DeepCap Thursday Outlook

Market sentiment remains cautious amid holiday trading and economic uncertainties.

DeepCap Thursday Outlook

The Day at a Glance

🎯 Theme: Market sentiment remains cautious amid holiday trading and economic uncertainties.
πŸ“Š Risk Mood: Cautious (VIX 14.95, +4.33%)
⏰ Key Event: Tax Revenue data release, time not specified
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Key Headlines

  1. Economist Mark Zandi sees the Fed surprising with three rate cuts in first half of 2026
    Fed and funding-market developments that speak to the near-term rate path and liquidity dynamics.
  2. Mortgage Rates at 2025 Low Give Homebuyers Momentum in New Year
    Policy signals from the Fed and falling mortgage rates are shaping the outlook for yields and housing demand.
  3. America’s economy looks set to accelerate
    Broad macro takes on US growth prospects and the headline risks heading into 2026.

The Day Ahead

Yesterday’s Takeaway
US equities closed out a strong year, but the headline was mixed: risk assets rallied into year-end even as Treasury yields ticked higher and volatility crept up. That sets a fragile tone for today β€” the market is positioned for upside, yet rising US 10‑year yields (4.17%, +0.97%) and a higher VIX (14.95, +4.33%) mean buyers need confirming liquidity and rate signals to sustain gains. Cross-asset: silver weakness and crypto underperformance suggest commodities and digital assets may lag equities if rates remain elevated.

The Setup
Today’s risk picture is a one-step-forward, half-step-back setup: EUR/USD sits flat at 1.17, EURIBOR 3M is 2.02, and German 10‑year yields are steady at 2.86 β€” steady European backdrop versus slightly firmer US yields. The notable divergence is between equity momentum (year-end gains) and rising US yields plus a tick up in VIX, which elevates tail-risk sensitivity. Idiosyncratic volatility is also high: big biotech swings β€” Corcept down ~50% β€” and sectoral moves in energy and consumer names keep dispersion elevated.

Today’s Watch
Key scheduled prints: US Fed balance sheet (21:30 ET) and Baker Hughes rig count (18:00 ET), with Australia’s Services PMIs and Judo Bank Services PMI at 23:00 local (23:00 listed). Markets expect the Uruguay inflation print (17:00) to slow to 3.9% from 4.09%. Watch the Fed balance sheet for liquidity confirmation, Baker Hughes for oil-price shifts that could feed energy names, and whether US yields extend their move β€” that will determine if the year‑end equity bid broadens or narrows.

Market Movers

πŸ“ˆ Top Gainers

  • Axsome Therapeutics, Inc. β€” +22.75%
  • Polestar Automotive Holding UK β€” +9.65%
  • Ondas Holdings Inc. β€” +8.57%
  • Trump Media & Technology Group β€” +5.33%
  • PBF Energy Inc. β€” +4.15%
  • Nike, Inc. β€” +4.12%
  • Cytokinetics, Incorporated β€” +3.54%
  • Icahn Enterprises L.P. – Deposi β€” +3.42%

πŸ“‰ Top Losers

  • Corcept Therapeutics Incorporat β€” -50.42%
  • QXO, Inc. β€” -8.32%
  • Regencell Bioscience Holdings L β€” -8.3%
  • NIO Inc. β€” -7.27%
  • “Sprott Physical Silver Trust” β€” -6.23%
  • Pitney Bowes Inc 6.70% Notes Du β€” -5.99%
  • Xometry, Inc. β€” -5.81%
  • XPeng Inc. β€” -4.7%

Key Events Today

Date Region Event Impact
Fri 01/02 US Nonfarm Payrolls Private πŸ”΄ High
Fri 01/02 US Continuing Jobless Claims πŸ”Έ Med
Fri 01/02 US Jobless Claims 4-Week Average πŸ”Έ Med
Fri 01/02 US Initial Jobless Claims πŸ”Έ Med
Fri 01/02 US Unemployment Rate πŸ”Έ Med
Fri 01/02 CA S&P Global Manufacturing PMI πŸ”Έ Med
Fri 01/02 US S&P Global Manufacturing PMI πŸ”Έ Med
Fri 01/02 US ISM Manufacturing PMI πŸ”Έ Med
Fri 01/02 US ISM Manufacturing New Orders πŸ”Έ Med
Fri 01/02 US ISM Manufacturing Employment πŸ”Έ Med
View Full Calendar

Macro Dashboard

Indicator Level Ξ” d/d Ξ” w/w 52W Range Signal
VIX 14.95 +4.33% +10.99% 13.47–17.62 Neutral
EUR/USD 1.17 0.0% β€” β€” Neutral
EURIBOR 3M 2.02% 0.0% -0.98% 2.0–2.07 Neutral
US 10Y 4.17% +0.97% +0.97% 4.11–4.18 πŸ“ˆ Bid
DE 10Y 2.86% 0.0% 0.0% 2.83–2.9 Neutral

πŸ” Today’s DeepList Spotlight

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πŸ“° Yesterday’s Headlines (6 themes)

Rates, Central Banks & Mortgages

Fed and funding-market developments that speak to the near-term rate path and liquidity dynamics.

Rates, Central Banks & Mortgages

Policy signals from the Fed and falling mortgage rates are shaping the outlook for yields and housing demand.

Macro: Labor, Consumers & Growth

Broad macro takes on US growth prospects and the headline risks heading into 2026.

China/Asia Policy & Markets

Beijing policy moves and demographic measures that signal macro/structural direction for 2026.

Market Moves & Daily Wraps

Year-end market wrap-ups, charts and summaries capturing asset performance and sector moves across regions.

Other Market News

Additional headlines across various market themes.

Market Futures

Social Media Buzz

For your reading pleasure, not to be treated as advice of any sort.

This content is for informational purposes only and is not investment advice. Markets carry risk. Do your own research.