MEMBERS ONLY
The Best Five Sectors This Week #55
Weekly update on sector rotation for US sectors using Relative Rotation Graphs®.... READ MORE
Weekly update on sector rotation for US sectors using Relative Rotation Graphs®.... READ MORE
Geopolitical tensions resulted in a surge in oil prices. Here's a technical look at the charts and potential target prices.... READ MORE
The stock market is consolidating, not collapsing. Here's what sector rotation, moving averages, and the VIX reveal about what may come next.... READ MORE
The Utilities sector is approaching a seasonally strong month. Tom Bowley analyzes this sector and makes a case for why utility stocks may soar in March.... READ MORE
There has been a shift in market leadership, suggesting that we may be in the later stages of a business cycle. Martin Pring's analysis of these rotations uncovers the scenarios we can expect during this stage.... READ MORE
How weak is the US dollar looking? Martin Pring analyzes the US Dollar Index and shows us that the dollar may not be in as bad a position as many think.... READ MORE
Martin takes a look at some important signs that suggest the Real Estate sector has reached the end of a corrective period and could be poised for a major breakout.... READ MORE
Geopolitical tensions resulted in a surge in oil prices. Here's a technical look at the charts and potential target prices.... READ MORE
Faced with an extended range-bound structure for QQQ, Bruce Fraser presents a PnF case study as he considers the progress of the bull market uptrend.... READ MORE
With Nifty hovering about its 50-week moving average but trading below the 20-week, price action suggests a loss of upside momentum. What could it take to open the door for an up move?... READ MORE
In spite of strong Nvidia earnings, the broader AI trade showed fatigue. Mary Ellen McGonagle highlights rotation into healthcare leaders and selective consumer discretionary stocks, but highlights where this market demands careful positioning going forward.... READ MORE
Beneath this week's market jitters, a subtle but meaningful shift is taking place. It was another week where headlines, above all, drove the stock market. We had stories about AI disrupting software jobs, rising geopolitical tensions, and whispers of credit problems in the private credit space. Put all... READ MORE
The stock market is consolidating, not collapsing. Here's what sector rotation, moving averages, and the VIX reveal about what may come next.... READ MORE
When strong earnings stop driving higher prices, leadership may be shifting. Learn the chart signals that tell you when an AI stock is rolling over.... READ MORE
The Utilities sector is approaching a seasonally strong month. Tom Bowley analyzes this sector and makes a case for why utility stocks may soar in March.... READ MORE
The Mag 7 stocks have lost steam since November. However, four of the seven are showing long-term uptrends. Arthur Hill analyzes each of these charts and identifies potential reversal or continuation levels.... READ MORE
A major Supreme Court tariff ruling has left the S&P 500 pinned, but the bigger story may be where money is moving. Tom Bowley breaks down the rotation into utilities, energy, and materials as Treasury yields fall, explaining why that shift matters.... READ MORE
Joe Rabil explains why Bitcoin is sitting at key support near a major retracement level and what would confirm an interim low. He also reviews SPY volatility, sentiment, ADX conditions, and several stock setups.... READ MORE
The 10-Year Treasury yield is close to a key support level, the S&P 500 is showing signs of weakening momentum, and the US dollar could see some upside movement. Add these charts to your StockCharts ChartLists as we enter a volatile period.... READ MORE
There has been a shift in market leadership, suggesting that we may be in the later stages of a business cycle. Martin Pring's analysis of these rotations uncovers the scenarios we can expect during this stage.... READ MORE
With NVIDIA earnings having the potential to trigger a major move, Dave Keller takes a close look at it’s chart across multiple timeframes. From long-term PPO signals to key support and resistance, he explains the critical features that could confirm a breakout or breakdown.... READ MORE
JPM's stock price is showing technical weakness. Here's a bearish options strategy setup with a compelling risk/reward structure. Explore how you can take advantage of it.... READ MORE
Julius presents his weekly update on Sector Rotation for US sectors using Relative Rotation Graphs.... READ MORE
Before We Dive In… In our last breadth article, we explored how Point & Figure buy signals give a unique angle on index strength or weakness. Today, we’re going to widen our breadth lens across four time horizons, which will give us clues on strength from periods of short-term... READ MORE
Retail stocks rose after the recent tariff ruling, but the charts give a mixed story. Here's a look at four retail stocks with support, resistance, and congestion zones.... READ MORE
