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In this week’s episode, Dave, Ian, and Dan discuss important levels on the major indices that continue to show resistance, the continued sure in Commodities and metals, and whether or not investor surveys are a true indicator of sentiment. Ian gives his thoughts on the Copper/Gold ratio. Dan shares some insight on the Industrials space. And David helps shine some light on monthly candles from February.
In this week’s episode, Dave, Ian, and Dan discuss the large volatility we saw on Wednesday and Thursday, a look at the “Death Cross”, and an update on what seasonality says may be in store. Ian covers the areas that did not make new lows. Dan gives his thoughts on foreign stocks. And Dave dives into Weekly candles.
In this week's episode, Dave and Ian discuss how the COVID leaders are the laggards, the methodical nature of selling, liquidity, commodities and industrials, and some of the more interesting weekly candles, like EEM and TLT.
In this week’s episode, Dave and Ian discuss fundamental data versus price data, inflation "protection" gold and silver, how not all bonds are the same, seasonality, current areas that have shown strength, and whether the weaker areas of the past twelve months are bottoming or just consolidating.
In this week’s episode, Dave and Ian cover the continued volatility we have seen in both equity and fixed income markets. Earnings season is upon us and there have been some wild moves in both directions as the market continues to send mixed signals. Pratty discusses the Google split and what it may or may not mean for the stock going forward.
In this week's episode, Dave and Ian (along with special guest Dan Gorghuber) discuss the continued rocky start to the year that we have seen in stocks and many other asset classes. Energy stocks continue to hold up well, along with Commodities, Crude, and Natural Gas. Ian discusses the strength in the US Dollar and the correlating weakness with mining stocks. Dan talks about interest rates and the yield curve.
In this week's episode, Dave and Ian discuss important levels being broken in stocks, bonds, commodities, and crypto. They also discuss the most recent Lunch and Learn presentation and how it was the most bearish they have ever been while presenting. They touch on the fact that price is greater than surveys and they review the big boys MSFT, AAPL, and AMZN.
In this week's episode, Dave and Ian discuss the weakness in Mega and Large Cap Growth names, the Santa Claus rally, and other early-year seasonality barometers. Banks and Energy are off to a strong start in 2022, but are they enough to carry the market? Bonds and cryptos look weak across the board. And major levels in the indices.
In this week's episode. David and Ian discuss the recent buying in stocks, failed breakdowns, and what it would take to consider the market "fixed". We hope you have a Merry Christmas and a Happy New Year!
In this week's episode, Dave and Ian discuss the wild volatility we saw this week, underperformance in Large Cap Growth stocks, and the continued strength from Defensive areas of the market. They also discuss Ari Wald’s posed question: “What is a stock picker’s market?”
From the publisher's feed
The Weekly Trend is a conversation on various publicly-traded markets, seen through the eyes of technical analysis.

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