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The AI Supercycle: How the AMAT-Micron Alliance is Shaping the Future of Tech
Mary Ellen McGonagel digs into the topic of supercycles and where we at in a new AI-driven supercycle.... READ MORE
Mary Ellen McGonagel digs into the topic of supercycles and where we at in a new AI-driven supercycle.... 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
Investors and traders should keep an eye on the trends developing in the tech stocks. NVIDIA's annual GTC AI conference could be the catalyst that moves the sector.... READ MORE
Julius presents his weekly sector rotation update based on Relative Rotation Graphs.... 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
Though Technology has been among the weakest performers of late, recent action in XLK suggests that the sector has the potential to reclaim a leadership role.... READ MORE
Martin Pring analyzes the behavior of two inter-asset relationships, namely Stocks vs. Commodities and Stocks vs. Bonds. Read about his insights and know how to uncover the clues going forward.... 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
The S&P 500 may look stable, but market breadth is quietly deteriorating. Dave Keller breaks down key breadth indicators and explains why weakening participation could signal trouble ahead.... READ MORE
Gatis Roze reflects on John Murphy's legacy and the importance of teaching as an investor.... 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
Fear is rising across markets as volatility spikes and headlines pile up. In this video, Tom Bowley explains why key accumulation signals and improving growth leadership suggest buyers are still supporting this market.... READ MORE
The stock market is sending mixed signals. See what the charts reveal about current trends and why semiconductors may lead the next move.... READ MORE
Joe Rabil highlights several tech stocks forming constructive pullbacks that could soon trigger upside breakouts. He also reviews S&P 500 market conditions, key support levels, and how relative strength helps confirm emerging setups.... READ MORE
Tony Zhang explains how to identify real dip-buying opportunities during market panic using a data-driven pullback filter. Learn a structured framework for recognizing when volatility may be creating a reversal setup.... READ MORE
Investors and traders should keep an eye on the trends developing in the tech stocks. NVIDIA's annual GTC AI conference could be the catalyst that moves the sector.... READ MORE
S&P 500 pullbacks keep attracting buyers, even as momentum signals weaken. Join Frank Cappelleri as he explains why dip-buying continues to support the market in spite of rising volatility and mixed technical signals.... READ MORE
Though Technology has been among the weakest performers of late, recent action in XLK suggests that the sector has the potential to reclaim a leadership role.... READ MORE
Julius presents his weekly sector rotation update based on Relative Rotation Graphs.... READ MORE
Oil prices have surged and hit close to $120 per barrel. While gasoline futures indicate a $4 national average, technical signals suggest gasoline prices may be close to a short-term peak.... READ MORE
Nifty has slipped back and closed exactly at its 100-week moving average, which has historically been a support level. Is it at risk for more downside?... READ MORE
It was a challenging week. Yes, the stock market had to cope with rising geopolitical tensions in the Middle East. But for many in the technical analysis community, the week carried a heavier weight. We learned of the passing of John Murphy, one of the most respected and influential teachers... READ MORE
As you may have already heard, StockCharts' former Chief Technical Analyst, and a personal friend, passed away last month. It’s hard to put into words what John J. Murphy meant to me, to StockCharts, and to the entire technical analysis community. John was one of the most influential... READ MORE
Rising oil prices and geopolitical tensions pushed volatility higher as the S&P 500 tested key support levels. Mary Ellen McGonagle analyzes what the charts reveal about inflation fears, sector weakness, and the few pockets of strength emerging in this volatile market.... READ MORE
Rising oil prices are increasing investor fear. We're seeing a broad risk-off shift across institutional portfolios. Here's what you can expect, going forward. ... READ MORE
Even as market breadth deteriorates and the S&P 500 slips below key support, strong setups still exist. Dave Keller, CMT, highlights Marathon Petroleum, Target, and Palantir — three charts showing breakouts, trend strength, and improving momentum into March.... READ MORE
When most investors use Relative Rotation Graphs (RRGⓇ), they often focus on stocks or ETFs that are sitting in the Leading quadrant. But, by the time a security is deep in the Leading quadrant, most of the move may be over. In this video, Julius de Kempenaer explains why the... READ MORE
Money has moved into agricultural commodities, which offer true diversification in a portfolio. Arthur Hills analyzes the chart of DBA and zeroes in in soybeans, wheat, and livestock.... READ MORE
The stock market turned volatile as oil prices surged. Here's what the charts are telling investors about the market's next move.... READ MORE
The stock market has been rattled by geopolitical headlines, which have driven up crude oil prices. In this video, Tom Bowley shares his observations on what's happening beneath the surface.... READ MORE
Martin Pring analyzes the behavior of two inter-asset relationships, namely Stocks vs. Commodities and Stocks vs. Bonds. Read about his insights and know how to uncover the clues going forward.... READ MORE
Joe Rabil shows how a specific RSI setup can help traders identify the first pullback entry after a breakout. He also reviews S&P 500 volatility, sentiment, QQQ, IWM, and several stock setups.... READ MORE
As large-cap stocks dip to multi-month lows, some shifts are taking place that investors shouldn't ignore. Two indicators to watch are SPY distribution risk and the U.S. dollar's consolidation. Watch these charts closely.... READ MORE
Cryptocurrency prices have been under pressure. Here's a bear put spread options setup for a short-term bearish trade in COIN.... READ MORE
With corporate earnings now behind us, investors can shift their focus to the trends taking shape in Q1. In this video, David Keller, CMT, shares the top 10 charts he's watching for March 2026, and more importantly, why they matter right now. Dave organizes his charts into three... 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
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