The MktMetrics Weekly Stock Market Analysis
Dow Jones Industrial Average trading range: High 11,782.49 - Low 9,961.52 = 1,820.97
DJIA- Week Ending September 29, 2006
MktMetrics Weekly Stock Market Analysis:
DJIA Outlook: Bullish Rising 81% vs Last week: 78% (High 84% / Low 12%)
DJIA Closed: 11,679.07 vs Last week: 11,508.10 +170.97 / Prior week: -52.67
21-day M/A: 11,526.37 vs Last week: 11,448.31 +78.06 / Prior week: +50.06
DJIA Trend: Rising 90% vs Last week: 74% (High 94% / Low 10%)
DJIA Momentum: Rising 74% vs Last week: 71% (High 88% / Low 10%)
DJIA Volatility: Rising 0.06% vs Last week: 0.78% (High 2.35% / Low -0.22%)
DJIA Resistance: Rising Near Term 11,728 vs Last week: 11,649
DJIA Resistance: Rising Intermediate Term 11,930 vs Last week: 11,849
DJIA Support: Rising Near Term 11,325 vs Last week: 11,248
DJIA Support: Rising Intermediate Term 11,123 vs Last week: 11,048
DJIA Money Flow Index: Rising 81% vs Last week: 77% (High 97% / Low 08%)
DJIA Directional Indicator: +14.1 vs Last week: +10.0 (High 35.4 / Low -35.8)
21-Day M/A Price A/D Line: +200 vs Last week: +257 (High 647 / Low -455)
21-Day M/A Volume A/D Line: -27 vs Last week: -38 (High 188/ Low -439)
DJIA Price vs 21-Day M/A: 1.32% vs Last week: 0.52% (High 4.36% / Low -3.56%)
DJIA Moving Average Convergence/Divergence(MACD): BUY(+) vs Last week: SELL(-)
DJIA Overbought/Oversold (CCI): 125 vs Last week: 15 (High 255 / Low -202)
DJIA Stochastic 20-Day Indicator: 84 vs Last week: 72 (High 100 / Low 00)
DJIA Relative Strength 14-Day Indicator: 72 vs Last week: 54 (High 97 / Low 12)
DJIA Today vs 50-Day M/A Volume: 0.9 vs Last week: 0.9 (High 1.4 / Low 0.4)
Stock Market Outlook: Bullish Rising 77.4% vs Last week: 68.3% (93.9 / Low 8.0%)
Exchange Insiders'Inventory:Unchanged .06% vs Last week: .06%(High .19%/Low -.24%)
Institutional Demand Factor: Rising 63.8 vs Last week: 57.5 (High 66.6 / Low 18.7)
Institutional Inventory Factor: Rising 73.2 vs Last week: 65.0 (High 75.3 / 25.2)
Institutional Accumulation/Distribution Trend: Rising .15 vs Last week: .12 (High .35 / -.41)
Institutional Sentiment Index: Rising 94 vs Last week: 90 (High 124 / Low 68)
Speculation Indicator: Rising +.05 vs Last week: -.09 (High +.78 / Low -.71)
One-Year National CD Rate: Falling 5.25% vs Last week: 5.38% (5.62 / Low 2.1%)
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Exchange Traded Funds- Trend/Sector Analysis: (Change +/-)
Diamonds-Dow 30
DIA: +.36 vs Last week: +.26 (High .62 / Low -.48) Rating: BUY Demand Factor: 94-
SPDR-S&P 500
SPY: +.40 vs Last week: +.26 (High .62 / Low -.54) Rating: BUY Demand Factor: 96-
SPDR-S&P 400 Mid-Cap
MDY: +.22 vs Last week: +.14 (High .85 / Low -.80) Rating: BUY Demand Factor: 93+
Russell 2000 Small-Cap
IWM: +.18 vs Last week: +.34 (High .51 / Low -.42) Rating: BUY Demand Factor: 93/
Nasdaq 100 Large Growth
QQQQ: +.21 vs Last week: +.21 (High .54 / Low -.35) Rating: BUY Demand Factor: 81+
1. Biotech
BBH: +.53 vs Last week: +.19 (High 1.58 / Low -1.02)Rating: BUY Demand Factor: 99+
2. Broadband
BDH: -.12 vs Last week: +.01 (High .57 / Low -.54) Rating: SELL- Demand Factor: 6+
3. Central Fund of Canada (Physical Precious Metals)
CEF: -.07 vs Last week: -.29 (High .41 / Low -.29) Rating: SELL Demand Factor: 41+
4. Deutsche Bank Commodity Index Tracking ETF
DBC: +.11 vs Last week: -.09 (High .56 / Low -.65) Rating: BUY+ Demand Factor: 100+
5. Emerging Markets
EEM: +.03 vs Last week: -.13 (High .84 / Low -.16) Rating: BUY Demand Factor: 95+
6. EAFE Global Equities (Europe, Australasia and Far East)
