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These Stocks Are Close to Triggering New Buy Signals
by Joe Rabil,
President, Rabil Stock Research
Joe Rabil highlights stocks holding up through volatility and nearing new buy signals. He breaks down setups in semis, REITs, and materials, along with key indicators to watch as these patterns approach trigger points....
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U.S. Dollar: The 100–101 Zone Is the Pivot Between Bull and Bear
by Martin Pring,
President, Pring Research
After selling off sharply in 2025, the U.S. dollar has remained within a range. Martin Pring analyzes the price structure of the dollar using long- and short-term indicators. A lot depends on how the shorter-term indicators perform....
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After a 144% JPM Winner, Another Bearish Setup Is Taking Shape
by Tony Zhang,
Chief Strategist, OptionsPlay
JPM is testing a critical chart level as earnings approach. Learn why traders are watching for another bearish breakdown below $300....
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The Best Five Sectors This Week #60
by Julius de Kempenaer,
Senior Technical Analyst, StockCharts.com
Julius de Kempenaer analyzes the weekly sector rotation in the U.S. stock market sectors using Relative Rotation Graphs. Here is this week's market update....
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StockCharts Insider: How to Use Retail Sentiment as a Risk Gauge
by Karl Montevirgen,
The StockCharts Insider
Before We Dive In…
In a previous article, we went over “smart money” positioning in the market. Now, let’s talk about your fellow retail investors. How are they feeling about the market, and what difference would it make if you were able to track their overall sentiment on a...
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Top 10 Charts to Watch: April 2026 Breakouts & Key Levels
by David Keller,
President and Chief Strategist, Sierra Alpha Research
Dave Keller breaks down the top 10 charts to watch for April 2026, focusing on breakout setups, key support tests, and emerging trends. These charts highlight what matters as the market navigates a potential counter-trend rally....
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Think Oil Is the Only Energy Play? Think Again
When oil and gas prices are rising sharply, clean energy is probably not too far behind. Here's a deep dive into the charts of clean energy ETFs that show promising setups....
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Week Ahead: NIFTY May Not Stay Insulated from Global Tensions; Relative Outperformance Expected from Indian Equities
by Milan Vaishnav,
Founder and Technical Analyst, EquityResearch.asia and ChartWizard.ae
Though Indian equities are outperforming, the risk of an extended corrective phase looms. Milan Vaishnav analyzes what the next week has in store for the Indian stock market....
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Small Caps Are Holding Up. Here’s How to Find the Leaders.
by Jayanthi Gopalakrishnan,
Director of Site Content, StockCharts.com
With the stock market closed for Good Friday, it’s a great chance to take a step back and see where things stand after a volatile week. In a way, the shortened trading week may have been a gift. Had the market been open on Friday, we might have seen...
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A Proven Technique That’s Identified Every Market Bottom
by Mary Ellen McGonagle,
President, MEM Investment Research
Has the market bottomed? Mary Ellen McGonagle shares William O'Neil's insight on the "Follow-Through Day" concept, along with how it can help you resist the temptation to buy at the bottom....
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A Market Turn May Be Starting, What to Watch Now
by Mary Ellen McGonagle,
President, MEM Investment Research
Mary Ellen McGonagle breaks down a strong rally and what could signal a market turn ahead. See where strength is emerging and what to watch next....
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Is This Rally Real? What Needs to Improve for a Bullish Case
by David Keller,
President and Chief Strategist, Sierra Alpha Research
After a sharp countertrend rally, key signals remain mixed. Dave Keller, CMT, outlines three conditions for a bullish turn—rotation into offensive sectors, improving breadth, and breakouts in growth stocks—to determine if the S&P 500 can sustain a recovery in April....
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Zweig Breadth Thrust Sets Up; How to Identify a Stampede in Upside Participation
by Arthur Hill,
Chief Technical Strategist, TrendInvestorPro.com
Master the Zweig Breadth Thrust (ZBT) indicator with Arthur Hill. Learn the exact chart requirements for a valid signal and why the "breadth thrust" can be used to forecast powerful, long-term market rallies....
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A Key Signal That Suggests a Choppy Market Ahead
by Tom Bowley,
Chief Market Strategist, EarningsBeats.com
Extreme bullish or bearish sentiment is often an early sign of a stock market reversal. Tom Bowley shows you how to apply a sentiment indicator to identify potential reversals effectively....
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Stocks Keep Slipping — Here’s What’s Replacing Them
by Julius de Kempenaer,
Senior Technical Analyst, StockCharts.com
Stocks continue to weaken, but the real story is where money is rotating next. Follow along as Julius de Kempenaer breaks down the latest RRG signals to show what’s gaining strength—and why it matters now....
