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Record Highs, Fading Momentum: Is the S&P 500 Due For a Pause?
by Jayanthi Gopalakrishnan,
Director of Site Content, StockCharts.com
S&P 500, Nasdaq, and Dow close at record highs, but momentum is starting to fade. All eyes are on crude oil as investors focus on U.S.-Iran headlines. ...
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Warning Signs for Stocks: The Hindenburg Omen and Titanic Syndrome Explained
by David Keller,
President and Chief Strategist, Sierra Alpha Research
Dave Keller breaks down the Hindenburg Omen and Titanic Syndrome, two breadth indicators designed to identify conditions often seen near major market tops, and explains why recent signals deserve attention....
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New Stock Trends Are Starting to Emerge
by Joe Rabil,
President, Rabil Stock Research
Joe Rabil highlights emerging stock trends, sector rotation, and stocks showing improving relative strength after long periods of consolidation. He explains the setups, momentum signals, and trend changes he’s watching now....
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Finding Small Cap Breakouts as Breadth Improves
by Tony Zhang,
Chief Strategist, OptionsPlay
Tony Zhang shows how to find a defined-risk trade by scanning small-cap setups and ranking bulish options strategies....
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The Next Bullish Wave May Be Starting
by Larry Williams,
Veteran Investor and Author
Legendary trader Larry Williams returns with a timely update on where he believes the markets are headed next, explaining why market cycles, money flow, and seasonal patterns still point to higher stock prices in 2026....
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Space ETFs Are Soaring Ahead of the SpaceX IPO. Can the Rally Continue?
Ahead of SpaceX's anticipated IPO, several space-themed ETFs are seeing massive inflows, with NASA and UFO are displaying solid uptrends. Here's what you should be monitoring ahead of SPCX's debut. ...
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Week Ahead: NIFTY Stays Poised in the Coming Truncated Week
by Milan Vaishnav,
Founder and Technical Analyst, EquityResearch.asia and ChartWizard.ae
The Nifty 50 is range-bound, hovering below a key resistance zone. Milan Vaishnav analyzes the chart of the Nifty and suggests when investors should consider adding positions. He also analyzes the performance of the various sectors in the Indian stock market. ...
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These New Areas are Driving the Market Higher
by Mary Ellen McGonagle,
President, MEM Investment Research
Stock market leadership is broadening as falling yields and lower volatility bring new groups into this rally. Mary Ellen McGonagle shares where strength is emerging beyond AI and semiconductor stocks, and why healthcare, banks, retail, and other economically sensitive areas are starting to improve....
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A Better Way to Review the Market at Week’s End
by Jayanthi Gopalakrishnan,
Director of Site Content, StockCharts.com
The end of the week is the perfect time to step back, assess your portfolio holdings, and get a read on the overall stock market sentiment.
This week may have felt a bit uneventful. NVIDIA’s earnings failed to excite investors, consumer confidence came in weak, and there was still...
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The Stock Market Is Broadening Out: Three Charts Make the Case
by Mary Ellen McGonagle,
President, MEM Investment Research
Stock market breadth is expanding. Mary Ellen McGonagle looks at three market breadth indicators, which are showing a healthy expansion....
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Breadth Deteriorates: Is This a Threat or an Opportunity?
by Arthur Hill,
Chief Technical Strategist, TrendInvestorPro.com
Breadth in the S&P 500 and SPY is bullish, which means bullish outcomes are more likely than bearish ones. Arthur Hill analyzes market breadth in SPY and RSP and shows that the overall tone is bullish....
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StockCharts Insider: Turn Market News Into Actionable Setups
by Karl Montevirgen,
The StockCharts Insider
Before We Dive In…
Whether you trade for the short-term or long-term, the first thing you probably do every morning is check the headlines: CNBC, Bloomberg, Fox Business, or whatever suits you. We all do this, because markets react to information. And we don't want to be caught...
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Finding Breakouts in the Stealth Bull Market
by Tony Zhang,
Chief Strategist, OptionsPlay
Learn how StockCharts and OptionsPlay help traders find risk-defined opportunities like LUNR as market breadth expands into small caps and industrials....
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AI Stocks Are Still Driving the Rally, But Oil May Decide What’s Next
by Jayanthi Gopalakrishnan,
Director of Site Content, StockCharts.com
AI and quantum stocks rally as oil prices slide and IPO buzz builds. See what falling yields, semiconductor strength, and geopolitical headlines could mean for the market. ...
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The Market Just Pulled Back — Here’s Why
by Tom Bowley,
Chief Market Strategist, EarningsBeats.com
After weeks of relentless gains, the market finally pulled back—but Tom Bowley says it wasn’t random. He explains how options expiration, market maker positioning, and sentiment extremes helped trigger the reversal....
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Consumer Staples is Outperforming Again. Is It a Warning Sign for Stocks?
The Consumer Staples sector is quietly staging a rally in Q2. Investors should monitor the trends in XLP:SPY and the charts of Walmart and Costco. ...
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Ichimoku Cloud Charts Explained: Trend Signals Most Traders Miss
by David Keller,
President and Chief Strategist, Sierra Alpha Research
Dave Keller explains how Ichimoku Cloud charts help traders identify bullish and bearish trend shifts using real examples from Ford, CrowdStrike, and the S&P 500. Learn how the cloud can act as dynamic support and resistance during major market moves....
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The Best Five Sectors This Week #66
by Julius de Kempenaer,
Senior Technical Analyst, StockCharts.com
Julius de Kempenaer, creator of Relative Rotation Graphs, presents his weekly update on US sector rotation using RRG....
