QuantLogix Daily Brief
TUE · JUN 02 · 2026 · 07:30 ET Pre-Market
ES Futures
7,584.25
−15.75 (−0.21%)
US 10Y
4.46%
−1 bp
DXY
99.15
+0.23%
WTI Crude
$92.18
+1.4%
Gold
$4,687
+0.6%
VIX
16.05
+4.77%

Market Pulse

Risk is taking a breather after Monday's triple record close (S&P 500 7,599 · Nasdaq 27,086 · Dow 51,078). Futures are modestly lower as Brent holds near $95 on lingering Strait of Hormuz tail risk, while the dollar firms and the VIX bounces off the 15-handle. Tape is consolidative, not corrective — AI/semis leadership intact, energy still bid, yields stable just under 4.50%.

Overnight Headlines

Earnings AHRS · 16:05 ET
HPE rips +28% after hours on monster Q2 beat
EPS $0.79 vs $0.53 est, rev $10.7B vs $9.77B; FY26 EPS guide raised to $3.35–$3.45 from $2.30–$2.50. Networking + AI tailwinds. Watch read-through to ANET, JNPR.
Tech JUN 01 · 14:30 ET
NVDA × TSMC fab-AI partnership unveiled
H200 GPUs deployed inside TSMC fabs for scheduling and yield optimization on advanced nodes. Reinforces NVDA's vertical lock-in across the AI supply chain.
Geopolitical OVERNIGHT
Strait of Hormuz traffic still 35–40% below pre-war run-rate
Despite April ceasefire, IEA-tracked transits remain depressed. Brent base case stays $90+ until normalization is confirmed. Inflation pass-through still a Fed risk.
Crypto 06:00 ET
BTC heavy: spot ETF outflows + oil-driven CPI fears
Bitcoin trading $72.1K, down 1.4% / 24h. Record spot-ETF outflows met weakening retail demand. Risk-off cross-asset signal worth respecting.
Asia 02:00 ET
Nikkei rips to fresh record high (+0.91% · 66,934)
AI infrastructure rotation continues — semis and SoftBank-complex leading. Yen weak vs. firmer DXY. Global AI bid intact.
IPO PIPELINE
SpaceX (SPCX) prices Jun 11–12 at ~$1.75T valuation
Largest IPO on record. Quantinuum (Jun 4, ~$1B raise) and INNIO (Jun 4, ~$1.9B) also imminent. Liquidity sponge — watch small-cap drag.
Fed JUN 01
First Warsh-era FOMC priced 65% to hold
Funds rate at 3.50–3.75%. Oil shock keeps committee patient; one cut still penciled in for 2026. Curve 2s10s +42bp — gentle bull-steepener bias.

Earnings Radar

Ticker Window EPS Surprise Rev Surprise Guidance Reaction
HPE Mon AHRS +49.1% +9.5% RAISED +28.0%
CRWD Tue AHRS PEND PEND PEND Watching ARR / NRR
HQY Tue AHRS PEND PEND PEND HSA growth focus
DG Tue BMO PEND PEND PEND Low-end consumer pulse
FERG Tue BMO PEND PEND PEND Housing demand read

Economic Calendar — Today

Time (ET) Release Consensus Prior Market Sensitivity
10:00 JOLTS Job Openings (Apr) 7.10M 7.19M HIGH
10:00 Factory Orders (Apr) +3.1% +4.3% MED
13:00 3Y Treasury Auction ($58B) 3.92% MED
14:00 Fed Governor speech (Bowman) HIGH
16:30 API Crude Inventories −1.2M bbl −2.4M bbl HIGH

Heavier reads later this week: ISM Services (Wed), ADP (Wed), NFP (Fri).

Cross-Asset Snapshot

Sector Performance — Last 5 Sessions (%)
Cross-Asset 1-Day Move (%)

Sector Setup

▲ Bullish Setup

  • Technology / SemisNVDA×TSMC; SOX +70% YTD
  • EnergyBrent $95; Hormuz risk premium
  • Defense / Aerospace$895B baseline + supplementals
  • NetworkingHPE guide raise read-through
  • Gold & MinersReal-yield steady; safe-haven bid

▼ Bearish / At-Risk

  • Consumer DiscretionaryOil $92; gasoline pinch
  • Airlines / TransportsJet fuel pressure
  • Crypto-sensitive (COIN, MSTR)BTC ETF outflows
  • Rate-sensitive REITs10Y sticky at 4.46%
  • Small-Cap BiotechIPO supply absorbing capital

Trading Implications