The Weekly Trend is a conversation on various publicly-traded markets, seen through the eyes of technical analysis.
In this week's episode, David rides solo and highlights the continued market expansion we saw this past week. In addition, he touches base on new all-time-highs for several important areas. Finally, …
In this week's episode, David and Ian discuss the strong move in stocks that we saw in November, and another potential rebound in Small Caps. Gold is moving to all-time highs at $2100/ounce. Also, wh…
In this week's episode, Ian discusses the flat week in stocks, with big moves in other places such as the US Dollar and Crude oil prices. Stocks remain healthy, with rates potentially rolling over fo…
In this week's episode, David and Ian discuss the recovery of old leaders (Tech, Nasdaq) and the lagging once again of Small Caps. Rates and Dollar remain flat. Semis and FAANG names remain near the …
In this weeks episode, Ian and Kevin discuss the strong rally in both stocks and bonds, a potential breakdown in the Dollar, and the biggest movers of the week, including Homebuilders, Crypto stocks,…
In this week’s episode, David and Kevin discuss major indices moving below important levels, international equities, potential areas of risk-off behavior, market correlations and the US dollar, Bitco…
In this week’s episode, David and Ian discuss some topics covered at the quarterly Lunch and Learn, the psychological aspects of recency bias, and various relationships within the bond arena. Stocks …
In this week’s episode, David and Ian discuss the continued uncertainty in equity markets. While we should see a ‘seasonal swoon’ around the corner, there is still little evidence that it will come t…
In this week’s episode, David and Ian discuss the imminent bounce needed (and received) in stocks this week, the continued rise in interest rates, and the “defenseless” defensive sectors.
In this week’s episode, David and Ian discuss momentum divergences, what the 18-month consolidation means for the Russell 2000, and Gold potentially entering another intermediate term downtrend.
In this week’s episode, David and Ian discuss the weak Seasonality in September and the directional amplification of October. In addition, the highlight the year-to-date returns of most stocks in com…
In this week’s episode, David and Ian discuss important levels (areas of interest) on the trade-weighted dollar, trade-weighted yen, long-term treasuries, volatility (VIX), home construction (ITB), S…
In this week’s episode, Ian and Kevin discuss the S&P and Nasdaq remaining within its recent range, while the Russell 2000 is failing to keep up. They also discuss how large cap tech is still pulling…
In this week's episode, Dave and Ian discuss work by Louis Spector on Dollar strength and weakness. They also discuss ongoing market weakness including, Q4 2021 necklines, international areas, and se…
In this week's episode, Dave and Ian discuss overhead supply, seasonal performance, international equities, the VIX, and other important price levels within the market.
In this week’s episode, Dave discusses the importance of 16000 on the NYSE composite as well as the normal nature of corrective markets this time of year. He also touches base on important developmen…
In this week's episode, Dave and Ian discuss the continued uptrend in stocks and the important 4600 price area for the S&P 500. They also discuss the bearish engulfing candle witnessed Thursday and h…
In this weeks episode, David and Ian discuss the continued rally in stocks, what we could see moving forward over the next few weeks, and the relatively strong areas of the market.
In this week's episode, Dave and Ian discuss maintaining trade above 4180 and the 200 DMA for the S&P 500. They also discuss the strongest and weakest performing sectors in June, AAPL and MSFT, Homeb…