLP: -.07 vs Last week: +.01 (High .28 / Low -.29) Rating: BUY Demand Factor: 23-
59.
Healthcare SelectXLV: -.16 vs Last week: -.24 (High .37 / Low -.28) Rating: SELL Demand Factor: 34+
60.
Industrial Sector XLY: +.18 vs Last week: +.07 (High .22 / Low -.45) Rating: BUY Demand Factor: 100+
Information provided by: www.MktMetrics.comA Marketing Alliance with Charles Schwab's CyberTrader
Douglas Gale, President (jdg8119@gmail.com)
Gale Financial Market Econometrics, Inc.
"Just Suppose For A Moment, You Know What The Exchange Insiders Know"