MktMetrics Weekly Stock Market Analysis
Dow Jones Industrial Average (DJIA) Trading Range:
High 13,756.69 (6-1-07) Low 10,653.23 (6-13-06)= Range: 3,103.46
DJIA Outlook: Bearish Falling 50% vs Last week: 63% (High 89% / Low 12%)
DJIA Closed: 13,408.62 vs Last week: 13,360.26 +48.36 / Prior week: -279.22
DJIA 50-Day Net Change: Falling 600 vs Last week 807 (High 1450 / Low -674)
DJIA 21-day Moving Average: 13,480.21 vs Last week: 13,517.46 -37.25 / Prior week: +0.11
DJIA Trend: Falling 29% vs Last week: 32% (High 94% / Low 0%)
DJIA Momentum: Rising 71% vs Last week: 68% (High 97% / Low 10%)
DJIA Volatility: Falling 1.48% vs Last week: 1.56% (High 6.00% / Low -1.09%)
DJIA Resistance: Falling Near Term 13,721 vs Last week 13,754 -33 / Last week: +0
DJIA Resistance: Falling Intermediate Term 13,952 vs Last week 13,991
DJIA Support: Rising Near Term 13,244 vs Last week: 13,281 -37 / Last week: +0
DJIA Support: Rising Intermediate Term 13,008 vs Last week: 13,044
DJIA Directional Indicator: Falling -10.4 vs Last week: -7.9 (High 39.5 / Low -35.8)
DJIA 21-Day Moving Average Price Advance/Decline Line: Falling -162 vs Last week: -74 (High 647 / Low -455)
DJIA 21-Day Moving Average Volume Advance/Decline Line: Falling -210 vs Last week: -145 (High 188 / Low -439)
DJIA Price vs 21-Day Moving Average: Rising -0.5% vs Last week: -1.2% (High 4.4% / Low -3.8%)
DJIA Moving Average Convergence/Divergence(MACD): SELL vs Last week: SELL
DJIA Overbought/Oversold (CCI): Falling -49 vs Last week: -50 (High 255 / Low -285)
DJIA Stochastic 20-Day Indicator: Falling 39 vs Last week: 47 (High 100 / Low 00)
DJIA Relative Strength Indicator 14-Day: Falling 49 vs Last week: 39 (High 97 / Low 12)
DJIA Volume Today vs 50-Day Moving Average: Rising 1.0 vs Last week: 1.3 (High 1.6 / Low 0.3)
Stock Market Outlook: Bullish Falling 72.6% vs Last week: 82.8% (100.0% / Low 8.0%)
Institutional Investor Statistical Trends (Historic High / Low)
Exchange Insiders' Inventory: Bearish Falling -.08% vs Last week: -.06% (High .29% (4-19-07) / Low -.24% (6-6-06)
Institutional Money Flow Index: Falling 26% vs Last week: 35% (High 97% / Low 08%)
Institutional Demand Factor: Falling 54.8 vs Last week: 56.2 (High 86.8 / Low 18.7)
Institutional Inventory Index: Rising 51.4 vs Last week: 51.1 (High 81.1 / 25.2)
Institutional Accumulation/Distribution: Falling -.14 vs Last week: -.10 (High .35 / -.41)
Institutional Sentiment Index: Falling 167 vs Last week: 172 (High 179 (5-30-07) / (Low 68 (6-13-06)
Speculation Indicator Index: Falling -.204 vs Last week: .092 (High .521 (6-15-07) / (Low -391 (6-12-06)
One Year High Yield National CD Rate: Unch 5.26% vs Last week: 5.26% (5.27 / Low 2.19%)*****************************************************************************************************************
5 Indices + 97 Exchange Traded Funds
Trends & Sector Analysis
Symbol: Trend +/- (Historic High-Low) / Rating / Demand Factor
