TRDX Daily US Market Briefing for July 16th, 2026

TRDX Daily US Market Briefing — July 16, 2026
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TRDX Daily US Market Briefing

BEARISH
ES −0.29%  ·  NQ −0.95%  ·  RTY −0.35%  ·  YM +0.13%
Thursday, July 16, 2026
Updated 8:05 AM EDT · v2 Revised Scanner

Sector Heatmap

Technology
XLK
−0.82%
Financials
XLF
+0.72%
Energy
XLE
+0.33%
Healthcare
XLV
+1.61%
Industrials
XLI
−0.18%
Cons. Disc.
XLY
−0.45%
Cons. Stap.
XLP
+0.14%
Materials
XLB
−0.21%
Real Estate
XLRE
−0.28%
Utilities
XLU
+0.09%
Comm. Svcs.
XLC
−0.54%

Breadth is bifurcated: Healthcare and Financials lead on earnings beats while Technology drags on semiconductor sector rotation and AI capex digestion fears (day 3). Communication Services under pressure ahead of tonight’s NFLX print. ~est. based on pre-market ETF pricing.

Market Bias

35
Fear
Scale: 0 (Extreme Fear) → 100 (Extreme Greed)
  • Futures: ES −0.29%, NQ −0.95% → bearish lean (−10 pts)
  • VIX: 16.21 (+3.51%), rising but still sub-20 (0 pts)
  • Newsletter tone: “Damp squib,” Hormuz “red line,” cautious macro (−5 pts)
  • CNN F&G: 46 (Neutral as of July 15) (0 pts)
  • Breadth: XLK & XLC under pressure; counter-trend healthcare and AI small-cap breakouts
Sources: TradingView futures charts, CNN Fear & Greed Index, Reuters newsletters

Overall Economic Summary

Two distinct macro forces collide at Thursday’s open. The bullish force: a healthcare earnings season running materially ahead of expectations — UNH delivered a $1.46 EPS beat with a full-year guidance raise to $19.50–$20.00, and ABT matched on EPS while topping revenue. Meanwhile, SHAZ (SharonAI Holdings) continues to attract institutional volume on the back of its NVIDIA Grace Blackwell partnership and $1.6B strategic raise. Tonight’s Netflix AMC print adds another catalyst vector to watch.

The bearish force: semiconductors are in their third straight session of selling. Hyperscale cloud providers signaled an AI capex digestion phase, sending MRVL, INTC, ASTS, and the broader chip complex lower. NQ futures off nearly 1% confirm this is the dominant pain center.

Geopolitically, Iran has doubled down on its Strait of Hormuz “red line” warning as the US stepped up its military posture. Oil holds near $80 WTI and $85 Brent, with the risk premium keeping energy stable and adding a risk-off undertone to the broader tape.

Sources: Reuters Morning Bid “Damp Squib,” Reuters Daily Briefing, Reuters Econ World, Yahoo Finance Morning Brief, UNH 8-K SEC filing, SEC EDGAR SHAZ 8-K

Market Sentiment

The regime is BEARISH — ES1! at 7,593 (−0.29%), NQ1! at 29,410 (−0.95%), RTY1! at 2,981 (−0.35%). Only YM (+0.13%) is positive, propped up by UNH’s weighting. Today’s Top 5 are all long/counter-regime plays with hard catalysts — UNH and ABT on confirmed earnings beats, MSFT and NFLX on ORB/earnings-day setups, and SHAZ on the highest RVOL in the scanner (14.59×) backed by NVIDIA infrastructure news. The bearish regime is fully captured in Secondary Movers, which are all short/gap-down names from the revised scanner. Tonight’s NFLX AMC print at ~4:00 PM ET is the day’s most anticipated event and should drive positioning all session.

