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In this week's episode, Todd provides an update on the market, discusses whether the progression of negative surprises in economic data is concerning, and considers the potential impact of central banks expecting to be net sellers of bonds by mid-2022.
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In this week's episode, Todd provides an update on the market, how the yield environment is impacting flows, and momentum continues to drive the market.
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In this week's episode, Todd provides an update on the market, the drive behind European earnings continuing to lead markets higher, and the NYSE Advance/Decline line's sideways motion.
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In this week's episode, Todd provides an update on the market, the anxiety building around a potential overdue correction, and economic indicators suggesting further gains in the near future.
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In this week's episode, Todd provides an update on the market, the comeback of cryptocurrency after recent lows, and the highlights of the newly passed infrastructure bill.
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In this week's episode, Todd provides an update on the market, how bond yields indicate the future direction of risk markets, and what the flurry of buyback activity means for future demand.
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In this week's episode, Todd provides an update on the market, discusses why better-than-expected earnings for bellwether companies resulted in their stocks actually trading down, and explains how recent tech and for-profit regulations are impacting the Chinese market.
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In this week's episode, Todd provides an update on the market, discusses the likelihood of the stock market continuing to hit new highs, and monitors the impact of the COVID-19 Delta variant.
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In this week's episode, Todd provides an update on the market, explains why the earnings reports are giving the market pause, and highlights the bond yield decline.
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In this week's episode, Todd provides an update on the market, questions how sustainable the all-time high Q2 performance of most US stock markets is, and explains why the variety of strong sector performances in our economy is a good thing.
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