Diamonds-Dow 30
DIA: -.22 vs Last week: -.14 (High .95 / Low -.48) Rating: BUY Demand Factor: 64-
SPDR-S&P 500
SPY: -.24 vs Last week: -.15 (High .77 / Low -.54) Rating: BUY Demand Factor: 54-
SPDR-S&P 400 Mid-Cap
MDY: -.22 vs Last week: +.07 (High .89 / Low -.80) Rating: BUY Demand Factor: 87-
Russell 2000 Small-Cap
IWM: -.08 vs Last week: +.08 (High .71 / Low -.42) Rating: BUY Demand Factor: 86-
Nasdaq 100 Large Growth
QQQQ: -.04 vs Last week: +.04 (High .54 / Low -.35) Rating: BUY Demand Factor: 79-
1. Biotech
BBH: -.73 vs Last week: -.06 (High 1.58 / Low -1.02) Rating: SELL Demand Factor: 76-
2. Broadband
BDH: -.19 vs Last week: -.04 (High .57 / Low -.54) Rating: SELL Demand Factor: 84+
3. Central Fund of Canada (Physical Precious Metals)
CEF: +.02 vs Last week: -.04 (High .41 / Low -.29) Rating: SELL Demand Factor: 48-
4. CHICAGO MERCANTILE EXCHANGE
CME: +.17 vs Last week: +1.10 (High 2.63 / Low -2.34)Rating: SELL- Demand Factor: 15-
5. Deutsche Bank Commodity Index Tracking
DBC: +.27 vs Last week: +.35 (High .56 / Low -.65) Rating: BUY Demand Factor: 98-
6. ULTRA DOW 30 POWER SHARES
DDM: -.34 vs Last week: -.27 (High 1.00 / Low -.62) Rating: SELL- Demand Factor: 32-
7. Dow Jones Select Dividend Index
DVY: -.35 vs Last week: -.34 (High .58 / Low -.36) Rating: SELL Demand Factor: 51-
8. ULTRA SHORT DOW 30 POWER SHARES
DXD: +.22 vs Last week: +.15 (High .64 / Low -.70) Rating: BUY Demand Factor: 78+
9. CLAYMORE/BNY BRIC ETF (Brazil Russia India China)
EEB: +.21 vs Last week: +.33 (High .68 / Low -.24) Rating: BUY Demand Factor: 87-
10. Emerging Markets
EEM: +.27 vs Last week: +.29 (High .97 / Low -.23) Rating: BUY Demand Factor: 94-
11. EAFE Global Equities (Europe, Australasia and Far East)
EFA: -.12 vs Last week: +.03 (High .62 / Low -.37) Rating: BUY Demand Factor: 80-
12. Pacific ex-Japan
EPP: +.19 vs Last week: +.23 (High 1.14 / Low -.31) Rating: BUY Demand Factor: 88-
13. Australia
EWA: +.18 vs Last week: +.20 (High .34 / Low -.36) Rating: BUY Demand Factor: 100/
14. Canada
EWC: +.03 vs Last week: -.09 (High .52 / Low -.37) Rating: BUY Demand Factor: 20-
15. Sweden
EWD: -.14 vs Last week: -.21 (High .79 / Low -.26) Rating: SELL Demand Factor: 69-
16. Germany
EWG: -.05 vs Last week: -.01 (High .61 / Low -.26) Rating: SELL- Demand Factor: 72-
17. Hong Kong
EWH: -.07 vs Last week: -.09 (High .48 / Low -.25) Rating: SELL- Demand Factor: 75+
18. Italy
EWI: +.06 vs Last week: +.05 (High .51 / Low -.28) Rating: BUY Demand Factor: 56-
19. Japan
EWJ: -.02 vs Last week: +.04 (High .63 / Low -.43) Rating: SELL Demand Factor: 86-
20. Belgium
EWK: -.17 vs Last week: -.15 (High .60 / Low -.21) Rating: SELL Demand Factor: 70-
21. Switzerland
EWL: -.03 vs Last week: -.00 (High .64 / Low -.20) Rating: SELL Demand Factor: 89+
22. Malaysia
EWM: -.11 vs Last week: -.10 (High .32 / Low -.21) Rating: SELL Demand Factor: 66-
23. Netherlands