Key Market Stats

S&P Futures (ES1!)
7,593
−21.75 (−0.29%)
Nasdaq Futures (NQ1!)
29,410
−283.00 (−0.95%)
Dow Futures (YM1!)
52,969
+69 (+0.13%)
Russell 2000 (RTY1!)
2,981
−10.5 (−0.35%)
VIX
16.21
+0.55 (+3.51%)
10Y Treasury
4.57%
−6 bps
DXY (Dollar)
100.51
+0.02%
WTI Crude
$79.92
+0.40%
Brent Crude
$84.63
−0.37%
Gold
$4,050
~Flat
Sources: TradingView (ES1!, NQ1!, YM1!, RTY1!, VIX, MCL1!, DXY charts Jul 16 ~08:05 EDT); 10Y yield via TradingEconomics; Gold/Brent via TradingEconomics Jul 16

Economic Calendar — July 16, 2026 (ET)

Time (ET)EventConsensusPriorImpact
8:30 AMRetail Sales MoM (Jun)+0.3%+0.9%HIGH
8:30 AMRetail Sales Ex-Autos (Jun)−0.1%+0.8%MED
8:30 AMInitial Jobless Claims (week ending Jul 11)216K215KHIGH
8:30 AMPhiladelphia Fed Business Outlook (Jul)15.010.3MED
1:01 PMNetflix (NFLX) Q2 2026 Earnings ReleaseRev $12.57B+13.8% YoYHIGH
10:00 AMNAHB Housing Market Index (Jul)3535LOW
10:00 AMBusiness Inventories (May)+0.3%LOW

Watch: Retail Sales + Jobless Claims at 8:30 AM ET hit simultaneously with the open ramp — a vol spike is likely in the first 5–10 minutes. NFLX earnings release at 1:01 PM PT (4:01 PM ET) is the marquee event; NFLX will trade on earnings positioning all session.

Sources: Kiplinger Economic Calendar, XTB Economic Calendar Jul 16 2026, StockTitan NFLX earnings release notice, S&P Global NFLX Q2 2026 preview

Today’s Earnings

UNH UnitedHealth Group
BMO ✓ RELEASED
EPS $6.38 — BEAT by $1.46  |  Revenue $112.0B — BEAT
Consensus EPS: ~$4.92 · Full-Year Guidance Raised: $19.50–$20.00/share adj. net earnings

The largest positive EPS surprise in the S&P this earnings season. Magnitude of the beat (29.7% above consensus) signals the managed care margin recovery is ahead of schedule. Gap takes UNH above prior $430 resistance. Watch 9:35–9:45 AM VWAP pullback for entry.

ABT Abbott Laboratories
BMO ✓ RELEASED
EPS Matched $1.28  |  Revenue Topped ~$12.48B Consensus
YoY Revenue Growth: ~12% · Diagnostics + MCED test driving upside · Call at 9:00 AM ET

Revenue beat driven by diagnostics and the Exact Sciences MCED integration. 8.69× 5-min RVOL signals institutions re-rating at the open. Conference call at 9:00 AM ET is a live catalyst — any guidance raise language pushes ABT through $92–$93.

NFLX Netflix, Inc.
AMC TODAY 4:01 PM ET
Q2 2026 Earnings — Revenue Consensus $12.57B (+13.8% YoY) · Op Margin ~32.6%
Co-CEOs T. Sarandos & G. Peters video interview at 1:45 PM PT (4:45 PM ET) · Advertising & subscriber trends key metrics

Results post at 1:01 PM PT (4:01 PM ET) on the IR website. Key metrics: subscriber adds, advertising revenue ramp, and commentary on H2 margin recovery (Q2 was guided as the peak content amortization quarter). NFLX trades on earnings expectations all session — ORB setup in the morning, then pure direction play into the close.

Sources: GuruFocus UNH Q2 beat · SEC EDGAR UNH 8-K · Investing.com ABT results · StockTitan NFLX earnings release notice · S&P Global NFLX Q2 preview · Hudson Labs NFLX preview

Key Events Today

Netflix Q2 AMC Earnings — Day-Of Catalyst

4:01 PM ET · Communication Services

Netflix reports at 4:01 PM ET — revenue consensus $12.57B (+13.8% YoY), guided op margin 32.6%. Advertising revenue ramp and subscriber growth trends are the key data points. NFLX has historically shown significant post-earnings moves (10%+ in either direction). The stock often drifts in the anticipated direction through the session as positioning builds; watch the ORB in the first 5 minutes as a directional cue. Management noted Q2 would carry the heaviest content amortization — if margins beat the 32.6% guide, the stock moves hard.

