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Market Leadership Is Changing, Here's Where to Look
Mary Ellen McGonagle analyzes shifting market leadership as defensive sectors gain strength and tech weakens. See where money is rotating and what to watch next.... READ MORE
Mary Ellen McGonagle analyzes shifting market leadership as defensive sectors gain strength and tech weakens. See where money is rotating and what to watch next.... READ MORE
Oil prices are elevated, interest rates are rising, and the SPY is below its 200-day moving average. Arthur Hill compares the current market to the 2022 bear market and uncovers some interesting similarities.... READ MORE
The major stock market indexes are under pressure. Learn what the charts say now, which support levels matter, and why caution still makes sense for investors.... READ MORE
The Financials sector is lagging in 2026, but a trend reversal may be near. Analyze the key support levels and stock charts to watch before the start of the next earnings season.... READ MORE
The recent stock market pullback may be hitting a floor. Discover which oversold indicators Martin Pring is monitoring for the next big trend reversal.... READ MORE
As interest rates around the world break to the upside, how long can the U.S. hold out against the trend?... READ MORE
Before the Iran conflict, the energy market had reached a point in the cycle where a major uptrend was overdue. Martin Pring does a deep dive into the technical backdrop of crude oil and shares his analysis.... READ MORE
With the S&P 500 ($SPX), Nasdaq Composite ($COMPQ), and Dow Industrials ($INDU) all trading below their 200-day moving averages, investors are facing a lot of tough questions. Should I sell all my holdings? Should I rotate into defensive sectors like Energy? Should I buy the dip? When the... READ MORE
The Dow Industrials, Nasdaq 100, and Russell 2000 reached a 10% correction, and the S&P 500 is getting close. Volatility is elevated, and the Technology sector closed below a key support level. Tom Bowley breaks it all down using easy-to-digest charts.... READ MORE
Oil prices are elevated, interest rates are rising, and the SPY is below its 200-day moving average. Arthur Hill compares the current market to the 2022 bear market and uncovers some interesting similarities.... READ MORE
The major stock market indexes are under pressure. Learn what the charts say now, which support levels matter, and why caution still makes sense for investors.... READ MORE
Joe Rabil highlights leading sectors and explains why oversold areas like tech and financials could see a bounce. He also reviews sentiment, volatility, and key support levels as the market approaches a potential turning point.... READ MORE
The recent stock market pullback may be hitting a floor. Discover which oversold indicators Martin Pring is monitoring for the next big trend reversal.... READ MORE
S&P 500 pullbacks are starting to behave differently following a confirmed breakdown and rising volatility. Frank Cappelleri explains what’s changed, what signals are weakening, and what needs to happen next.... READ MORE
The Financials sector is lagging in 2026, but a trend reversal may be near. Analyze the key support levels and stock charts to watch before the start of the next earnings season.... READ MORE
Before We Dive In… What if you could see how active money managers are actually positioned—not what they’re saying, but what they’re actually doing with real capital? At times, there can be a big gap between the two. There is a way to track that positioning. It... READ MORE
Find out how Tony Zhang of OptionsPlay identified a bull put spread setup in Newmont Mining (NEM) as a potential options trading strategy that takes advantage of the recent selloff in gold. ... READ MORE
As interest rates around the world break to the upside, how long can the U.S. hold out against the trend?... READ MORE
Julius de Kempenaer presents his weekly update on US sector rotation using Relative Rotation Graphs.... READ MORE
Sentiment has turned more bearish, but is it bearish enough to signal a market low? Join Dave Keller as he reviews the VIX, AAII survey, NAAIM exposure, and put/call ratios to show why conditions may not be extreme just yet.... READ MORE
Before We Dive In… You’re looking at two stocks. Both seem promising. Both are starting to move. But which one do you trade? Spend five minutes on social media forums and you’ll see this question pop up everywhere. Many traders choose based on the story, the brand, or... READ MORE
With equities and other asset classes falling hard and bond yields rising, traders and investors are looking for a bottom to get back in. Mike Zaccardi analyzes the S&P 500 as well as gold and oil to uncover the signals of a market bottom.... READ MORE
The Indian stock market declined this week, ending marginally in the red. Volatility remains elevated, suggesting nervousness among investors. Milan Vaishnav dissects the charts and suggests a defensive approach in the coming week.... READ MORE
