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Published on Dec 15, 2011
As we analyze the market, from a technical prospective, there are several key parameters to be aware of. The S&P 500 200-day moving average, a measure of the longer-term trend has been slopping lower since the end of September, a negative indication. Stocks making 52-week lows are well outpacing the 52-week highs list. The VIX, a measure of volatility, is holding steady above 25, which is somewhat elevated, and the lack of volume indicates to us that there maybe liquidity issues, if aggressive sellers once again re-appear as they did August and late September the market maybe in store for some rough sledding.