Iran / Strait of Hormuz “Red Line” Warning

All Day · Geopolitical

Iran reaffirmed the Strait of Hormuz as a “red line” following the US blockade reinstated July 14. Roughly 27% of global maritime crude oil trade transits the Strait. Brent is holding near $85 on the geopolitical premium — any headline escalation/de-escalation will move XLE, oil futures, and risk sentiment sharply. Watch for news flow between 10 AM–2 PM ET when geopolitical headlines tend to cross.

ASTS $1B Convertible Offering + Satellite Delay

Pre-Market · Space Tech Sector Catalyst

AST SpaceMobile announced a $1B convertible senior notes offering (due 2034) with option for $150M more — the largest dilution event in company history — while simultaneously delaying BlueBird satellite launches to early 2027. The dual negative trigger has ASTS down 12.16% pre-market on 1.41M shares. RKLB, LUNR and broader space names trade in sympathy.

SharonAI / SHAZ — NVIDIA Infrastructure Collaboration

Ongoing Catalyst · AI Infrastructure

SHAZ is running on the back of its June 12 NVIDIA partnership (72 MW data center, 40,000 Grace Blackwell GB300 GPUs in Australia) and a $1.6B oversubscribed private placement closed June 29. With 14.59× 5-min RVOL — the highest reading in today’s scanner — institutional accumulation is clearly underway. Analyst consensus: Strong Buy, PT $105.33 (+49% from current). This is the most differentiated long setup in a bearish tape.

Sources: Reuters “Iran red line” Daily Briefing · StockTitan NFLX announcement · Benzinga ASTS convertible offering · SEC EDGAR SHAZ 8-K / Form 424B3 · SimplyWallSt SHAZ · StockAnalysis SHAZ

Top 5 Movers — A+ Setups

UNH UnitedHealth Group Inc. LONG · BMO BEAT
$418.52 +6.22% pre-mkt (~$444.57)
Health Services · Pre-mkt Vol: 330,687 · ATR: $9.94 · Float: ~907M · Beta: 1.23 · 5-min RVOL: 3.85× · 1-day RVOL: 1.38×
CATALYST

Q2 2026 BMO earnings: EPS $6.38, beat consensus by $1.46 (the largest positive EPS surprise in the S&P 500 this earnings season). Revenue $112.0B (+0.3% YoY), beat estimates by $1.14B. Full-year 2026 guidance raised to $19.50–$20.00/share adjusted net earnings; operating earnings guidance raised above $25,450M.

WHY IT’S MOVING

UNH has been in a complex recovery since December 2025. Today’s results decisively reclaim the narrative — managed care margins held, the MLR is in-line, and the raised guide signals H2 confidence. In a BEARISH tape (NQ −0.95%), a healthcare name gapping +6.22% on a 29.7% EPS beat forces institutional health-sector funds to re-weight aggressively. The gap gap now clears prior resistance near $430, positioning UNH for a continuation move.

KEY DAILY PRICE LEVELS

VWAP anchor: ~$440–$445 on opening volume. Opening range: $438–$452 in first 5 min. 50-day MA: ~$400 (well below). 200-day MA: ~$372. ATR(14): $9.94. Bias: Long / Gap-and-Go. Entry: 9:35–9:45 AM pullback to VWAP ~$440. Target: $455–$460. Stop: below $432 (gap fill risk).

SUPPORT & RESISTANCE

Support: $438 (intraday VWAP), $432 (opening range low), $418.52 (prior close — gap fill). Resistance: $450 (round number), $460 (prior range).

WYCKOFF PHASE

Markup Phase — earnings-driven gap initiates a new uptrend leg following an extended base above $390.

Sources: GuruFocus “UNH Reports Strong Q2 Earnings, Raises Full Year Guidance” · SEC EDGAR UNH 8-K 7/16/2026 · Blockonomi UNH Q2 preview
ABT Abbott Laboratories LONG · BMO BEAT
$89.27 +3.73% pre-mkt (~$92.60)
Health Technology · Pre-mkt Vol: 366,433 · ATR: $2.42 · Float: ~1.73B · 5-min RVOL: 8.69× · 1-day RVOL: 1.50×
CATALYST

Q2 2026 BMO earnings: EPS matched consensus at $1.28; revenue topped estimates with ~12% YoY growth (~$12.5B). Revenue upside driven by diagnostics and medical devices, particularly the Exact Sciences MCED (multi-cancer early detection) integration, which is tracking ahead of commercial launch projections. Conference call at 9:00 AM ET.

