The Weekly Trend is a conversation on various publicly-traded markets, seen through the eyes of technical analysis.
In this week’s episode, Ian and Kevin discuss the S&P 500 and Dow Jones rejection, defensives breaking down, mid caps looking strong, growth vs value relationships, international stocks, and the cont…
In this week’s episode, Dave, Dan, Pratty, and Kevin discuss what they were looking for to support a bullish thesis in October, and what they have been seeing now in relation to that thesis. They als…
In this week’s episode, Ian and Kevin talk about how stocks and commodities have largely been range bound with bonds trying to bounce back. They also talk about how value vs growth continues to hold …
In this special edition of 'The Weekly Trend' podcast, David and Ian sit down to discuss their journey through creating ADPV, why it was created, and all the people involved in helping launch Adapti…
In this week’s episode, Dave, Dan, and Kevin discuss the recent breaking of important levels on major indices, Crypto, FAANG Stocks, and how the US dollar is holding up, and how overhead supply is se…
In this weeks episode, Ian and Dave discuss the major indices and their 200 day moving averages, market capitalizations, and the continued move higher for bonds. Bulls seem to be getting everything t…
In this weeks episode, Ian, Dan, and Kevin discuss the choppy week we had across equity markets, continued strength from bonds, and weakness from Crude Oil. Foreign stocks are still outperforming. In…
In this weeks episode. David and Ian discuss the eruption in cryptos from a technical perspective, the mixed signals we see in the stock market, weakness from the US Dollar, and precious metals.
On this weeks episode, David and Ian discuss the "project", another week of bifurcation in equities, and where the major indices stand in regards to their long-term trends. Energy remains king and Te…
In this week's episode, Dave, Ian, and Pratty discuss the continued rally in stocks, Mega Caps breaking down except for AAPL, Value sectors, Small Caps, 30-year yields, and Value versus Growth.
In this week's episode. David, Ian, and Kevin review their quarterly Lunch and Learn presentation, the back and forth chop we saw for yet another week, and what they are seeing under the surface of t…
On this week's episode, David and Ian discuss the VIX and what we should be expecting from this measurement, an update on the 60/40 portfolio, and where we stand with Q4 seasonality. Treasury rates a…
In this week’s episode, Dave and Ian discuss the breadth trust from Monday and Tuesday that reclaimed 3667, the consolidation mid-week leading to the breakdown at the end of this week, islands in are…
In this week’s episode, Ian, Dave, Dan, Pratty, and Kevin discuss what each of them would want to see in order to form a bullish perspective on the market. They also talk about the 200 week moving av…
In this week's episode, Dave, Ian, and Pratty, discuss international and emerging market stocks, how the major indices are below their June lows, 2015/16 vs. 2021/22, 10 year yields having their wors…
In this week's episode, David and Ian discuss price behavior since May 6th, the concept of "shorting the weakest areas", and Solar stocks. David gives his thoughts on the longer-term rate cycle. Ian…
In this week’s episode, Ian, Dan, and Kevin discuss how major indices are holding their base breakouts from mid-July, how individual stock leaders during that breakout period have held up well, Bitco…
In this week's episode, Dave and Ian discuss the recent breadth thrusts, sectors and industries showing relative strength, seasonality for the remainder of the year, the U.S. Dollar, industrial and p…
In this week's episode, David and Ian cover the reversal seen across most risk assets, the main talking points for both bulls and bears, and an update on where we stand with Seasonality. Energy stock…