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A Relief Rally or Rebound? What the Charts Are Saying Now
by Jayanthi Gopalakrishnan,
Director of Site Content, StockCharts.com
Is this stock market rebound real or just a relief rally? Learn what the S&P 500, Nasdaq, VIX , and oil prices say about whether now is the time to buy stocks....
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A Significant Structural Change in the U.S. Stock Market May Be Underway
by Martin Pring,
President, Pring Research
Is the U.S. stock market going to make a secular turn? Martin Pring analyzes the relative performance of the NYSE relative to the S&P 500 and explains how it can indicate a potential shift in the market's structure....
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This Market Keeps Failing — Is Another Drop Coming?
by Tom Bowley,
Chief Market Strategist, EarningsBeats.com
Markets just failed again at a key level after the recent rebound, raising a bigger question about what’s ahead. Follow along as Tom Bowley explains why repeated resistance rejections could signal more downside....
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The $4 Gas Threat: The Travel Boom Is Crashing
by Tony Zhang,
Chief Strategist, OptionsPlay
Tony examines the imminent completion of Marriott's head-and-shoulders pattern as economic worries bring the post-pandemic "travel boom" to a halt....
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Q2 Outlook: Intermarket Trends Investors Should Watch
What intermarket trends should investors monitor in Q2? Discover how the relationships between stocks, bonds, commodities, and the US dollar provide early clues on shifts in the stock market's price structure....
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Below the 200-Day: What’s Next for the S&P 500?
by David Keller,
President and Chief Strategist, Sierra Alpha Research
The S&P 500 has broken below key support and its 200-day moving average, signaling a confirmed bearish phase. Dave Keller, CMT, outlines a downside target near 6200 and explains how short-term rallies could emerge before the broader downtrend continues....
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S&P 500 Breakdown: Next Downside Targets to Watch
by David Keller,
President and Chief Strategist, Sierra Alpha Research
The S&P 500 has broken key support, confirming a shift into a downtrend. Dave Keller outlines the next downside targets and the indicators to watch for a potential bounce or continued weakness....
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The Best Five Sectors This Week #59
by Julius de Kempenaer,
Senior Technical Analyst, StockCharts.com
Julius presents his weekly Sector Rotation Update for US sectors using Relative Rotation Graphs....
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Mag 7 Malaise: What Big Tech’s Slide Means for the S&P 500
Where do the Mag 7 stocks go from here? These charts suggest further downside before the group finds its footing. However, seasonal trends show that a bullish period may be getting close. ...
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Week Ahead: Short Trading Week May Keep Markets Anxious As They Stay Modestly Oversold
by Milan Vaishnav,
Founder and Technical Analyst, EquityResearch.asia and ChartWizard.ae
The Nifty has fallen below key short-term support levels. Milan Vaishnav analyzes the index via indicators such as RSI and MACD and suggests investors take a cautious and defensive approach. He also analyzes sector performance against the Nifty 500 Index....
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Market Leadership Is Changing, Here's Where to Look
by Mary Ellen McGonagle,
President, MEM Investment Research
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....
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Get Ready for the Market’s Next Turn with John Murphy’s 10 Laws
by Jayanthi Gopalakrishnan,
Director of Site Content, StockCharts.com
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...
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S&P 500 Needs One Key Ingredient for Bottom
by Tom Bowley,
Chief Market Strategist, EarningsBeats.com
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....
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SPY and QQQ Break; High-Low Line Flattens; Lessons from the Oil and Rate Shock in 2022
by Arthur Hill,
Chief Technical Strategist, TrendInvestorPro.com
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....
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Before You Buy the Dip, Look at These 3 Charts
by Jayanthi Gopalakrishnan,
Director of Site Content, StockCharts.com
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....
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These Sectors Are Leading but the Market Is at a Turning Point
by Joe Rabil,
President, Rabil Stock Research
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....
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Time for an Easter Rally?
by Martin Pring,
President, Pring Research
The recent stock market pullback may be hitting a floor. Discover which oversold indicators Martin Pring is monitoring for the next big trend reversal....
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S&P 500 Pullbacks Are Changing. What’s Different Now?
by Frank Cappelleri,
Founder & President, CappThesis, LLC
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....
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Loved to Unloved: Why the Financials Sector is the S&P 500 Bellwether Right Now
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....
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StockCharts Insider: Tracking Active Manager Positioning with the NAAIM Exposure Index
by Karl Montevirgen,
The StockCharts Insider
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...
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