WHY IT’S MOVING

In a down tape, an in-line EPS with a revenue beat is rewarded more aggressively as defensive-growth healthcare is the rotation destination. ABT’s 8.69× 5-min RVOL is one of the highest readings in today’s scanner — a signal of aggressive institutional re-rating at the open. The dual catalyst (ABT earnings + UNH massive beat) creates a healthcare sector momentum tailwind. Gap from $89.27 to ~$92.60 (+3.73%) is now updated from revised scanner.

KEY DAILY PRICE LEVELS

VWAP anchor: ~$92.00. Opening range: $91.00–$94.00. 50-day MA: ~$87. 200-day MA: ~$85. ATR(14): $2.42. Bias: Long. Entry: pullback to $91.50–$92.00 VWAP. Target: $93–$95. Conference call at 9:00 AM ET is a live re-catalyst. Stop: below $90.50.

SUPPORT & RESISTANCE

Support: $91.50 (VWAP), $89.27 (prior close). Resistance: $93.00, $95.00 (prior 52-week high area).

Sources: Investing.com “Abbott Labs earnings matched, revenue topped estimates” · Alphastreet ABT Q2 preview · StockTitan ABT conference call
MSFT Microsoft Corporation LONG · ORB
$395.63 +1.31% pre-mkt (~$400.80)
Software / AI Cloud · Prior session vol: 36.25M · ATR: ~$8 (~est.) · Earnings: July 29 AMC · Note: ORB candidate; gap sub-2% but strong relative strength in a bearish NQ tape
CATALYST

Microsoft launched its Frontier Company — a $2.5B operating unit with 6,000 AI specialists embedding Copilot and Azure AI into large enterprise workflows. This is a direct monetization signal ahead of July 29 earnings (Street expects $4.23 EPS). Wells Fargo PT $625. Counter-rotation trade: as AI chip names sell, quality mega-cap AI software earns the “safer AI” bid.

WHY IT’S MOVING

MSFT is one of the only large-cap tech names holding bid pre-market (+1.31%) in a session where NQ is −0.95%. This relative strength reflects a sector rotation — investors selling speculative AI chip plays (MRVL, INTC) and rotating into proven AI software monetization (MSFT, GOOGL). With Frontier giving institutional flow a fresh accumulation thesis, MSFT is set up as a clean ORB breakout candidate for traders wanting long exposure in the bearish tech tape.

KEY DAILY PRICE LEVELS

VWAP anchor: ~$399–$401. Opening range: $399–$406 in first 5 min. 50-day MA: ~$385. 200-day MA: ~$370. ATR(14): ~$8 (~est.). Bias: Long above $400. Confirmed break above $400 targets $405–$408. Below $398 the setup fails — step aside.

SUPPORT & RESISTANCE

Support: $398 (ORB low), $395.63 (prior close). Resistance: $400 (key round/ORB trigger), $405, $410.

Sources: SimplyWallSt “Microsoft Frontier AI Services Push Into Enterprises” · Wells Fargo MSFT PT $625 · Robinhood/Yahoo Finance MSFT quote
NFLX Netflix, Inc. LONG · EARNINGS TODAY AMC
$73.68 +0.84% pre-mkt (~$74.30)
Communication Services / Streaming · Prior session vol: 32.85M · ATR: ~$3.50 (~est.) · Earnings AMC 4:01 PM ET tonight · ORB day-of-earnings setup
CATALYST

Netflix reports Q2 2026 results tonight at 1:01 PM PT / 4:01 PM ET. Revenue consensus: $12.57B (+13.8% YoY). Guided Q2 operating margin: 32.6%. Key metrics: advertising revenue ramp (the ad-supported tier is Netflix’s biggest growth lever in 2026), subscriber adds, and commentary on H2 margin recovery (management flagged Q2 as the peak content amortization quarter, so margins are expected to improve in H2). Co-CEOs Sarandos & Peters video interview begins 4:45 PM ET.