EFA: +.01 vs Last week: -.09 (High .56 / Low -.37) Rating: BUY+ Demand Factor: 77+
7. Pacific ex-Japan
EPP: +.03 vs Last week: -.11 (High .35 / Low -31) Rating: BUY+ Demand Factor: 96+
8. Canada
EWC: -.07 vs Last week: -.29 (High .52 / Low -.29) Rating: BUY+ Demand Factor: 69+
9. Sweden
EWD: +.31 vs Last week: +.26 (High .56 / Low -.26) Rating: BUY Demand Factor: 98+
10. Germany
EWG: +.09 vs Last week: +.09 (High .61 / Low -.19) Rating: BUY Demand Factor: 93+
11. Hong Kong
EWH: +.35 vs Last week: +.43 (High .43 / Low -.25) Rating: BUY Demand Factor: 90-
12. Japan
EWJ: +.20 vs Last week: +.01 (High .63 / Low -.43) Rating: BUY+ Demand Factor: 78+
13. Belgium
EWK: +.25 vs Last week: +.23 (High .60 / Low -.21) Rating: BUY Demand Factor: 93+
14. Switzerland
EWL: +.45 vs Last week: +.43 (High .64 / Low -.20) Rating: BUY Demand Factor: 100+
15. Malaysia
EWM: +.25 vs Last week: +.19 (High .29 / Low -.21) Rating: BUY Demand Factor: 100/
16. Netherlands
EWN: +.33 vs Last week: +.26 (High .30 / Low -.14) Rating: BUY Demand Factor: 98+
17. France
EWQ: +.26 vs Last week: +.08 (High .56 / Low -.36) Rating: BUY Demand Factor: 66+
18. Singapore
EWS: +.32 vs Last week: +.25 (High .37 / Low -.21) Rating: BUY Demand Factor: 98-
19. Taiwan
EWT: +.22 vs Last week: +.28 (High .23 / Low -.21) Rating: BUY Demand Factor: 77-
20. United Kingdom
EWU: -.00 vs Last week: -.00 (High .42 / Low -.20) Rating: SELL Demand Factor: 90-
21. Mexico
EWW: +.17 vs Last week: +.14 (High .44 / Low -.31) Rating: BUY Demand Factor: 100+
22. South Korea
EWY: +.24 vs Last week: +.17 (High .43 / Low -.53) Rating: BUY Demand Factor: 88+
23. Brazil
EWZ: +.14 vs Last week: -.07 (High .41 / Low -.28) Rating: BUY+ Demand Factor: 100+
24. Xinhua China
FXI: +.28 vs Last week: +.23 (High .62 / Low -.32) Rating: BUY Demand Factor: 94+
25. Street TRACKS Gold Trust
GLD: -.10 vs Last week: -.24 (High .54 / Low -.61) Rating: SELL Demand Factor: 49+
26. Internet
HHH: +.01 vs Last week: -.06 (High .50 / Low -.75) Rating: BUY+ Demand Factor: 90+
27. Internet Architecture
IAH: -.17 vs Last week: -.14 (High .65 / Low -.60) Rating: BUY Demand Factor: 14+
28. Comex Gold
IAU: -.04 vs Last week: -.17 (High .81 / Low -.65) Rating: SELL Demand Factor: 47+
29. Biotechnology
IBB: +.04 vs Last week: +.20 (High .58 / Low -.62) Rating: BUY+ Demand Factor: 85+
30. Utilities
IDU: -.05 vs Last week: -.04 (High .52 / Low -.54) Rating: SELL Demand Factor: 87+
31. S&P Europe 350 Index
IEV: +.24 vs Last week: +.27 (High .54 / Low -.48) Rating: BUY Demand Factor: 100+
32. Natural Resources
IGE: -.09 vs Last week: -.32 (High .88 / Low -.72) Rating: SELL Demand Factor: 98+
33. Networking
IGN: +.21 vs Last week: +.34 (High .38 / Low -.50) Rating: BUY Demand Factor: 60+
34. Software
IGV: +.15 vs Last week: +.20 (High .33 / Low -.60) Rating: BUY Demand Factor: 74+
35. Semiconductor
IGW: +.13 vs Last week: +.36 (High .62 / Low -.75) Rating: BUY Demand Factor: 65+
36. Internet Infrastructure
IIH: +.29 vs Last week: +.33 (High .37 / Low -.23) Rating: BUY Demand Factor: 97+
37. Mid-Cap 400 Blend
IJH: +.25 vs Last week: +.18 (High .42 / Low -.30) Rating: BUY Demand Factor: 96+
38. Mid-Cap 400 Growth
IJK: +.07 vs Last week: +.21 (High .38 / Low -.52) Rating: BUY Demand Factor: 85-
39. Small-Cap 600
IJR: +.12 vs Last week: +.19 (High .83 / Low -.41) Rating: BUY Demand Factor: 93-
40. S&P Latin America 40 Index
ILF: +.17 vs Last week: -.01 (High .98 / Low -.60) Rating: BUY+ Demand Factor: 100+
41. S&P 1500 Index
