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Joel Elconin, Co-Host of the PreMarket Prep Show joins us to talk market sell off, tech sell off, and the possibility of “buy the dip” being a strategy of yesterday.
We kick off by analyzing the highly volatile market activity in the S&P 500 on Friday, touching on the 120-point spread and the strong close. Joel offers his take on this volatility from a charting perspective.
The conversation then shifts to the tech sector, with a focus on the Nasdaq and specific stocks like Nvidia and Tesla, highlighting their critical support/resistance levels and investor sentiment. We further explore the apparent rotation from growth stocks to value stocks, citing the performance of sectors like insurance and finance, and big names like Berkshire Hathaway. Joel elaborates on the changing market dynamics and the shift towards defensive sectors.
The discussion also covers the broader implications for market leadership and the impact of geopolitical factors and economic policies. Finally, Joel offers his perspective on current investment strategies, advocating caution and a 'sell the rip' approach given the market's uncertain environment. They touch on the traditional 'buy the dip' mentality and debate whether it still holds value in today's market.
Click here to visit Joel’s PreMarket Prep website.
By KE Report4.3
1111 ratings
Joel Elconin, Co-Host of the PreMarket Prep Show joins us to talk market sell off, tech sell off, and the possibility of “buy the dip” being a strategy of yesterday.
We kick off by analyzing the highly volatile market activity in the S&P 500 on Friday, touching on the 120-point spread and the strong close. Joel offers his take on this volatility from a charting perspective.
The conversation then shifts to the tech sector, with a focus on the Nasdaq and specific stocks like Nvidia and Tesla, highlighting their critical support/resistance levels and investor sentiment. We further explore the apparent rotation from growth stocks to value stocks, citing the performance of sectors like insurance and finance, and big names like Berkshire Hathaway. Joel elaborates on the changing market dynamics and the shift towards defensive sectors.
The discussion also covers the broader implications for market leadership and the impact of geopolitical factors and economic policies. Finally, Joel offers his perspective on current investment strategies, advocating caution and a 'sell the rip' approach given the market's uncertain environment. They touch on the traditional 'buy the dip' mentality and debate whether it still holds value in today's market.
Click here to visit Joel’s PreMarket Prep website.

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