WHY IT’S MOVING

Day-of-earnings ORB setups offer a defined framework: the opening range sets the directional bias for the session, and positioning typically drifts toward the expected outcome through the day. The mild pre-market bid (+0.84%) suggests cautious optimism. NFLX has historically delivered large post-earnings moves (10%+ in either direction) — the intraday positioning ahead of the print is the trade opportunity. NFLX is also a relative-strength name in XLC (down −0.54%) — it’s holding green when the sector is red.

KEY DAILY PRICE LEVELS

VWAP anchor: ~$74.00–$74.50 at open. Opening range: $73.50–$75.50 in first 5–15 minutes. 50-day MA: ~$72–$73 (nearby support). 200-day MA: ~$68 (~est.). ATR(14): ~$3.50 (~est.). Bias: Long above ORB high — a clean break above $75.50 targets $77–$78. If price fails the ORB low below $73.50, the setup flips short into earnings. Manage exposure size into the 4 PM print; earnings gap risk is significant overnight.

SUPPORT & RESISTANCE

Support: $73.50 (ORB low / prior close), $72.00–$73.00 (50-day MA zone). Resistance: $75.50 (ORB high / breakout trigger), $77.00, $79.00 (prior swing highs).

WYCKOFF PHASE

Accumulation / Re-Accumulation — mild pre-market bid on earnings day with controlled vol suggests institutional positioning rather than panic buying; clean breakout setup if the morning prints a tight range above $74.

Sources: StockTitan NFLX Q2 earnings release notice · S&P Global NFLX Q2 2026 preview · Hudson Labs NFLX preview · IndMoney NFLX earnings preview · Yahoo Finance NFLX Q2 preview · Tickeron NFLX earnings
SHAZ SharonAI Holdings, Inc. LONG · AI INFRASTRUCTURE
$70.63 +3.14% pre-mkt (~$72.85)
Technology Services / AI Infrastructure · Pre-mkt Vol: 148,559 · ATR: $9.48 · Float: ~35M (~est.) · Beta: −3.68 (inverse) · 5-min RVOL: 14.59× (🔥 Highest in scanner) · Mkt Cap: $2.49B
CATALYST

Two compounding catalysts: (1) June 12: NVIDIA partnership — a six-year AI infrastructure compute collaboration to deploy 72 megawatts of data center capacity in Australia using 40,000 NVIDIA Grace Blackwell GB300 GPUs (NVIDIA’s most advanced AI chip). (2) June 29: $1.6B private placement — an oversubscribed strategic financing round anchored by Situational Awareness L.P., giving SHAZ a fully-funded runway to execute the NVIDIA buildout. Proxy filing July 13 signals potential corporate actions ahead.

WHY IT’S MOVING

14.59× 5-minute RVOL is the highest reading in today’s entire scanner — this is not casual retail interest, this is institutional accumulation. In a session where semiconductor stocks are selling off and AI infrastructure names are under pressure, SHAZ is the rare AI name attracting aggressive buying. The negative Beta (−3.68) mathematically explains why it’s going up while the market goes down — SHAZ moves inversely to the index, making it the ultimate counter-regime long today. Analyst consensus is Strong Buy with a $105.33 price target (+49% from current price).

KEY DAILY PRICE LEVELS

VWAP anchor: ~$72.50–$73.00 at open. Opening range: $71.50–$74.50 in first 5–10 min. 50-day MA: ~$67–$68 (~est., below). ATR(14): $9.48 (very high relative to price — can move $9+ in a day). Bias: Long above $72.50. Entry: ORB breakout above $74 targets $78–$80 intraday. High ATR means set wider stops (~1× ATR = $9.50 stop below $70.00 / prior support). If the 14.59× RVOL sustains through the 9:50 AM candle, the setup has institutional conviction.

SUPPORT & RESISTANCE

Support: $70.63 (prior close / gap fill), $68.00 (prior swing low / 50-day MA zone). Resistance: $75.00 (round number), $78.00–$80.00 (next swing high cluster), $105.33 (analyst PT).

WYCKOFF PHASE

Markup Phase initiating — fresh institutional accumulation from the NVIDIA deal and $1.6B raise is establishing a new higher trading range; 14.59× RVOL confirms distribution of previous sellers and absorption of supply.

