No changes in my own indicators for the broad market, though I noticed the Diversified industry is diving off the cliff with money flow (i.e. too much divergence indicates a potential waterfall collapse).

I would avoid the following for the near future (no longs and no shorts):

WHR
NPK
MMM
HON
SXI
UTX
CHE
PH
CR
PKOH
KAI
KAMN
IR
BRC
AME
VMI
CSL
DHR
ESE
PNR
GY
TFX
SPW
GE
B
TXT
MYE
GMT
GFF
VVI