This week, David and Will take a high level technical view of interest rates, commodities, and domestic equity markets.
This week, Ian and Will review the major performance trends during the second quarter of 2022.
This week, David and Will discuss the historically rough start for major domestic equity indices and highlight a couple bright spots within the healthcare space.
This week, Ian is joined by veteran Steve Raymond to discuss how cash is moving relative to other asset classes in our major technical indicators.
This week, Ian and Will update support levels on the major equity indices, offer perspective on past bear markets, and highlight sectors with historically low participation.
This week, David and Joseph discuss the historic breadth in the energy market and highlight previous environments when this was also the case.
Ian and Will discuss the recent laggard rally and highlight a handful of technical indicators to watch.
Will and Ian highlight several short-term technical indicators that reversed up out of washed out territory.
Ian and Joseph discuss how sharp declines in domestic equity indices have led participation readings to washed out levels.
David and Jamie discuss the recent uptick in volatility across equity and fixed income assets.