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Macro Trends (Asset Classes)

Wed. Jul 29, 2026

Gold    Silver    Dollar    Treasuries    Crypto    Volatilities    Mid-term VIX    Large Growth    Large Value    Small Growth    Small Value   

Macro Narrative: High systematic market risk
Recommended Equity Allocation: 45%
SPY Trend: -0.7, Vol Trend: 2.5, mid Vol Trend: 0, Speculation: -5.5

Asset GainersAsset Lossers
Asset ClassTicker Price Change Trend Std
Dev
Level
US Oil FundUSO$129.317.32%1.2    8.19%73   
VolatilityVXX$23.426.31%3.2    2.43%118   
CommoditiesDBC$29.422.87%0.4    3.77%70   
VIX Mid-Term FuturesVIXM$14.71.24%0    0.95%104   
GoldGLD$3710.44%-0.5    1.19%38   
Average Price Level81   
Asset Class Ticker Price Change Trend Std
Dev
Level
South Korea ETFEWY$144.21-4.78%-6.5    8.14%-8   
Small Cap GrowthIWO$363.7-2.14%-1.6    1.92%-6   
Emerging MarketsEEM$61.08-2.06%-2.5    2.62%-10   
NASDAQ-100 IndexQQQ$661.62-2.05%-2.6    2.63%-10   
Large Cap GrowthIVW$129.28-1.93%-2    1.84%-15   
Average Price Level-10   


Tue. Jul 28, 2026   Mon. Jul 27, 2026   Fri. Jul 24, 2026   Thu. Jul 23, 2026   Wed. Jul 22, 2026  

 

Strong Asset Classes: Volatility (3.2)   US Oil Fund (1.2)   REITs (0.8)   Commodities (0.4)   Large Cap Value (0.3)  
Weak Asset Classes: South Korea ETF (-6.5)   NASDAQ-100 Index (-2.6)   Emerging Markets (-2.5)   Large Cap Growth (-2)   Small Cap Growth (-1.6)  

 



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