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S&P 500 VIX Oct '24 (VIV24)

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S&P 500 VIX Futures Market News and Commentary

Stocks Pressured by Reduced Rate-Cut Expectations and Middle East Tensions

The S&P 500 Index ($SPX) (SPY) today is down by -0.33%, the Dow Jones Industrials Index ($DOWI) (DIA) is down by -0.32%, and the Nasdaq 100 Index ($IUXX) (QQQ) is down by -0.40%.

Stocks today are mildly lower, pressured by higher bond yields. The 10-year T-note yield climbed to a 2-month high today on bearish carryover from last Friday when the stronger-than-expected US Sep payroll report eliminated the market odds for a -50 bp rate cut by the Fed at next month’s FOMC meeting.  Strength in energy stocks is limiting the downside in the broader market, with WTI crude oil (CLX24) up more than +2% at a 7-week high.

Middle East tensions have also dampened the appetite for risk assets and are a negative stock factor.  In addition to Gaza, Israel is waging a ground and air offensive in Lebanon to combat Hezbollah.  The Israel Defense Force (IDF) said today that it deployed a third division of troops in southern Lebanon while maintaining airstrikes in Beirut’s southern suburbs. ... 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
$6,666/6,060
First Notice Date
10/16/24 (9 days)
Expiration Date
10/16/24 (9 days)

Seasonal Chart

S&P 500 VIX Oct '24
Average Price Chart for 5 Prior Oct Contracts

Commitment of Traders Positions as of Oct 1, 2024

View Chart Details
Commercials - Long / Short
129,491 (-497)
113,463 (-9,858)
Non-Commercials - Long / Short
82,074 (+5,523)
97,951 (+16,333)
Dealers / Intermediary - Long / Short
29,304 (+4,248)
22,655 (-2,665)
Asset / Manager - Long / Short
45,766 (+179)
51,325 (+10,016)
Leveraged Funds - Long / Short
70,297 (+752)
77,800 (+3,066)
Other Reportables - Long / Short
9,162 (+1,116)
2,598 (-2,673)
Get Realtime - Quotes and Charts for Futures Traders. Learn More >>

Price Performance

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Period Period Low Period High Performance
1-Month
17.6000 +19.32%
on 09/23/24
21.3000 -1.41%
on 10/03/24
+0.0808 (+0.39%)
since 09/06/24
3-Month
17.1600 +22.38%
on 07/15/24
34.5000 -39.13%
on 08/05/24
+3.2993 (+18.64%)
since 07/05/24

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Barchart Trading Guide

The Barchart Trading Guide is a Buy Signal with a Soft Signal Strength.

Key Turning Points

3rd Resistance Point 22.0187
2nd Resistance Point 21.6344
1st Resistance Point 20.9187
Last Price 20.9800
1st Support Level 19.8187
2nd Support Level 19.4344
3rd Support Level 18.7187

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52-Week High 34.5000
Fibonacci 61.8% 27.8761
Fibonacci 50% 25.8300
Fibonacci 38.2% 23.7839
Last Price 20.9800
52-Week Low 17.1600

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