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S&P 500 VIX Oct '20 (VIV20)

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S&P 500 VIX Futures Market News and Commentary

Stocks Settle Higher on Q1 Earnings Optimism

The S&P 500 Index ($SPX) (SPY) Monday closed up +0.87%, the Dow Jones Industrials Index ($DOWI) (DIA) closed up +0.67%, and the Nasdaq 100 Index ($IUXX) (QQQ) closed up +1.02%. 

US stock indexes settled moderately higher on Monday, with the Dow Jones Industrials posting a 1-week high.  Reduced geopolitical tensions boosted stocks on Monday as it appears that the Iran-Israel exchange of attacks may be over for the time being.  Also, a +4% jump in Nvidia on Monday lifted technology stocks as Nvidia recovered some of last Friday’s -10% plunge.  In addition, the strength of bank stocks on Monday supported the overall market.

Optimism in Q1 corporate earnings was another positive factor for stocks on Monday.  About 180 S&P 500 companies, or more than 40% of total capitalization, are scheduled to report earnings this week, including four of the “Magnificent Seven” megacap technology companies: Tesla, Alphabet, Microsoft, and Meta Platforms. 

On the negative side for stoc... Read more

Contract Specifications

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Contract
CBOE Volatilty Index VIX Futures
Contract Size
$1000 times Index
Tick Size
0.05 points ($50.00 per contract)
Trading Hours
5:00p.m. - 3:15p.m. (Sun) and 3:30p.m. - 3:15p.m. (Mon-Thur) (Settles 3:30p.m.) CST
Exchange
CFE
Point Value
$1,000
Margin/Maintenance
$6,094/5,540
First Notice Date
11/21/20
Expiration Date
10/21/20 (expired)

Seasonal Chart

S&P 500 VIX Oct '20
Average Price Chart for 5 Prior Oct Contracts

Commitment of Traders Positions as of Apr 16, 2024

View Chart Details
Commercials - Long / Short
164,265 (+6,123)
138,152 (+17,560)
Non-Commercials - Long / Short
95,276 (+17,257)
117,750 (+8,409)
Dealers / Intermediary - Long / Short
53,188 (+7,360)
27,931 (+5,220)
Asset / Manager - Long / Short
51,002 (-13,602)
62,637 (-4,927)
Leveraged Funds - Long / Short
76,351 (+19,048)
96,226 (+19,425)
Other Reportables - Long / Short
12,517 (+4,175)
2,625 (-148)
Get Realtime - Quotes and Charts for Futures Traders. Learn More >>

Price Performance

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Period Period Low Period High Performance
1-Month
26.150 +11.17%
on 10/13/20
34.300 -15.25%
on 10/02/20
-2.155 (-6.90%)
since 09/21/20
3-Month
26.150 +11.17%
on 10/13/20
40.900 -28.92%
on 09/04/20
-2.405 (-7.64%)
since 07/21/20

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Barchart Trading Guide

The Barchart Trading Guide is a Sell Signal with a Average Signal Strength.

Key Turning Points

3rd Resistance Point N/A
2nd Resistance Point 31.023
1st Resistance Point 30.047
Last Price 29.070s
1st Support Level 28.347
2nd Support Level 27.623
3rd Support Level N/A

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52-Week High 40.900
Fibonacci 61.8% 32.477
Fibonacci 50% 29.875
Last Price 29.070s
Fibonacci 38.2% 27.273
52-Week Low 18.850

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