The Weekly Trend
Episodes
Episode 192: Dynasties
27 Jan 2024
Contributed by Lukas
In this week's episode, Dave and Ian discuss highlights from the most recent Client First Lunch & Learn. They also discuss stocks reaching al...
Episode 191: Two Years in the Making
20 Jan 2024
Contributed by Lukas
In this week's episode, David and Ian discuss the brand new all-time highs for S&P 500 and what that likely means for stocks going forward, b...
Episode 190: New Era in Finance?
13 Jan 2024
Contributed by Lukas
In this week’s podcast, David and Ian discuss the quiet week in equities and the loud week in the ETF world. Three of the four major indices continu...
Episode 189: Back in the Saddle
06 Jan 2024
Contributed by Lukas
In this week’s podcast, David and Ian discuss events from 2023, a potential shift from Value to Growth, and important levels on the major indices to...
Episode 188: Deck the Highs
22 Dec 2023
Contributed by Lukas
In this week's episode, David and Ian discuss the continued strength in equities and bonds, as well as cryptocurrencies. The VIX continues to dwi...
Episode 187: Rockin' Around
16 Dec 2023
Contributed by Lukas
In this week's episode, David rides solo and highlights the continued market expansion we saw this past week. In addition, he touches base on new...
Episode 186: Better Not Pout
02 Dec 2023
Contributed by Lukas
In this week's episode, David and Ian discuss the strong move in stocks that we saw in November, and another potential rebound in Small Caps. Gol...
Episode 185: A Quiet Week
18 Nov 2023
Contributed by Lukas
In this week's episode, Ian discusses the flat week in stocks, with big moves in other places such as the US Dollar and Crude oil prices. Stocks ...
Episode 184: Table is Set
11 Nov 2023
Contributed by Lukas
In this week's episode, David and Ian discuss the recovery of old leaders (Tech, Nasdaq) and the lagging once again of Small Caps. Rates and Doll...
Episode 183: Recovery
04 Nov 2023
Contributed by Lukas
In this weeks episode, Ian and Kevin discuss the strong rally in both stocks and bonds, a potential breakdown in the Dollar, and the biggest movers of...
Episode 182: Needle Nose Ned
27 Oct 2023
Contributed by Lukas
In this week’s episode, David and Kevin discuss major indices moving below important levels, international equities, potential areas of risk-off beh...
Episode 181: Chili Season
21 Oct 2023
Contributed by Lukas
In this week’s episode, David and Ian discuss some topics covered at the quarterly Lunch and Learn, the psychological aspects of recency bias, and v...
Episode 180: Main Street Crossing
14 Oct 2023
Contributed by Lukas
In this week’s episode, David and Ian discuss the continued uncertainty in equity markets. While we should see a ‘seasonal swoon’ around the cor...
Episode 179: Confluence
07 Oct 2023
Contributed by Lukas
In this week’s episode, David and Ian discuss the imminent bounce needed (and received) in stocks this week, the continued rise in interest rates, a...
Episode 178: Revisions
30 Sep 2023
Contributed by Lukas
In this week’s episode, David and Ian discuss momentum divergences, what the 18-month consolidation means for the Russell 2000, and Gold potentially...
Episode 177: Amplify
23 Sep 2023
Contributed by Lukas
In this week’s episode, David and Ian discuss the weak Seasonality in September and the directional amplification of October. In addition, the highl...
Episode 176: Areas of Interest
16 Sep 2023
Contributed by Lukas
In this week’s episode, David and Ian discuss important levels (areas of interest) on the trade-weighted dollar, trade-weighted yen, long-term treas...
Episode 175: Bumbling
09 Sep 2023
Contributed by Lukas
In this week’s episode, Ian and Kevin discuss the S&P and Nasdaq remaining within its recent range, while the Russell 2000 is failing to keep up...
Episode 174: Necklines
26 Aug 2023
Contributed by Lukas
In this week's episode, Dave and Ian discuss work by Louis Spector on Dollar strength and weakness. They also discuss ongoing market weakness inc...
