Wall Street Selloff On JP Morgan CEO Dimon’s Op-Ed, NVIDIA Important BIG Earnings Beat in Afterhours

MARKETS TODAY May 24th, 2023 (Vica Partners)

On Tuesday, US Markets finished lower, S&P 500 -1.12%, DOW -0.69% and the Nasdaq -1.26%. 10 of 11 of the S&P 500 sectors lower: Materials -1.54% underperforms/ Energy +1.04% outperforms Oil, Gold, Bitcoin and USD Index all gained. In economic news, S&P flash U.S. services PMI came in hot, manufacturing PMI missed, new home sales beat.

Overnight/US Premarket, Asian markets finished lower, Hong Kong’s Hang Seng -1.62%, Shanghai Composite -1.28% and Japan’s Nikkei 225 -0.89%. US futures were trading at 0.5% below fair value. European markets finished lower, Germany’s DAX –1.92%, London’s FTSE 100 -1.75%.

Today US Markets finished lower, S&P 500 -0.73%, DOW -0.77% and the Nasdaq -0.61%. 10 of 11 of the S&P 500 sectors lower: Real Estate -2.21% underperforms/ Energy +0.52% outperforms. On the upside, Treasury Yields, USD Index and Oil all gain. In economic news, mortgage applications decrease 2nd consecutive week, crude oil inventories had biggest decline since November.

Takeaways

  • Jamie Dimon Op-Ed “more defaults & higher rates” sparks market selloff
  • NYSE FANG+ up 0.28%, mega cap growth continues to pull ahead
  • CBOE Volatility Index (VIX) +>8%
  • 10 of 11 of the S&P 500 sectors lower: Real Estate lags/ Energy outperforms
  • SPDR S&P Banking ETF (KRE) declines 1.79%
  • Oil rises, Saudi Arabia’s top energy official warns oil short-sellers
  • NVIDIA (NVDA) important BIG earnings beat in afterhours
  • Watch Lithium!

Pro Tip: China is spending billions today to secure the world’s lithium reserves (see WSJ article below), A Vica top CAGR growth category.

Sectors/ Commodities/ Treasuries 

Key Indexes (50d, 100d, 200d)

S&P Sectors

  • 10 of 11 of the S&P 500 sectors lower: Real Estate -2.21% and Financials -1.31% lag/ Energy +0.52% outperforms.

Commodities

Factors (YTD)

 

US Treasuries

 

Notable Earnings Today  

  • +Beat: NVIDIA (NVDA), Analog Devices (ADI), Snowflake (SNOW), Splunk (SPLK), Uipath (PATH), Nutanix (NTNX), Futu (FUTU), ELF Beauty (ELF), Dycom Industries (DY), Enersys (ENS), Kohl’s Corp (KSS)
  • Miss: : Bank of Montreal (BMO), Bank of Nova Scotia (BNS), Lenovo Group (LNVGF), Xpeng (XPEV),
  • * Strong support – NVIDIA (NVDA), Meta Platforms (META), Microsoft (MSFT), Alphabet (GOOG,GOOGL), Amazon (AMZN), Apple (AAPL), Tesla (TSLA), Taiwan Semi (TSM), ASML Holding NV (ASML)

Economic Data

US

  • Mortgage apps; period May 19, act -4.6%, refi -5.0%, updated 30yr rate: 6.7% Summary/ mortgage applications decrease 2nd consecutive week among volatile rates and thin inventories.
  • Oil inventories; period May 19, Crude <12.5m> fc +700k , Gasoline act <2.1m>, fc <1.3m> Summary/ S. inventories of crude oil saw their biggest decline last week since late November.

News

Company News

  • Elon Musk Wants to Challenge Google and Microsoft in AI – WSJ
  • Chipmaker Analog Devices’ weak forecast sparks share selloff – Reuters

Energy/ Materials

  • An American Oil Hub Is Pivoting to Offshore Wind – Bloomberg
  • Oil Rises for Third Day After Saudi Warning to Speculators – Bloomberg

Central Banks/Inflation/Labor Market

  • US Default Scenarios Span From Localized Pain to Dimon’s ‘Panic’ – Bloomberg
  • Why Inflation Erupted: Two Top Economists Have the Answer – WSJ
  • Who’s afraid of the big, bad debt ceiling from Jurrien Timmer opinion – LinkedIn Post

China

  • China Spends Billions on Risky Bets to Lock Down World’s Lithium – WSJ

Education

  • In technical analysis, a death cross is a term used to describe a bearish signal that occurs on a price chart when a shorter-term moving average crosses below a longer-term moving average. The interpretation of a death cross depends on the specific moving averages being used and the context in which it occurs. Here’s a general interpretation of a technical death cross:

 

 

Journal

News

VMSI Edges Up to 25.2, But Market Remains Deep in Risk-Off Territory

What is VMSI? The VICA Market Sentiment Index tracks institutional capital flows, risk posture, and macro volatility weekly. Built for ...
News

Institutional Allocators Aren’t Watching Volatility—They’re Designing Into It

VICA Partners Intelligence | April 2025 A regime transition in capital allocation is underway—and the smartest money is leading the ...
News

VMSI Drops to 22.4 as Risk-Off Accelerates and Volatility Deepens

VMSI Gauge Chart — Displaying Current Sentiment and Risk Level The VMSI gauge indicates a current sentiment score of 22.4, ...