Summary: Markets showed broad-based strength with most sectors and asset classes in accumulation phases, led by semiconductors. While some volume and inflation signals remain mixed, improving internals and leadership from growth and foreign equities support continued bullish momentum.
Risk On…
Summary: Overall sentiment leans cautiously risk-on, with strength in major indices, growth stocks, and global equities, while some mixed signals—like weak small caps, leadership from defensive sectors, and neutral volume patterns—suggest a market …
Summary: The overall sentiment is cautiously bullish, supported by strong technical trends and leadership from growth and global equities, but tempered by short-term market weakness, neutralizing risk indicators, and pockets of defensive outperformance …
Summary: The S&P 500 and Nasdaq hurdled over their 200-Day Moving Averages, reclaiming positive territory on the year, blacked by strong internals and improving economic sentiment. Moody’s downgraded the U.S. credit rating on …
Summary: Markets took a pause around their major moving averages as they digest the longer-term impact of the tariff policies. Market internals continued to improve from the volatile April price action, though losing …
Summary: Markets have continued to strengthen off of their extremes and have started to reclaim important pre-liberation day levels, though volatility remains elevated and we are reaching some short-term overbought conditions. The 200-Day …
Summary: Longer term, markets remain underpressure in bear phases with extremely high volatility, though we have had a good bounce off the lows and market internals are confirming the recent move. We expect …
Summary: After a flurry of activity over the last few weeks, markets paused on a holiday-shortened week, off their weakest levels, but still significantly off their recent highs and processing the potential effects …
Summary: The indexes continue to be news driven, reflected in the fear index (VIX) and Gold. On a technical basis, the move on Wednesday with record volumes shows a potential short-term bottom. Overall, …
Summary: Markets sold off hard as they processed the new round of tariffs and potential retaliation, spiking volatility to the highest in five years and hitting extreme oversold levels in equities. Mean reversion …