Episode 173: Friday Night Lights
19 Aug 2023
Contributed by Lukas
In this week's episode, Dave and Ian discuss overhead supply, seasonal performance, international equities, the VIX, and other important price le...
Episode 172: Trust Fall
12 Aug 2023
Contributed by Lukas
In this week’s episode, Dave discusses the importance of 16000 on the NYSE composite as well as the normal nature of corrective markets this time of...
Episode 171: How Soon We Forget
29 Jul 2023
Contributed by Lukas
In this week's episode, Dave and Ian discuss the continued uptrend in stocks and the important 4600 price area for the S&P 500. They also dis...
Episode 170: Freshly Squeezed
15 Jul 2023
Contributed by Lukas
In this weeks episode, David and Ian discuss the continued rally in stocks, what we could see moving forward over the next few weeks, and the relative...
Episode 169: Parties
08 Jul 2023
Contributed by Lukas
Episode 168: Three Steps
01 Jul 2023
Contributed by Lukas
In this week's episode, Dave and Ian discuss maintaining trade above 4180 and the 200 DMA for the S&P 500. They also discuss the strongest an...
Episode 167: A Brief Pause?
23 Jun 2023
Contributed by Lukas
Episode 166: The Summer Melt
17 Jun 2023
Contributed by Lukas
In this weeks episode, David and Ian discuss the continued rally in equities, important levels to watch on the major indices, and what we can expect o...
Episode 165: Not Square Numbers
10 Jun 2023
Contributed by Lukas
In this week’s episode, Dave, David, and Kevin discuss the end of the bear market, recent improvements in breadth and participation, the relationshi...
Episode 164: Tiny Bucket Hats
03 Jun 2023
Contributed by Lukas
In this week’s episode, Dave and Ian discuss the S&P 500 finally moving back above 4180 and the bullish breadth that developed on Friday. Both U...
Episode 163: Bash Brothers
27 May 2023
Contributed by Lukas
On this weeks episode, David and Ian discuss the up and down week and that we may be close to confirming a break above the infamous 4180 level. Nasdaq...
Episode 162: 4180
20 May 2023
Contributed by Lukas
In this week’s episode, Dave, David, and Kevin discuss the S&P 500 closing above 4180 on Thursday, the strength from technology, consumer discre...
Episode 161: Guess Who's Back
13 May 2023
Contributed by Lukas
In this week’s episode, Dave and Ian discuss weekly charts on the major indices, a follow up on Banks and new FinTech as well. Foreign stocks are st...
Episode 160: The Hardest Virtue
06 May 2023
Contributed by Lukas
In this weeks episode, David and Ian discuss the fact that stocks and bonds are still range bound, as they have been for months. The same goes for the...
Episode 159: Micro Soap Box
23 Apr 2023
Contributed by Lukas
Episode 158: Three Days
08 Apr 2023
Contributed by Lukas
In this week’s episode, Dave and Ian discuss the important horizontal price levels of the S&P 500, Small Caps, Bonds, and Bitcoin in relation to...
Episode 157: Back to the Scene of the Crime
01 Apr 2023
Contributed by Lukas
In this week's episode, David and Ian discuss the recent weekly, monthly, and quarterly candles, Nasdaq outperformance, year-to-date stats on th...
Episode 156: Corrections Thru Time
25 Mar 2023
Contributed by Lukas
In this week's episode, David and Ian discuss the current market environment and continued lack of trend across most asset classes. Pratty joins ...
Episode 155: Wear You Out
18 Mar 2023
Contributed by Lukas
In this week's episode, Dave discusses the continued troubles for various regional banks and financials as a whole. He also discusses the rotatio...
Episode 154: Silicon Valley Bank and the Regional Bank Bloodbath
11 Mar 2023
Contributed by Lukas
In this week’s episode, Dave and Ian discuss Silicon Valley Bank’s demise along with the strong sell-off in Regional Banks this past Thursday and ...
Episode 153: Leaders Lead
04 Mar 2023
Contributed by Lukas
In this week's episode, David and Ian cover the February selloff and end-of-week bounce from stocks, the standouts in the Industrials sector, and...