EWN: -.29 vs Last week: -.28 (High .61 / Low -.14) Rating: SELL Demand Factor: 58-
24. Austria
EWO: -.25 vs Last week: -.04 (High .49 / Low -.14) Rating: SELL Demand Factor: 79-
25. France
EWQ: -.12 vs Last week: -.06 (High .56 / Low -.36) Rating: SELL- Demand Factor: 66-
26. Singapore
EWS: +.03 vs Last week: +.04 (High .45 / Low -.21) Rating: BUY Demand Factor: 97-
27. Taiwan
EWT: +.06 vs Last week: +.10 (High .40 / Low -.23) Rating: BUY Demand Factor: 74-
28. United Kingdom
EWU: -.13 vs Last week: -.12 (High .69 / Low -.20) Rating: SELL- Demand Factor: 75-
29. Mexico
EWW: -.04 vs Last week: +.13 (High .72 / Low -.31) Rating: BUY Demand Factor: 88-
30. South Korea
EWY: +.14 vs Last week: +.24 (High .43 / Low -.53) Rating: BUY Demand Factor: 71-
31. Brazil
EWZ: +.15 vs Last week: +.24 (High .73 / Low -.28) Rating: BUY Demand Factor: 89-
32. FTSE/Xinhua China 25 Index
FXI: +.92 vs Last week: +.90 (High 1.26 / Low -.46) Rating: BUY Demand Factor: 80-
33. Street TRACKS Gold Trust
GLD: -.06 vs Last week: +.02 (High .54 / Low -.61) Rating: SELL Demand Factor: 52-
34. Internet
HHH: -.34 vs Last week: -.24 (High .57 / Low -.75) Rating: SELL Demand Factor: 38-
35. Internet Architecture
IAH: +.10 vs Last week: +.15 (High .65 / Low -.60) Rating: BUY Demand Factor: 88/
36. Comex Gold
IAU: +.20 vs Last week: +.25 (High .81 / Low -.65) Rating: SELL- Demand Factor: 97-
37. Biotechnology
IBB: -.33 vs Last week: -.20 (High .70 / Low -.62) Rating: SELL Demand Factor: 42-
38. InterContinental Exchange, Inc.
ICE: +.11 vs Last week: +.33 (High 1.76/Low -2.00) Rating: SELL- Demand Factor: 9-
39. Cohen & Steers Realty Majors
ICF: -.68 vs Last week: -.19 (High .88 / Low -.81) Rating: SELL Demand Factor: 4
40. Utilities
IDU: -.42 vs Last week: -.49 (High .78 / Low -.68) Rating: SELL Demand Factor: 45-
41. S&P Europe 350 Index
IEV: -.10 vs Last week: -.05 (High .84 / Low -.48) Rating: SELL Demand Factor: 83-
42. Natural Resources
IGE: +.10 vs Last week: +.30 (High .88 / Low -.72) Rating: BUY Demand Factor: 89-
43. Networking
IGN: -.18 vs Last week: +.10 (High .48 / Low -.50) Rating: BUY Demand Factor: 82-
44. Software
IGV: +.03 vs Last week: +.22 (High .46 / Low -.60) Rating: BUY Demand Factor: 86-
45. Semiconductor
IGW: +.05 vs Last week: +.22 (High .62 / Low -.75) Rating: BUY Demand Factor: 77-
46. MS India Investment Fund
IIF: +.02 vs Last week: +.01 (High .88 / Low -.72) Rating: BUY Demand Factor: 96+
47. Internet Infrastructure
IIH: -.02 vs Last week: +.02 (High .37 / Low -.42) Rating: SELL- Demand Factor: 31-
48. Mid-Cap 400 Blend
IJH: -.24 vs Last week: +.04 (High .78 / Low -.30) Rating: BUY Demand Factor: 81-
49. Mid-Cap 400 Growth
IJK: -.24 vs Last week: -.06 (High .66 / Low -.52) Rating: BUY Demand Factor: 81-
50. Small-Cap 600
IJR: -.19 vs Last week: -.02 (High .83 / Low -.41) Rating: SELL Demand Factor: 84-
51. S&P Latin America 40 Index
ILF: +.29 vs Last week: +.61 (High 1.63 / Low -.60) Rating: BUY Demand Factor: 96-