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Stocks Shrugged Off Oil. Why They May Not Ignore Bonds
With Treasury yields rising, stocks getting wobbly, and commodities generally moving higher, now is a good time for investors to focus on intermarket analysis. These charts will help you get started....
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Inflation Momentum Points to a New Up Leg in Yields
by Martin Pring,
President, Pring Research
Martin Pring analyzes bond yields against CPI and international bond yields, and supports the thesis that a secular bull market is underway in U.S. Treasury yields. ...
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Week Ahead: Nifty Remains Under Pressure; Key Support Zone Put to Test
by Milan Vaishnav,
Founder and Technical Analyst, EquityResearch.asia and ChartWizard.ae
The Nifty is still under pressure, with the 23,200–23,000 area an important support level and 24,300–24,500 a key resistance level. Milan shows how traders should approach the market this upcoming week....
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Stocks Slip, Yields Jump: The Charts to Watch Next Week
by Jayanthi Gopalakrishnan,
Director of Site Content, StockCharts.com
Stocks sold off on Friday as Treasury yields climbed, oil prices moved higher, precious metals weakened, and the US dollar gained strength against major currencies. After what we saw earlier in the week, this was a sharp reversal. It almost felt like a delayed reaction to the inflation data we...
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The Healthcare Sector May Be Turning Bullish — Here's Why It Matters
by Mary Ellen McGonagle,
President, MEM Investment Research
Healthcare stocks are showing signs of strength as earnings improve, Medicare Advantage updates lift sentiment, and GLP-1 developments fuel growth in key industry names....
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This Market Rally Is Starting to Narrow
by Mary Ellen McGonagle,
President, MEM Investment Research
Mary Ellen McGonagle shares why this market rally is becoming more selective as inflation and rising yields pressure parts of the market. See which areas are still leading and what may matter most going forward....
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How Stop Loss Rules Should Change in Different Market Phases
by David Keller,
President and Chief Strategist, Sierra Alpha Research
Risk management should adapt to the chart’s trend phase. Dave Keller, CMT, compares Alphabet’s strong uptrend with Palantir’s sideways consolidation to explain how moving averages, support levels, and RSI can guide smarter stop loss and sell decisions....
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There's One Common Ingredient In Every Successful Portfolio
by Tom Bowley,
Chief Market Strategist, EarningsBeats.com
Diversifying your portfolio is important and necessary. But it has to be done thoughtfully. Tom Bowley of EarningsBeats shows why it's important to regularly select leading stocks. ...
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Breadth Shows Energy and Utilities Leading Tech; Finding Mean-Reversion Setups
by Arthur Hill,
Chief Technical Strategist, TrendInvestorPro.com
Despite the strong move in Technology and Communication Services, Energy and Utilities have the highest percentage of stocks in uptrends. Arthur Hill analyzes these two sectors and shows that their bullish breadth may lead them higher....
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AI Stocks Are Still in Charge. Here’s What Could Stop the Rally
by Jayanthi Gopalakrishnan,
Director of Site Content, StockCharts.com
AI stocks are driving the stock market higher, but rising yields, food prices, and weak market breadth could signal trouble beneath the surface of this bull rally....
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Broadcom Breakout or Blowoff Top? Reading the Momentum Divergence
by David Keller,
President and Chief Strategist, Sierra Alpha Research
Broadcom has broken to new all-time highs, but weakening momentum may signal a potential blowoff top. Dave Keller, CMT, explains how bearish momentum divergences can foreshadow major reversals, and what price and RSI signals could confirm AVGO’s next move....
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Even With Bad News, Semiconductors Go Higher!
by Tom Bowley,
Chief Market Strategist, EarningsBeats.com
Hot inflation reports, rising yields, and options expiration couldn’t slow semiconductors down. Tom Bowley breaks down the relentless strength in growth stocks and what Wall Street’s reaction may be signaling....
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These Stocks May Be Ready for Their Next Big Move!
by Joe Rabil,
President, Rabil Stock Research
Big winning stocks often spend months building a base before momentum begins to accelerate. Joe Rabil highlights several stocks showing signs they may be preparing for a much bigger move....
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Retail Stocks Are Crashing Relative to the S&P 500. Here’s Why It Matters
Retail stocks are underperforming the S&P 500. Will this change when major retailers start reporting earnings next week? These charts will paint the full picture....
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Worried the Rally Is Getting Stretched? Hedge the Downside with RKLB Puts
by Tony Zhang,
Chief Strategist, OptionsPlay
Are you worried that the stock market rally is getting stretched? See how you can use RKLB puts and the OptionsPlay Strategy Center to identify defined-risk pullback setups. ...
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Price Gap Analysis 101: Bullish vs. Bearish Gap Signals
by David Keller,
President and Chief Strategist, Sierra Alpha Research
Join David Keller as he explains how traders analyze price gaps....
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The Best Five Sectors This Week #65
by Julius de Kempenaer,
Senior Technical Analyst, StockCharts.com
Julius de Kempenaer, creator of Relative Rotation Graphs, presents his weekly update on sector rotation using RRGs....
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The CPI Threshold That Has Often Ended Equity Rallies
by Martin Pring,
President, Pring Research
With rising oil prices, a higher CPI is likely in the pipeline. If this is the case, how far can the CPI rise? Martin Pring studies the relationship between commodity prices and the CPI and discusses the likely outcome....
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Market Breadth Fears Are Everywhere, But Data Tells a More Nuanced Story
Is the S&P 500's 8.1% year-to-date gain entering the week on shaky footing? This analysis of the S&P 500's performance relative to other asset groups suggests that some sub-indexes and global equities are strengthening....
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