> 2ndOcean_
> 2ndOcean_

米国株セクター分析 / US Stock Market Sector Analysis

Market Condition Dashboard

US 10-Year Treasury Yield
Sell / Wait
4.57%
rising
Impact
Confidence
Crude Oil (WTI)
Elevated
$90.58
-6.2% 1D
Impact
Confidence
VIX (Fear Index)
Normal Range
16.6
-0.7% 1D
Impact
Confidence
200-Day Moving Average
Bullish Trend Intact
0/3 below
SPY above (+10.3%), QQQ above (+16.9%), DIA above (+6.8%)
Impact
Confidence
CNN Fear & Greed Index
Neutral
59
Greed (+0)
Impact
Confidence
Tracked Stocks Breadth (50DMA)
Pause Discretionary Adds
69%
47 of 68 above 50DMA · +4.4pp 5D
Impact
Confidence
Put/Call Ratio (5D)
Contrarian Sell Signal
0.66
Too Optimistic · stable
Impact
Confidence

Sector Performance (Base=100)

Market data as of May 25, 2026

S&P 500 & NASDAQ 100 Trend

Sector Performance

50-Day Sector Performance

1-Day vs 5-Day Change

Economic Indicators

Federal Funds Rate

Treasury Yield 10Y / 2Y

CPI Year-over-Year (%)