Note to the reader: This is the ninth in .
Stocks
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In this edition of StockCharts TV‘s The Final Bar, Dave identifies key resistance levels for QQQ and HYG, along with a technical analysis downtrend checklist for charts in confirmed bear phases. Guest Larry Tentarelli of Blue Chip…
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In this edition of StockCharts TV‘s The Final Bar, Dave identifies key resistance levels for QQQ and HYG, along with a technical analysis downtrend checklist for charts in confirmed bear phases. Guest Larry Tentarelli of Blue Chip…
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Stocks
Navigating the Stock Market: S&P 500’s Sensational Rally Keeps On Going Thanks to NVDA — What You Need to Watch
Well, Nvidia did it! A stellar earnings report from NVDA brought back optimism in the stock market. When a stock rises around 15% (for NVDA, that’s about a $100 rise in its price), it’s an…
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I begin each year by reviewing the long-term technical positions and behaviors of the “Big Four” — 10-year yields, S&P 500 ($SPX), Commodities, and the US Dollar. I believe that interest rates, particularly in a…
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In this edition of StockCharts TV‘s The Final Bar, Dave breaks down the latest market breadth indicators, ranging from bullish (S&P 500 advance-decline line) to bearish (Bullish Percent Indexes breaking down) to everything in between. He also…
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On this week’s edition of StockCharts TV‘s Halftime, Pete takes a look at long-term trends. Semiconductors taking it on the chin. Inflation is still a problem. Bonds are selling off, and the Fed isn’t cutting rates until,…
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In this edition of StockCharts TV‘s The Final Bar, Dave focuses on AAPL which closed below its 200-day moving average as it tests key price support. Guest Jesse Felder of The Felder Report reports on the Titanic…
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On this episode of StockCharts TV’s Sector Spotlight, I separate the 11 sectors in the S&P 500 into Offensive, Defensive, and Sensitive, assessing their group rotational patterns to see if there is any alignment with the…
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BETA One of the Risk ON/OFF metrics I like to keep an eye on is BETA. From Investopedia: Beta (β) is a measure of the volatility—or systematic risk—of a security or portfolio compared to the market…