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9. 8. 2026
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Stocks live · indices
S&P 500
7,653
-0.3% 24h
Nasdaq
26,151
+0.7% 24h
Stocks momentumNeutral
50/100
BearishNeutralBullish
Trend · SPXNo feed
est
est · 200DMA unavailable
BreadthMixed
≈ 60%est
est · share of S&P > 200DMA
VIXNo feed
est
est · VIX unavailable
HY creditNo feed
est
est · OAS unavailable
Biggest stocks news
Job Market Just Went Negative
Why it matters — A weakening labor market increases the likelihood of rate cuts, impacting equity valuations and sector rotation. Defensive sectors may outperform.
Yyoutube.commacro
9.0
1Signalsthe 5 that matter
01
Job Market Just Went Negative
9.0
Why — A weakening labor market increases the likelihood of rate cuts, impacting equity valuations and sector rotation. Defensive sectors may outperform.
Yyoutube.comMacro
02
Biggest Private Mortgage Lender Crashes 49%
8.5
Why — Investors should watch for ripple effects in credit markets and potential systemic risk, which could lead to a risk-off shift and tighter financial conditions.
Yyoutube.comCredit
03
The AI Unwind And Warsh's Long-End Gamble
8.0
Why — This indicates a sector rotation from growth to defensives and bonds, impacting relative performance and yield curve dynamics.
Yyoutube.comAi
04
Washington Is Suppressing Volatility To Keep The AI Boom Alive
7.5
Why — Investors should be cautious of a policy-driven market that may not reflect true fundamentals, with potential for sharp reversals.
Yyoutube.comAi
05
You Won’t Believe What Michael Burry Just Predicted
7.0
Why — Burry's views can influence retail and institutional positioning, potentially accelerating risk-off moves and volatility.
Yyoutube.comEquities
2Watch2 themes · 2 notes

Rates & FX

Eurodollar University'We Need to Discuss the Bond Market. Immediately.' - yields and recession signals.

Portfolio strategy

Forward Guidance'The Portfolio Built To Survive Every Crash' by Jared Dillian - defensive allocation advice.
3Actions5 · save now, convert to tasks later

Watchlist

5 items
Monitor the private mortgage lender's liquidity situation and potential contagion to other lenders.
Watch for revisions to the jobs report and initial claims data.
Track 10-year Treasury yield levels and curve inversion depth.
Observe private credit default rates and any spillover to public credit markets.
Follow AI sector ETF flows and volatility indices.
What's expectedstocks, next 1–2 weeks
Fed/treasury intervention to suppress volatilityongoing
AI sector rotation and unwindthis week
Private credit default waveongoing
Recession signals from bond marketthis week
LLM read from today's sources qualitative read, no buy/sell calls
Macro backdropat a glance
Fed pathCurve no feed (—)
10Y Treasury— · No feed
Crude (WTI)— · No feed