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In this week’s episode, David and Ian discuss the choppy market environment we have seen over the last few weeks, the rising US Dollar, and the emergence of strength from Consumer Staples. Ian discusses that there is less and less evidence that Growth stocks will make a recovery. David covers the momentum divergences we have seen across a multitude of stocks, and what it may or may not mean for markets in the weeks ahead. Also, what will the “thinning” of directional breakouts lead to for the next direction of the market?
By David Zarling, Ian McMillan4.9
7373 ratings
In this week’s episode, David and Ian discuss the choppy market environment we have seen over the last few weeks, the rising US Dollar, and the emergence of strength from Consumer Staples. Ian discusses that there is less and less evidence that Growth stocks will make a recovery. David covers the momentum divergences we have seen across a multitude of stocks, and what it may or may not mean for markets in the weeks ahead. Also, what will the “thinning” of directional breakouts lead to for the next direction of the market?

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