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MarketPulse

Alpha Intelligence
Wednesday, December 24, 2025
10:30 EST
Regime 🟢

Risk On

2-4 weeks through year-end, supported by seasonal patterns and low volatility

S&P 500 within 0.2% of 52-week high (6920.34) showing persistent strength; NASDAQ leading with +0.57% outperforming SPY's +0.45%; VIX at cycle lows (14.14) near 52-week low of 14.03

82%
Confidence
^GSPC 6,909.79 +0.46%
^DJI 48,442.41 +0.16%
^IXIC 23,561.84 +0.57%
^RUT 2,541.12 -0.69%
^VIX 14.14 +1.00%
^FTSE 9,875.82 -0.14%
^N225 50,344.10 -0.14%
XLK 145.95 +0.54%
XLF 55.43 +0.20%
XLV 154.99 -0.20%
XLE 44.50 +0.66%
XLI 156.99 -0.04%

Alpha Ideas

Long NVDA above $190 targeting $210
high conviction weeks
AI infrastructure cycle accelerating, chip shortage creating pricing power, massive institutional flows
Entry
Buy breakout above $190 on volume
Target
Target $210 (ATH), stop $180
Sizing
3-5% position given volatility
Long XLE energy sector ETF
medium conviction months
Energy leading today +0.66%, oil stabilizing, potential geopolitical premium building
Entry
Current levels around $44.50
Target
Target $47 resistance, stop $43
Sizing
2-3% defensive allocation
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Index Analysis

SP500 bullish

Grinding higher in tight range near ATHs - classic late-cycle momentum with minimal pullbacks

Support 6850, 6800
Resistance 6920, 6950
NASDAQ bullish

Outperforming SPY today, tech leadership intact, 1.9% from ATH shows continued growth premium

Support 23200, 22800
Resistance 24020, 24500
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Sector Rotation

Leadership: Technology (XLK +0.54%), Energy (XLE +0.66%), Communication Services (XLC +0.63%)

Laggards: Consumer Staples (XLP -0.48%), Real Estate (XLRE -0.02%), Industrials (XLI -0.04%)

Signal: Classic risk-on rotation: growth/tech leading, defensive sectors lagging. Energy strength suggests commodity reflation theme.

Long XLK / Short XLP

Rationale: Tech momentum vs defensive weakness - 100bp performance gap today alone

Risk: Sudden risk-off event or Fed pivot hawkish could reverse quickly

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Stock Signals

NVDA bullish

+3.01% on massive 172M volume - institutional accumulation near $189, holding above key $185 support

Catalyst: AI infrastructure spend acceleration, earnings momentum into 2025

Risk/Reward: Excellent - $212 ATH target vs $180 stop gives 1:2 ratio

GOOGL bullish

+1.48% strength on 24M volume, breaking above $315 resistance level

Catalyst: AI integration, cloud growth, potential breakup resolution

Risk/Reward: Good momentum play toward $328 ATH, stop at $305

TSLA watch

-0.65% pullback from $498 high creates entry opportunity if holds $480

Catalyst: Robotaxi updates, Trump policy benefits, FSD progress

Risk/Reward: High vol play - could see $520+ on breakout or $450 on break

Crypto Alpha

Bitcoin

BTC $87K holding key support after rejection from $90K+. Range trading but bias higher on institutional adoption.

Ethereum

ETH $2926 underperforming BTC, watching for breakout above $3000 psychological level

Alt Rotation

Altcoins mixed - HYPE trending but down -0.89%, consolidation phase before next leg

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Contrarian Corner

The Consensus vs. The Counter

Consensus View
Analyzing market consensus...
Contrarian Case
Building contrarian thesis...
Trigger to Watch
Identifying confirmation signals...
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Risk Radar

Risk Probability Impact Hedge
VIX explosion from extreme lows MEDIUM 5-10% equity correction in days Long VIX calls or short SPY via puts
Fed hawkish pivot on persistent inflation LOW Growth stocks crater 15-20% Reduce duration risk, rotate to value/energy
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Weekly Watchlist

NVDA
Watch for: $190 breakout on volume
Action: Buy momentum toward $210 target
SPY
Watch for: Break above $692 (6920 level)
Action: Add broad market exposure via QQQ
VIX
Watch for: Spike above 16.0
Action: Reduce risk, take profits on momentum longs
XLF
Watch for: Break above $55.60 ATH
Action: Play steepening curve theme with financials