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In this week's episode, David and Ian discuss the recent whirlwind around GameStop and short squeezes, the January Barometer, and the large divergences in breadth we continue to see. David covers the building potential for Commodities to turn higher. And Ian talks about the negative aspects of 'winning big' early on in your investing journey.
In this week's episode, Dave and Ian discuss how large cap growth names seem to be picking back up after going nowhere for the past few months. They also talk about international participation, especially from China. February seasonality, the compression in rates, and retail participation are other topics also covered in this episode.
In this weeks episode, Ian discusses what themes have emerged to begin the new year, including the weakest and strongest areas. He also takes a look back at the trends (and countertrends) we saw from Bitcoin in 2017; Continued strength from stocks overseas and huge breadth participation from Micro Caps. Also, a special episode revisiting the March 2020 lows on 'The Weekly Trend.
In this week's episode, David and Ian discuss the positive Santa Claus Rally, Interest rates, and European equities. Dave covers the weakness in Treasuries and Ian notes the strength of international fixed income.
In this week's episode, David and Ian cover the Santa Claus Rally, Bitcoin, and "expert" predictions for 2021. They also revisit some of the crazier moments from 2020 and discuss what a strong end to a year can mean for the coming 12 months.
In this week's episode, David and Ian discuss the US Dollar and what ripple effects that has on other assets, the relentless VIX, and Small Cap Tech. Ian covers price thrusts and the potential for new major uptrends in a variety of areas. David gives his thoughts on Foreign fixed income, including for investment grade and high yield bonds.
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In this week's episode, Dave and Ian discuss the strength in Emerging Markets, including Indian and Latin American stocks. They also cover the strength we are seeing in Biotech stocks. David discusses the lack of decreasing volatility. Ian gives his thoughts on why breadth may be a clue as to why we aren't too close to a major top for stocks.
In this week's episode David discuss new all-time highs in the four major US indices, the strength coming out of Latin America, price thrusts, and the Dollar's impact on Copper and Gold. Ian explains why he thinks we are closer to the beginning of a new leg higher for stocks. Dave gives his thoughts on the Put/Call ratio.
In this week's episode, David and Ian discuss the large cluster of 80% Up Days we have seen, gap characteristics, the US dollar, and what they are thankful for. Dave covers the emotional disconnect with all-time highs and the feeling of fear. Ian discusses the relative weakness in Gold against not just US stocks, but stocks around the world.
In this week's episode, David and Ian discuss the multiple pieces of "noise" being thrown around in the market these days, crazy Mondays, and a slew of new areas showing relative strength. David discusses the important juncture Apple has arrived at. And Ian talks about what recent strength in Micro and Small Caps means for his scanning process.
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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