DeepCap Thursday Outlook

Stocks rebound as market digests Fed's rate stance and economic growth signals.

DeepCap Thursday Outlook

The Day at a Glance

🎯 Theme: Stocks rebound as market digests Fed’s rate stance and economic growth signals.
πŸ“Š Risk Mood: Constructive (VIX 16.9, -15.88%)
⏰ Key Event: CFTC S&P 500 speculative net positions release at 3:30 PM
πŸ”₯ DeepCap Focus: [Premium] See DeepList Watch β†’

Key Headlines

  1. Fed to hold rates through March, and possibly through Powell’s tenure, on strong growth: Reuters poll
    Policy commentary and market moves tied to central-bank guidance and rising mortgage/rate dynamics.
  2. More Japanese Companies See Downside to Rising Rates
    Policy decisions and interest-rate developments across major economies that influence credit conditions and markets.
  3. Global bond markets shaken by Japan selloff, Greenland worries
    Bond-market stress tied to a Japan-led selloff and geopolitical ‘Greenland’ worries is rattling global yields.

The Day Ahead

Yesterday’s Takeaway
Markets snapped back after the White House walked back threatened tariffs on Europe β€” that reversal was the single biggest mover, cutting risk premia and halving the prior day’s selloff. Expect today’s session to test whether the relief rally sticks: equities can stay firm, but the move removes a near-term geopolitical overhang and keeps cross-asset flows biased toward risk assets for now.

The Setup
Sentiment shows that shift: VIX plunged to 16.9 (-15.9%), yet yields edged up β€” US 10-year at 4.26 (+0.24%) and Germany 10-year at 2.88 (+0.7%) β€” a growth-optimism mix rather than outright complacency. EURIBOR 3M sits elevated at 2.03, underscoring tighter euro-area money markets. The key divergence is falling volatility alongside rising yields; that combination can sustain equity gains but raises sensitivity to any fresh hawkish CPI/Fed cues or renewed trade headlines.

Today’s Watch
The market’s attention will land on a batch of CFTC speculative net-position releases at 20:30 (S&P, Nasdaq, commodities and several FX pairs) β€” prior S&P net positions were -122.1, a metric that could confirm whether shorts are being covered. Geopolitical headlines or re-escalation of tariff talk would reverse the recent rally; mechanically, look for US 10-year yields to test the 4.3 area and for the CFTC prints to show whether positioning has shifted enough to fuel a sustained move.

Market Movers

πŸ“ˆ Top Gainers

  • Lucid Group, Inc. β€” +17.88%
  • Moderna, Inc. β€” +15.84%
  • ServisFirst Bancshares, Inc. β€” +14.58%
  • Rambus, Inc. β€” +14.38%
  • TMC the metals company Inc. β€” +13.31%
  • BioNTech SE β€” +11.78%
  • Intel Corporation β€” +11.72%
  • Dana Incorporated β€” +10.86%

πŸ“‰ Top Losers

  • MakeMyTrip Limited β€” -12.13%
  • Legend Biotech Corporation β€” -11.36%
  • Regencell Bioscience Holdings L β€” -9.91%
  • Credo Technology Group Holding β€” -9.18%
  • AST SpaceMobile, Inc. β€” -7.95%
  • Intuitive Machines, Inc. β€” -7.5%
  • Hycroft Mining Holding Corporat β€” -7.48%
  • Vizsla Silver Corp. β€” -7.48%

Key Events Today

Date Region Event Impact
Fri 01/23 CA Retail Sales πŸ”Έ Med
Fri 01/23 CA Retail Sales πŸ”Έ Med
Fri 01/23 CA Retail Sales πŸ”Έ Med
Fri 01/23 CA Retail Sales πŸ”Έ Med
Fri 01/23 CA Retail Sales Ex Autos πŸ”Έ Med
Fri 01/23 CA Retail Sales πŸ”Έ Med
Fri 01/23 US S&P Global Composite PMI Flash πŸ”Έ Med
Fri 01/23 US S&P Global Services PMI πŸ”Έ Med
Fri 01/23 US S&P Global Manufacturing PMI Flash πŸ”Έ Med
Fri 01/23 US S&P Global Composite PMI πŸ”Έ Med
View Full Calendar

Macro Dashboard

Indicator Level Ξ” d/d Ξ” w/w 52W Range Signal
VIX 16.9 -15.88% +0.9% 14.49–20.09 Neutral
EUR/USD 1.17 0.0% β€” β€” Neutral
EURIBOR 3M 2.03% 0.0% +0.5% 2.02–2.03 πŸ“ˆ Sticky
US 10Y 4.26% +0.24% +2.9% 4.14–4.3 Neutral
DE 10Y 2.88% +0.7% +2.13% 2.81–2.88 πŸ“ˆ Bid

πŸ” Today’s DeepList Spotlight

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πŸ“° Yesterday’s Headlines (6 themes)

Rates, Central Banks & Mortgages

Policy commentary and market moves tied to central-bank guidance and rising mortgage/rate dynamics.

Rates, Central Banks & Mortgages

Policy decisions and interest-rate developments across major economies that influence credit conditions and markets.

Rates, Central Banks & Mortgages

Bond-market stress tied to a Japan-led selloff and geopolitical ‘Greenland’ worries is rattling global yields.

Trade & Diplomacy

Headlines covering tariffs, international trade deals and market reactions to tariff developments.

Trade & Diplomacy

Geopolitical and trade shifts between the US and Europe that are creating market uncertainty and policy debate.

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.