52. International Securities Exchange Holdings, Inc.
ISE: +.01 vs Last week: -.00 (High 1.12 / Low -.60) Rating: BUY+ Demand Factor: 83/
53. S&P 1500 Index
ISI: -.28 vs Last week: -.12 (High .79 / Low -.41) Rating: SELL- Demand Factor: 43-
54. S&P/TOPIX 150 Japan Index
ITF: +.05 vs Last week: +.06 (High .92 / Low -.90) Rating: SELL Demand Factor: 81-
55. Global Financial
IXG: -.55 vs Last week: -.34 (High .79 / Low -.55) Rating: SELL Demand Factor: 35-
56. Consumer Cyclical
IYC: -.24 vs Last week: -.16 (High .78 / Low -.64) Rating: SELL Demand Factor: 41-
57. Energy
IYE: -.13 vs Last week: +.02 (High .79 / Low -.85) Rating: BUY Demand Factor: 30-
58. Healthcare
IYH: -.34 vs Last week: -.42 (High .54 / Low -.44) Rating: SELL Demand Factor: 21+
59. Industrial
IYJ: -.06 vs Last week: +.20 (High .52 / Low -.35) Rating: BUY Demand Factor: 64-
60. Consumer Non-Cyclical
IYK: +.01 vs Last week: +.04 (High .58 / Low -.56) Rating: SELL Demand Factor: 94-
61. Basic Materials
IYM: -.00 vs Last week: +.14 (High .69 / Low -.52) Rating: SELL- Demand Factor: 74-
62. Real Estate
IYR: -.67 vs Last week: -.24 (High .62 / Low -.67) Rating: SELL Demand Factor: 0-
63. Transportation
IYT: -.37 vs Last week: -.19 (High .80 / Low -.52) Rating: SELL Demand Factor: 8-
64. U.S. Technology
IYW: +.14 vs Last week: +.09 (High .54 / Low -.50) Rating: BUY Demand Factor: 95+
65. U.S. Total Market Index
IYY: -.35 vs Last week: -.14 (High .84 / Low -.72) Rating: SELL Demand Factor: 52-
66. U.S. Telecommunications
IYZ: -.34 vs Last week: +.05 (High .43 / Low -.30) Rating: SELL- Demand Factor: 17-
67. ULTRA SHORT MID-CAP 400 POWER SHARES
MZZ: +.17 vs Last week: +.01 (High .43 / Low -.82) Rating: BUY+ Demand Factor: 17+
68. NYSE Euronext Group, Inc.
NYX: -.74 vs Last week: -.81 (High 1.77 / Low -1.30 Rating: SELL Demand Factor: 1+
