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  • Episode 262: Virtual Seasonality
    Aug 1 2025

    In this week’s episode, David and Ian discuss the down start to August, seasonality, market breadth, the increase in the put/call ratio and the VIX. They also discuss areas that are showing relative strength and relative weakness, like growth vs. value, high beta vs. low volatility, and momentum. They also discuss how the overall trend in the market remains up, precious metals and industrial metals, Bitcoin, and fixed income updates.

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    27 Min.
  • Episode: 261 Can't Complain
    Jul 18 2025

    In this week’s episode, Ian and Kevin talk about the continued signs of risk-on behavior, like growth versus value, Bitcoin continuing higher, alt coins moving higher, international areas of fixed income, and convertible bonds. They also discuss how Chinese equities are beginning to look interesting, the Russell 2000 and return contribution rates.

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    23 Min.
  • Episode 260: Mid-Summer Cooling?
    Jul 11 2025

    In this week’s episode, David and Ian discuss what it means to be at all-time highs, the recent breakout for Bitcoin, how precious metals have performed recently, international equities, and what sectors of the market are currently "hands off" and which ones are performing well on a relative basis.

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    21 Min.
  • Episode 259: Checking the Boxes
    Jun 27 2025

    In this week’s episode, David and Ian discuss the areas of the market going out to new all time highs, certain relative relationships, like high beta to low volatility and growth versus value. They also discuss how although growth areas like technology are currently leaders, other areas of the market are still participating to the upside, a weak U.S. Dollar, interest rates, risk on areas of fixed income, and Oil.


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    29 Min.
  • Episode 258: Sentiment Check
    Jun 20 2025

    In this week’s episode, David and Ian discuss the current sentiment in the market, the Put/Call Ratio, major indices and areas of the market that are participating to the upside and trading above their 200 day moving averages, international equities, and interest rates.

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    19 Min.
  • Episode 257: Band of Brothers
    Jun 16 2025

    In this week’s episode, David and Ian discuss the sideways action in broad indices and the resurgence in metals, particularly Gold and Platinum. Small Caps continue to struggle, even with strong performance overseas. The Dollar holds below 101 and likely confirms new downtrend, coinciding with the spike in Crude prices.

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    26 Min.
  • Episode 256: Dollar Lower for Longer?
    Jun 6 2025

    In this week's episode, David and Ian discuss areas of the market trading above their 200 day moving averages and reaching all time highs. They also discuss commodities and if Oil will get back above $65/barrel, if the US Dollar with stay weak, and what they expect from interest rates.

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    27 Min.
  • Episode 255: Messy Summer?
    May 30 2025

    In this week's episode, David and Kevin discuss the areas of the market at or reaching important areas of supply, international areas of the market that are continuing to hold up well, weekly versus monthly candles, and the strength out of momentum.

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    27 Min.