The Nifty continues to consolidate just below a crucial resistance band while maintaining a broader uptrend. What would be needed to for it break out?... READ MORE
A quiet week, but be sure to look under the hood. It was another week of relatively little movement in the stock market. Yes, tariff headlines stirred things up a bit, but as the dust settled, the major indices quietly edged higher. Here’s their weekly performance: * Dow Jones Industrial... READ MORE
Mary Ellen McGonagle analyzes how flat index performance is masking expanding sector rotation beneath the surface. She highlights confirmed strength in industrials, metals, and select reversal setups as software, retail, and parts of financials continue to lag.... READ MORE
The S&P 500 remains locked in a multi-month consolidation as leadership rotates from growth into value. Dave Keller, CMT, updates key support and resistance levels and explains how momentum signals, especially RSI, could confirm the S&P 500's next breakout or breakdown.... READ MORE
Markets whipsawed again this week as the S&P 500 continues testing critical support at 6797. Tom Bowley reviews the major indices, highlights stocks that have crushed the S&P 500 over the past three months, and launches his new “Stock Wars” segment.... READ MORE
The stock market is clearly in defensive mode but QQQ is still holding up, and its long-term breadth still hasn't turned bearish. Arthur Hill's analysis identifies the key levels to watch.... READ MORE
Commodities remain strong, but the S&P 500 is facing pressure from weakening large-cap sectors. In this video, Julius de Kempenaer walks through asset classes, bond maturities, and sector rotation to explain why momentum is fading — and why 675 on SPY matters more than 700.... READ MORE
Before We Dive In… Ichimoku Cloud breakouts can be an incredibly effective way to jump into a trend but only if you follow the right steps when pulling the trigger. You can easily find these breakouts while fine-tuning your criteria using StockCharts’ Updated Scan Filters. However, if you simply focus... READ MORE
How weak is the US dollar looking? Martin Pring analyzes the US Dollar Index and shows us that the dollar may not be in as bad a position as many think.... READ MORE
Tony Zhang discusses a bullish counter-trend options setup for Amazon's stock. Here's how he found the trade and why he's seeing a high-conviction contrarian play.... READ MORE
RSI divergences can warn of potential major tops, but only if confirmed by breakdown signals. David Keller walks through DG, GOOGL, AT&T, and the S&P 500 to show what must happen before a divergence becomes actionable.... READ MORE
With several event catalysts now within the 30-day VIX window, it's time to ask: Does the market have a volatility problem? Mike Zaccardi breaks down the charts and assesses the danger.... READ MORE
When high-flying stocks tumble, is it a buying opportunity or the start of a deeper decline? Dave Keller, CMT, uses Alaska Air as a case study to show how momentum divergences and moving averages can confirm a true bottom—then applies the framework to PLTR and COIN.... READ MORE
Joe Rabil highlights improving sector strength and internal breadth, even as the broader market remains stuck in a range. He also reviews SPY conditions, volatility, sentiment, IWM relative strength, and select stock setups.... READ MORE
With Walmart's Q4 earnings on the horizon, Mike Zaccardi breaks down what makes WMT so critical this season and what's at stake for this year's leading sectors.... READ MORE
Before We Dive In… Ichimoku often gets dismissed for a number of reasons. Maybe it looks too complicated. Maybe it’s too slow. Not surprisingly, a lot of traders will fail with it when they go against its design and try to speed it up, "forcing" signals that... READ MORE
Julius de Kempenaer presents his weekly update on sector rotation ranking using Relative Rotation Graphs.... READ MORE
With India VIX rising sharply and the Nifty slipping below its 20-week moving average, what does this week hold for the Indian markets? Milan Vaishnav takes to the charts to analyze this question.... READ MORE
As the market experiences significant turbulence, Mary Ellen McGonagle talks ways to strategize beyond buy-and-hold. She also takes a look at EWJ in the wake of Japan's general election.... READ MORE
This week may have felt a little déjà vu as, once again, the stock market gave investors a short-lived scare. Thursday’s selloff had many investors wondering if something bigger was brewing, but afterwards, things seemed to stabilize. By Friday’s close, most major indexes managed to hold key support... READ MORE
A confirmed Hindenburg Omen signal and renewed rotation into defensive sectors are raising caution flags for US equities. While the S&P 500 remains in a neutral range, Dave Keller, CMT, highlights key support levels and breadth signals investors should monitor closely.... READ MORE