69. NASDAQ Stock Market, Inc.
NDAQ: -.22 vs Last week: -.09 (High 1.07/ Low -1.02) Rating: SELL Demand Factor: 27-
70. Oil Services
OIH: +.35 vs Last week: +.60 (High 1.63/Low -1.29) Rating: BUY Demand Factor: 92-
71. PowerShares WilderHill Clean Energy
PBW: +.26 vs Last week: +.33 (High .66 / Low -.24) Rating: BUY Demand Factor: 97/
72. Pharmaceuticals
PPH: -.30 vs Last week: -.37 (High .80 / Low -.61) Rating: SELL Demand Factor: 48-
73. PowerShares Dynamic OTC
PWO: -.10 vs Last week: +.03 (High .51 / Low -.54) Rating: BUY Demand Factor: 85-
74. ULTRA SHORT QQQ POWER SHARES
QID: -.01 vs Last week: -.14 (High .56 / Low -.73) Rating: SELL Demand Factor: 8+
75. ULTRA QQQ PROSHARES
QLD: -.04 vs Last week: +.06 (High .95 / Low -.60) Rating: BUY Demand Factor: 84+
76. Regional Banks
RKH: -.55 vs Last week: -.58 (High .95 / Low -.66) Rating: SELL Demand Factor: 6+
77. MS Eastern Europe Fund
RNE: +.19 vs Last week: +.34 (High .41 / Low -.39) Rating: BUY Demand Factor: 75-
78. Retail
RTH: -.31 vs Last week: -.05 (High .60 / Low -.58) Rating: SELL Demand Factor: 22-
79. DJ Wilshire REIT
RWR: -.54 vs Last week: -.25 (High .41 / Low -.57) Rating: SELL Demand Factor: 9+
80. ULTRA SHORT S&P500 Power Shares
SDS: +.14 vs Last week: +.02 (High .64 / Low: -.69) Rating: BUY Demand Factor: 34+
81. Silver Trust
SLV: -.57 vs Last week: +.07 (High 1.08 / Low -1.05) Rating: SELL Demand Factor: 54-
82. Semiconductor
SMH: +.05 vs Last week: +.06 (High .48 / Low -.52) Rating: BUY Demand Factor: 71+
83. Software
SWH: +.16 vs Last week: +.30 (High .61 / Low -.41) Rating: BUY Demand Factor: 99/
84. Lehman 20+ Treasury Bond Fund
TLT: +.01 vs Last week: -.00 (High .53 / Low -.49) Rating: BUY+ Demand Factor: 83-
85. Telecommunications Holders Trust
TTH: -.15 vs Last week: -.07 (High .54 / Low -.31) Rating: SELL Demand Factor: 15+
86. Utilities
UTH: -.70 vs Last week: -.79 (High .95 / Low -.89) Rating: SELL Demand Factor: 9+
87. Wireless
WMH: -.07 vs Last week: -.02 (High .69 / Low -.64) Rating: SELL Demand Factor: 52-
88. Homebuilders Select Sector
XHB: -.52 vs Last week: -.44 (High .69 / Low -.52) Rating: SELL Demand Factor: 0-
89. Materials Select Sector
XLB: -.03 vs Last week: +.15 (High .40 / Low -.41) Rating: BUY Demand Factor: 87-
90. Energy Select Sector
XLE: +.03 vs Last week: +.15 (High .76 / Low -.55) Rating: BUY Demand Factor: 69-
91. Financial Select Sector
XLF: -.10 vs Last week: -.02 (High .46 / Low -.23) Rating: SELL Demand Factor: 86-
92. Industrial Select Sector
XLI: -.19 vs Last week: +.06 (High .46 / Low -.23) Rating: BUY Demand Factor: 54-
93. Technology Select Sector
XLK: +.04 vs Last week: +.09 (High .51 / Low -.32) Rating: BUY Demand Factor: 100+
94. Consumer Staples Select Sector
XLP: -.22 vs Last week: -.20 (High .59 / Low -.29) Rating: SELL Demand Factor: 41-
95. Healthcare Select Sector
XLV: -.04 vs Last week: -.07 (High .57 / Low -.28) Rating: BUY+ Demand Factor: 95+
96. Industrial Select Sector
XLY: -.27 vs Last week: -.00 (High .44 / Low -.45) Rating: SELL- Demand Factor: 21-
97. Mining & Metals Select Sector
XME: -.35 vs Last week: -.25 (High .92 / Low -.42) Rating: BUY Demand Factor: 61-
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Douglas Gale, President (jdg8119@gmail.com)
Gale Financial Market Econometrics, Inc.
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