We can all agree that this wasn’t the kind of week investors enjoy. The VIX moved higher, and the S&P 500 slipped below its 200-day Simple Moving Average (SMA) and November low. Treasury yields have spiked higher and, under the surface, market breadth has weakened. If you... READ MORE
How long will oil prices stay elevated? Mary Ellen McGonagle analyzes the industry against the backdrop of the broader market.... READ MORE
Oil reaching above $110 is driving inflation fears and pushing interest rates higher, increasing pressure on stocks. Mary Ellen McGonagle highlights the S&P 500 breaking support, rising volatility, and which sectors are holding up vs. breaking down.... READ MORE
Mega cap leaders are beginning to weaken beneath the surface of a rangebound market. Dave Keller, CMT, highlights bearish patterns in Microsoft, Amazon, and Tesla, raising concerns that deteriorating leadership could lead to further downside for the S&P 500 and Nasdaq.... READ MORE
With volatility rising and key support nearing, a breakdown in the S&P 500 could trigger increased selling pressure. Tom Bowley analyzes the warning signs.... READ MORE
Breadth in the SPY, QQQ, and IWM are getting close to their 200-day moving averages. Arthur Hill looks beneath the surface and uncovers the price structure in the ETFs and analyzes the BBB spread.... READ MORE
Enterprise IT spending may be slowing. See how weakening momentum in CSCO stock and a bearish options setup could present trading opportunities.... READ MORE
Before We Dive In… Last time, I showed how an index can keep climbing even as fewer stocks do the work; rallies that look strong but may already be weakening underneath. The Bullish Percent Index (BPI) measures how many stocks in an index are flashing Point & Figure buy signals.... READ MORE
Are you struggling to make sense of a headline-driven stock market? Learn how a simple ChartList can help you stay focused, reduce uncertainty, and spot key market reversals.... READ MORE
Hot inflation data and Fed uncertainty triggered a sharp late-day selloff in stocks and bonds. Tom Bowley breaks down weakening breadth, rising volatility, and why the S&P 500’s key support level could determine what happens next.... READ MORE
A subtle but important shift is unfolding beneath the surface of the market. Follow along as Julius de Kempenaer breaks down where leadership is quietly emerging and where weakness still hasn’t resolved.... READ MORE
Before We Dive In… Scroll through YouTube or TikTok and you’ll find that trading looks easy. Clean charts, fast profits, flashy lifestyles…it’s everywhere! Even my 12-year-old son, after a few weeks of studying candlestick patterns (without telling me), has become an “expert” who asked if he can... READ MORE
A market pullback with improving sentiment may be setting up the next move higher. Follow along as Joe Rabil highlights key signals and stocks showing constructive setups.... READ MORE
Investor pessimism is spiking. Discover what the critical sentiment signals say now and bookmark these charts to catch the moment the market reverses toward optimism.... READ MORE
Before We Dive In… When the S&P 500 makes a 1% move up, it feels like the market is exhibiting strength. But is it? Sometimes an index will rise because a handful of mega-caps are doing the heavy lifting. What you don’t see are the other stocks... READ MORE
Why hasn’t the market broken down, even amid weakening breadth? Dave Keller shows how a small group of mega-cap stocks may be holding the indexes together, and the key levels that could decide the next market move.... READ MORE
Julius de Kempenaer presents his weekly stock market update on sector rotation using Relative Rotation Graphs.... READ MORE
Defensive sectors such as Utilities, Staples, and Health Care are strengthening. Here's how you can monitor sector strength and position your portfolio appropriately.... READ MORE
With the Indian market ending the week in the negative and volatility elevated, Milan Vaishnav digs into what the coming days hold for the Nifty.... READ MORE
Mary Ellen McGonagel digs into the topic of supercycles and where we at in a new AI-driven supercycle.... READ MORE
Oil volatility is creating a chain reaction across markets as rising prices, fuel inflation fears, and push interest rates higher. Follow along as Mary Ellen McGonagle highlights the sectors weakening, the areas holding up, and the key levels investors should be watching.... READ MORE
There was plenty to make investors uneasy this Friday the 13th. Recent economic data suggests inflation pressures remain, while the U.S. economy shows signs of slowing. Add in rising oil prices and ongoing geopolitical tensions and, understandably, the stock market ended the week on a cautious note. Stocks, bonds,... READ MORE
Despite geopolitical tensions, the S&P 500 has held up well and is relatively close to its recent highs. When does the pullback turn into a long-term downtrend? Arthur Hill analyzes the market environment and highlights what investors should monitor.... READ MORE