π Post-Close Wrap Β· 2026-10-01 21:00 UTC
β‘ TL;DR
- π’π’π’ QQQ leading strong buy signals with consistent directional conviction.
- π΄ PG insiders unload heavily; bearish leadership sentiment.
π― TOP SIGNALS
- π’π’π’ QQQ LONG (score 63.7) β repeated high-confidence signals indicate tech sector momentum sustained near term.
π° NEWS & SENTIMENT
- π‘ Neutral overall sentiment, 27,653 messages mostly balanced.
- (no notable non-neutral headlines today)
ποΈ SMART MONEY
- π΄π‘ Kevin Hern sells CNP and STX repeatedly in mid-September ($15Kβ$50K and <$15K tranches), mixed signals but leaning bearish on those names.
- π΄ PG top executives including CEO and CFO offload shares totaling ~$4M+, signaling concern or rotation away.
π FLOW & DARK POOL
- π΄π’ FSLR dominant put premium showing repeated hits on 150-strike puts expiring 2027-09-17, ~$17M piling up, signaling sharp downside hedging or bearish positioning.
- π’π’π’ Dark pool notable blocks: SPY 1M shares notional $763.7M; THRO 11.4M shares notional $502.5M; NVDA 1.3M shares notional $296.3M big institutional accumulation.
π RISK AHEAD
- β οΈ 2026-10-01 23:20 Fed speech: Dallas Fed President Lorie Logan (high impact).
- β οΈ 2026-10-02 12:30 Employment Report + Unemployment Rate (high impact).
- β οΈ 2026-10-07 18:00 FOMC meeting minutes release (high impact).
- 2026-10-05 CCL earnings dueβwatch for cruise sector reaction.
- Medium/low impact: ISM Services PMI 10-05, Jobless Claims 10-08, other economic data through next week.
Educational & informational only β not financial advice. Markets carry risk; do your own research.
Serial 20261001-21-v185 Β· 2026-10-01 21:00 UTC Β· pulse.uzylab.com