ISI: +.44 vs Last week: +.26 (High .53 / Low -.41) Rating: BUY Demand Factor: 56+
42. S&P/TOPIX 150 Japan Index
ITF: +.17 vs Last week: -.11 (High .92 / Low -.90) Rating: BUY+ Demand Factor: 100+
43. Global Financial
IXG: +.60 vs Last week: +.59 (High .64 / Low -.35) Rating: BUY Demand Factor: 100+
44. Consumer Cyclical
IYC: +.37 vs Last week: +.58 (High .58 / Low -.64) Rating: BUY Demand Factor: 74-
45. Energy
IYE: -.32 vs Last week: -.65 (High .79 / Low -.69) Rating: SELL Demand Factor: 21+
46. Healthcare
IYH: +.16 vs Last week: +.22 (High .39 / Low -.44) Rating: BUY Demand Factor: 90+
47. Industrial
IYJ: +.21 vs Last week: +.15 (High .41 / Low -.35) Rating: BUY Demand Factor: 96+
48. Consumer Non-Cyclical
IYK: +.21 vs Last week: +.32 (High .32 / Low -.56) Rating: BUY Demand Factor: 98-
49. Basic Materials
IYM: -.21 vs Last week: -.40 (High .38 / Low -.52) Rating: SELL Demand Factor: 26+
50. Real Estate
IYR: +.17 vs Last week: +.38 (High .62 / Low -.38) Rating: BUY Demand Factor: 89-
51. Transportation
IYT: +.21 vs Last week: -.00 (High .80 / Low -.52) Rating: BUY+ Demand Factor: 65+
52. Technology
IYW: +.29 vs Last week: +.31 (High .42 / Low -.50) Rating: BUY Demand Factor: 66+
53. Telecommunications
IYZ: +.34 vs Last week: +.43 (High .43 / Low -.30) Rating: BUY Demand Factor: 97/
54. Oil Services
OIH: -.31 vs Last week: -.82 (High 1.63/ Low -.129) Rating: SELL Demand Factor: 23+
55. PowerShares WilderHill Clean Energy
PBW: -.12 vs Last week: -.09 (High .31 / Low -.24) Rating: SELL Demand Factor: 77+
56. Pharmaceutical
PPH: +.27 vs Last week: +.21 (High .47 / Low -.61) Rating: BUY Demand Factor: 100+
57. PowerShares Dynamic OTC
PWO: +.27 vs Last week: +.35 (High .35 / Low -.28) Rating: BUY Demand Factor: 91+
58. Regional Bank
RKH: +.44 vs Last week: +.31 (High .88 / Low -.48) Rating: BUY Demand Factor: 99+
59. MS Eastern Europe Fund
RNE: -.07 vs Last week: -.29 (High .35 / Low -.29) Rating: SELL Demand Factor: 11+
60. Retail
RTH: +.48 vs Last week: +.60 (High .60 / Low -.58) Rating: BUY Demand Factor: 89-
61. Silver Trust
SLV: -.63 vs Last week: -.79 (High .91 / Low -.88) Rating: SELL Demand Factor: 10+
62. Semiconductor
SMH: -.05 vs Last week: +.04 (High .45 / Low -.52) Rating: BUY Demand Factor: 30+
63. Software
SWH: +.12 vs Last week: +.23 (High .51 / Low -.41) Rating: BUY Demand Factor: 26-
64. Lehman 20+ Treasury Bond Fund
TLT: +.38 vs Last week: +.53 (High .53 / Low -.44) Rating: BUY Demand Factor: 97-
65. Telecommunications
TTH: +.00 vs Last week: +.15 (High .54 / Low -.31) Rating: BUY Demand Factor: 75-
66. Utilities
UTH: -.19 vs Last week: -.39 (High .68 / Low -.65) Rating: BUY+ Demand Factor: 16+
67. Wireless
WMH: -.12 vs Last week: -.08 (High .55 / Low -.64) Rating: SELL Demand Factor: 40+
68. Materials Select Sector
XLB: -.04 vs Last week: -.10 (High .34 / Low -.41) Rating: SELL Demand Factor: 50+
69. S&P Energy Select
XLE: -.15 vs Last week: -.47 (High .76 / Low -.51) Rating: SELL Demand Factor: 46+
70. S&P Financial Select
XLF: +.23 vs Last week: +.18 (High .31 / Low -.23) Rating: BUY Demand Factor: 100+
71. Technology
XLK: +.11 vs Last week: +.18 (High .34 / Low -.32) Rating: BUY Demand Factor: 82+
72. Consumer Staples
XLP: +.13 vs Last week: +.24 (High .28 / Low -.29) Rating: BUY Demand Factor: 93-
73. Healthcare Select
XLV: +.09 vs Last week: +.03 (High .37 / Low -.28) Rating: BUY Demand Factor: 98+
74. Industrial Sector
XLY: +.37 vs Last week: +.47 (High .47 / Low -.45) Rating: BUY Demand Factor: 89-
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