April 1-11 performance of selected global stock indexes, bond ETFs, fiat currencies and commodities:
Natural Gas 17.7% Orange Juice 14.5 Wheat 7.5 Coffee 4.5 Kazakhstani Tenge 4.4 Sugar 4.2 S&P 500 Consumer Staples 3.5 Swiss Market Index 3.0 S&P 500 Health Care 2.3 Soybeans 2.3 Corn 2.1 S&P 500 Utilities 2.0 IBEX 35 (Spain) 1.7 Dow Jones Utility Average 1.5 WSJ Dollar Index 1.4 S&P 500 Real Estate 1.4 FTSE 100 (U.K.) 1.4 Bloomberg Commodity Index 1.2 Brazilian Real 1.0 S&P 500 Energy 0.9 Pakistani Rupee 0.8 BEL-20 (Belgium) 0.7 S&P BSE Sensex (India) 0.7 Stoxx Europe 600 0.5 Cattle 0.5 South African Rand 0.2 Tel Aviv 35 0.1 Indian Rupee 0.1 Turkish Lira 0.1 Icelandic Krona 0.0 Indonesian Rupiah 0.0 Ukrainian Hryvnia 0.0 Vietnamese Dong –0.1 Macanese Pataca –0.1 S&P 500 Materials –0.1 S&P/ASX 200 (Australia) –0.2 Gold –0.3 Kuwaiti Dinar –0.3 Norwegian Krone –0.3 Cotton –0.3 1-3 Yr. U.S. Treasuries –0.3 Mexican Peso –0.4 IPSA (Chile) –0.4 S&P/TSX Composite (Canada) –0.5 DJ Select REIT Index –0.5 Chinese Yuan –0.5 Silver –0.6 Philippine Peso –0.6 Malaysian Ringgit –0.6 Israeli Shekel –0.6 Singapore Dollar –0.7 British Pound –0.9 Australian Dollar –0.9 Swiss Franc –0.9 Thai Baht –1.0 Argentine Peso –1.0 Canadian Dollar –1.0 Dow Jones Industrial Average –1.1 FTSE MIB (Italy) –1.1 Swedish Krona –1.1 Cocoa –1.3 Municipal Bonds –1.3 Amsterdam AEX –1.3 FTSE Straits Times (Singapore) –1.3 Croatian Kuna –1.4 Euro Stoxx –1.4 New Taiwan Dollar –1.5 DAX (Germany) –1.5 New Zealand Dollar –1.5 CAC-40 (France) –1.6 Uruguayan Peso –1.6 South Korean Won –1.6 Euro –1.6 Romanian New Leu –1.6 Danish Krone –1.6 S&P 500 Financials –1.7 Bulgarian Lev –1.7 Czech Koruna –1.7 Platinum –1.9 Polish Zloty –2.0 International Bonds –2.0 Russian Ruble –2.1 Kospi (South Korea) –2.3 Copper –2.4 Treasury Inflation-Protected Sec. –2.5 Bovespa Index (Brazil) –2.5 S&P 500 –2.6 Shanghai Composite –2.6 Japanese Yen –2.9 U.S. Bonds Total Market –2.9 High-Yield Corporate Bonds –3.2 S&P Mid Cap 400 –3.3 Lean Hogs –3.3 S&P 500 Comm. Services –3.5 7-10 Yr. U.S. Treasurys –3.6 S&P 500 Industrials –3.6 Hang Seng (Hong Kong) –3.6 Nikkei Stock Average (Japan) –3.6 Taiwan Weighted Index –3.6 IPC Index (Mexico) –3.7 Chilean Peso –3.7 Emerging-Markets Bonds –3.8 Investment-Grade Corp. Bonds –4.0 S&P Small Cap 600 –4.1 Russell 2000 –4.3 Hungarian Forint –4.5 S&P 500 Cons. Discretionary –4.9 Nasdaq Composite –5.7 Nasdaq 100 –5.7 Gasoline –5.8 Crude Oil –6.0 S&P 500 Technology –6.7 20+ Yr. U.S. Treasuries –6.8 DJ Transportation Average –10.8 Diesel –11.5
Do your own due diligence, your risk is 100% your responsibility. This is for educational and entertainment purposes only. You win some or you learn some. Consider being charitable with some of your profit to help humankind. Good luck and happy trading friends...
7 Common mistakes: +5% portfolio trades, capital risk management Beware of analyst's motives Emotions & Opinions FOMO : bad timing, the market is ruthless, be shrewd Lack of planning & discipline Forgetting restraint Obdurate repetitive errors, no adaptation
7 Important tools: Trading View app!, Brokerage UI Accurate indicators & settings Wide screen monitor/s Trading log (pencil & graph paper) Big, organized desk Reading books, playing chess Sorted watch-list
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