Sources: SEC EDGAR SHAZ 8-K (NVIDIA partnership, June 12 2026) · SEC EDGAR SHAZ Form 424B3 ($1.6B placement) · StockAnalysis SHAZ · SimplyWallSt SHAZ Strong Buy · Robinhood SHAZ quote

Research Themes

🏥 Healthcare Earnings Renaissance

UNH’s $1.46 EPS beat and ABT’s revenue upside are not isolated — they signal managed care margins and medical device demand are holding in 2026’s macro environment. Institutional managers underweight XLV are now forced-buying. CVS (+3.05% pre-market ext) is the next logical beneficiary. The healthcare sector consistently outperforms on days when semis are under pressure, making this the cleanest counter-regime long theme today alongside the SHAZ AI infrastructure story.

Tickers: UNH, ABT, CVS, HUM, ELV, XLV
Sources: SEC EDGAR UNH 8-K, Investing.com ABT results, TradingView watchlist

🔴 AI Semiconductor Capitulation — Day 3

Third consecutive session of semiconductor selling driven by one macro theme: hyperscalers signaling an AI capex digestion phase. MRVL (−4.05%), INTC (−3.11%), NBIS (−4.12%), AAOI (−4.30%), GLW (−4.82%), and CoreWeave (CRWV, −2.59%) all lower. The NQ −0.95% is the regime signal. Also notable: SK Hynix ADR (SKHY) — debuted Nasdaq July 13 at $26.5B market cap, now pulling back hard. Short VWAP rejections on the highest-ATR names. MRVL leads with $23/day ATR.

Tickers: MRVL, INTC, NBIS, AAOI, GLW, CRWV, SKHY
Sources: Benzinga MRVL analysis, TradingKey INTC 18A analysis, SimplyWallSt MRVL rotation, CNBC SKHY debut

🚀 Space Tech Liquidity Event

ASTS’s dual negative catalyst — $1B convertible dilution + BlueBird satellite delay to 2027 — is cascading across the space tech sector. RKLB (−3.28%) and OUST (−3.64%) are both showing sympathy pre-market. When the lead name in a sector reprices on a dilution event of this magnitude ($1B+ for a $25.7B market cap company), it reprices the risk premium across all pre-revenue space names. Short RKLB as the cleanest sympathy play (Beta 3.07, ATR $8.18, RVOL 5.31×).

Tickers: ASTS, RKLB, OUST, LUNR, PL
Sources: FX Leaders ASTS convertible note, Benzinga ASTS tumble, TradingView watchlist RKLB/OUST

Secondary Movers

TickerCompanyPricePre-mkt Gap%Pre-mkt VolRVOLATRNote
ASTS AST SpaceMobile $66.31 −12.16% 1,407,798 6.39× $7.61 $1B convertible note + BlueBird launch delay to 2027. Dual negative catalyst — strongest short conviction in the session. 1.41M pre-market shares, −12.16%. Short under $60 (below opening range) targets $52–$55 (200-day MA zone). Stop above $63.
MRVL Marvell Technology $206.26 −4.05% 422,360 3.62× $23.11 AI capex rotation selloff, day 3. No company-specific news — pure sector rotation out of custom silicon and optical interconnects. ATR $23.11 is the highest absolute ATR in today’s scanner — best risk/reward short setup. Short under $200 targets $190–$185. Stop above $205.
INTC Intel Corporation $102.99 −3.11% 1,702,934 3.19× $9.40 18A foundry yield delays (no profitable yields until late 2026/2027), AMD overtaking INTC in datacenter revenue for the first time ($5.8B vs $5.1B in Q1). BofA warns server CPU share cut in half. Highest absolute pre-market volume in the scanner at 1.70M shares. Watch $100 support — a break below is the activation trigger. Short targets $97–$95.
NBIS Nebius Group N.V. $199.51 −4.12% 188,396 5.82× $24.32 AI cloud/infrastructure name caught in the AI capex digestion selloff. Second-highest ATR in the scanner ($24.32). Beta 2.96, RVOL 5.82×. Smaller float means sharper moves — accelerates fast if support breaks. Short under $192 (round) targets $185. High conviction if NQ stays red.
RKLB Rocket Lab Corporation $76.20 −3.28% 304,920 5.31× $8.18 Pure ASTS sympathy — no company-specific news. Beta 3.07, RVOL 5.31× (updated from revised scanner). As the most liquid space tech name behind ASTS, RKLB absorbs the sector’s risk-off flow. Short under $75 targets $71–$69. Watch ASTS for floor signals before sizing up.