Episode 152: Gauntlet
25 Feb 2023
Contributed by Lukas
In this week’s episode, David and Ian cover the weeks big moves, the continue dollar strength, and the mixed reviews from stocks here in the US.
Episode 151: Stuck in the Middle
18 Feb 2023
Contributed by Lukas
In this week’s episode, Ian and Kevin discuss where the major indices are at in relation to their important levels, mid-caps, the rally in the US Do...
Episode 150: Round Numbers
11 Feb 2023
Contributed by Lukas
In this week's episode, Dave and Ian discuss the major indices holding at resistance, the economy vs the market, how charts seem to be running ou...
Episode 149: Out of the Woods?
04 Feb 2023
Contributed by Lukas
In this week's episode, David and Ian discuss the continue surge in stocks and improvements in breadth. Dave gives his thoughts on breadth. Ian c...
Episode 148: Signal > Noise
28 Jan 2023
Contributed by Lukas
In this week's episode, Dave gives a quick review on important market action that has taken place over this past week and updates on important ma...
Episode 147: Groundhog Day
21 Jan 2023
Contributed by Lukas
In this week’s episode, Ian and Kevin discuss the S&P 500 and Dow Jones rejection, defensives breaking down, mid caps looking strong, growth vs ...
Episode 146: Sweet Breadth
14 Jan 2023
Contributed by Lukas
In this week’s episode, Dave, Dan, Pratty, and Kevin discuss what they were looking for to support a bullish thesis in October, and what they have b...
Episode 145: New Beginnings
07 Jan 2023
Contributed by Lukas
In this week’s episode, Ian and Kevin talk about how stocks and commodities have largely been range bound with bonds trying to bounce back. They als...
Episode 144: ADPV: A Labor of Love
23 Dec 2022
Contributed by Lukas
In this special edition of 'The Weekly Trend' podcast, David and Ian sit down to discuss their journey through creating ADPV, why it was cre...
Episode 143: Overhead Supply
17 Dec 2022
Contributed by Lukas
In this week’s episode, Dave, Dan, and Kevin discuss the recent breaking of important levels on major indices, Crypto, FAANG Stocks, and how the US ...
Episode 142: November Shift
10 Dec 2022
Contributed by Lukas
Episode 141: Two Hundred Days
03 Dec 2022
Contributed by Lukas
In this weeks episode, Ian and Dave discuss the major indices and their 200 day moving averages, market capitalizations, and the continued move higher...
Episode 140: Stalled Out
19 Nov 2022
Contributed by Lukas
In this weeks episode, Ian, Dan, and Kevin discuss the choppy week we had across equity markets, continued strength from bonds, and weakness from Crud...
Episode 139: Bayesian
12 Nov 2022
Contributed by Lukas
In this weeks episode. David and Ian discuss the eruption in cryptos from a technical perspective, the mixed signals we see in the stock market, weakn...
Episode 138: Select
05 Nov 2022
Contributed by Lukas
On this weeks episode, David and Ian discuss the "project", another week of bifurcation in equities, and where the major indices stand in re...
Episode 137: Comin' In Hot
29 Oct 2022
Contributed by Lukas
In this week's episode, Dave, Ian, and Pratty discuss the continued rally in stocks, Mega Caps breaking down except for AAPL, Value sectors, Smal...
Episode 136: Office Olympic Champions
22 Oct 2022
Contributed by Lukas
In this week's episode. David, Ian, and Kevin review their quarterly Lunch and Learn presentation, the back and forth chop we saw for yet another...
Episode 135: October
15 Oct 2022
Contributed by Lukas
On this week's episode, David and Ian discuss the VIX and what we should be expecting from this measurement, an update on the 60/40 portfolio, an...
Episode 134: Fizzled Out
08 Oct 2022
Contributed by Lukas
In this week’s episode, Dave and Ian discuss the breadth trust from Monday and Tuesday that reclaimed 3667, the consolidation mid-week leading to th...
