
Sign up to save your podcasts
Or


In this week’s episode, David and Ian cover the dramatic sell-off we saw to end the week in stocks, the differences between the March and June rallies, and what areas showed relative strength/weakness over the last few weeks. David gives his thoughts on the fixed income space. Ian shares some insight into breadth and the surprising weakness from Europe.
By David Zarling, Ian McMillan4.9
7373 ratings
In this week’s episode, David and Ian cover the dramatic sell-off we saw to end the week in stocks, the differences between the March and June rallies, and what areas showed relative strength/weakness over the last few weeks. David gives his thoughts on the fixed income space. Ian shares some insight into breadth and the surprising weakness from Europe.

3,072 Listeners

592 Listeners

943 Listeners

105 Listeners

82 Listeners

361 Listeners

298 Listeners

84 Listeners

830 Listeners

169 Listeners

273 Listeners

218 Listeners

48 Listeners

23 Listeners

155 Listeners