Overnight Intelligence

Futures & Rates

📉 ES1! (S&P E-mini): 7,593 −0.29% — Wick sweeps near 7,455 & 7,493; trading in premium zone. Chart timestamp 08:54 EDT.
📉 NQ1! (NASDAQ E-mini): 29,410 −0.95% — CHoCH structure; multiple failed upside momentum signals. Weakest index today.
📈 YM1! (Dow E-mini): 52,969 +0.13% — Healthcare weighting (UNH) providing sole positive index read.
📉 RTY1! (Russell 2000): 2,981 −0.35% — Wick sweep near 3,016; small caps following large caps lower.
📊 10Y Treasury: 4.57% (−6 bps) — Yields retreating on risk-off; slightly supportive for growth names.
📊 DXY: 100.51 (+0.02%, flat) — Dollar stable after retreating from 101.39 highs.

Commodities, Asia & Geopolitical

🛢️ WTI (MCL1!): $79.92 (+0.40%) — Recovering from lows. Long-term downtrend still intact but stabilizing near $80.
🛢️ Brent Crude: ~$84.63 (−0.37%) — Near one-month highs on Hormuz risk premium.
🏅 Gold: ~$4,050/oz — Steady near highs; Middle East tensions keeping safe-haven demand elevated.
🌏 Asia overnight: South Korean markets pressured (SK Hynix/SKHY ADR selloff), Japan mixed. Broader Asian tech weakness mirrors US semis.
🌍 Europe: Cautious; energy stable on Hormuz premium. Tech following US NQ lower.
⚔️ Geopolitical: Iran reaffirms Strait of Hormuz “red line” — US military blockade of Iranian ports reinstated July 14. ~27% of global maritime crude at risk. Oil risk premium elevated for week 3.
Sources: TradingView futures/commodity charts (Jul 16 ~08:05 EDT) · Reuters “Hormuz uncertainty keeps world in inflation limbo” · Reuters Daily Briefing “Iran warns Strait of Hormuz is a red line” · TradingEconomics 10Y/Brent/Gold

The Days Ahead

DateEvent / Description
Thu Jul 16 (Today) Netflix (NFLX) Q2 2026 Earnings AMC — 4:01 PM ET
Revenue consensus $12.57B. Ad tier ramp and subscriber adds are the key metrics. This print sets the tone for media/streaming names Friday and into next week.
Fri Jul 17 Monthly Options Expiration (OpEx)
Elevated intraday vol and pin risk in major names into the close. Housing Starts & Building Permits (Jun) at 8:30 AM ET. Post-NFLX gap will set early tone Friday AM.
Mon Jul 20 Quiet Macro Calendar
Focus on any weekend Hormuz developments. NFLX post-earnings trend continuation or reversal will be in focus for first 30 minutes.
Tue Jul 21 Existing Home Sales (Jun) · 10:00 AM ET
Consensus ~4.10M annualized. Housing data has been consistently weak in 2026. Watch XHB and homebuilder names for reaction.
Wed Jul 22 Tesla (TSLA) Q2 2026 Earnings AMC · Fed Beige Book
TSLA’s delivery shortfall already flagged — margin commentary and energy division update are the swing factors. Beige Book released same afternoon. TSLA print sets Thursday open tone.
Thu Jul 23 Alphabet (GOOGL) Q2 2026 Earnings AMC · Flash PMI
Critical AI advertising and cloud monetization print. Flash Manufacturing & Services PMI at 9:45 AM ET — key Q3 momentum read. Initial Jobless Claims at 8:30 AM ET.
Tue Jul 29 Microsoft (MSFT) Q2 2026 Earnings AMC
Street expects $4.23 EPS. Azure cloud growth and Frontier/Copilot monetization data are the key metrics. Will set the AI software narrative for Q3. Today’s ORB setup in MSFT is a pre-earnings positioning trade.
Generated by Claude  ·  trdx.ca  ·  Thursday, July 16, 2026  ·  Data pre-market ~8:05 AM EDT · Revised scanner v2
For informational purposes only. Not financial advice. Past performance does not guarantee future results.