Episode 133: All Hands on Deck
01 Oct 2022
Contributed by Lukas
In this week’s episode, Ian, Dave, Dan, Pratty, and Kevin discuss what each of them would want to see in order to form a bullish perspective on the ...
Episode 132: Under Pressure
24 Sep 2022
Contributed by Lukas
In this week's episode, Dave, Ian, and Pratty, discuss international and emerging market stocks, how the major indices are below their June lows,...
Episode 131: Heartbeats
17 Sep 2022
Contributed by Lukas
In this week's episode, David and Ian discuss price behavior since May 6th, the concept of "shorting the weakest areas", and Solar stoc...
Episode 130: Green Day
10 Sep 2022
Contributed by Lukas
In this week’s episode, Ian, Dan, and Kevin discuss how major indices are holding their base breakouts from mid-July, how individual stock leaders d...
Episode 129: Autonomous Zone
03 Sep 2022
Contributed by Lukas
In this week's episode, Dave and Ian discuss the recent breadth thrusts, sectors and industries showing relative strength, seasonality for the re...
Episode 128: Remember The Titans
27 Aug 2022
Contributed by Lukas
In this week's episode, David and Ian cover the reversal seen across most risk assets, the main talking points for both bulls and bears, and an u...
Episode 127: Mixed Bag
20 Aug 2022
Contributed by Lukas
In this week’s episode, Ian and Dave discuss the overall mixed bag market we are currently seeing. It truly has been a market of winners and losers....
Episode 126: Bounce or Bottom?
06 Aug 2022
Contributed by Lukas
In this week’s episode, Ian and Kevin discuss the themes we have seen take place this week, including continued momentum in some very key areas. Man...
Episode 125: Marajo Island
30 Jul 2022
Contributed by Lukas
In this week’s episode, David and Ian discuss the hot debate regarding “what is a recession?”, the bullish thrust we saw this week from equities...
Episode 124: Staring Contest
23 Jul 2022
Contributed by Lukas
In this week's episode, Ian, Dan, and Kevin discuss inflation hedges like gold and silver, the U.S dollar versus other major currencies, commodit...
Episode 123: Relationships Matter
16 Jul 2022
Contributed by Lukas
In this week’s episode, Ian and Dave discuss relative relationships and the implications of these relationships going forward. Semiconductors and fi...
Episode 122: Plumbing
09 Jul 2022
Contributed by Lukas
In this week’s episode, Ian, Dave, and Dan discuss the big picture when it comes to trend identification, some high-level perspectives as well as be...
Episode 121: Red, White, and Gloom
02 Jul 2022
Contributed by Lukas
In this week’s episode, Ian, Dan, and Kevin discuss the market action over the previous week. Including the poor performance of energy, metals, grai...
Episode 120: Wonkavator
25 Jun 2022
Contributed by Lukas
Episode 119: Dirt Nap
18 Jun 2022
Contributed by Lukas
In this week’s episode, Dave and Ian discuss the “final” sectors finally seeing selling pressure, the Russell giving up all of its post-Covid ga...
Episode 118: Island of Reversal
11 Jun 2022
Contributed by Lukas
In this week’s episode, David and Ian cover the dramatic sell-off we saw to end the week in stocks, the differences between the March and June ralli...
Episode 117: Beach Ball
28 May 2022
Contributed by Lukas
In this weeks episode, David and Ian discuss the falling US Dollar and whether it could be a tailwind for stocks here domestically and around the worl...
Episode 116: Run the Race
21 May 2022
Contributed by Lukas
In this week’s episode, David and Dan dissect many of the market nuances we have seen over the past couple weeks, as well as further implications fo...
Episode 115: The Best Days
14 May 2022
Contributed by Lukas
In this weeks episode, David and Ian discuss the wild intraday swings we have seen over the last week, the VIX, failures amongst defensive areas, and ...
Episode 114: On The Cusp
07 May 2022
Contributed by Lukas
In this week's episode, Ian and Kevin discuss the recent daily swings within the market and how Energy and Commodities continue to be the only ar...
Episode 113: Joy and Pain
23 Apr 2022
Contributed by Lukas
In this week's episode, David, Ian and Dan review some of the broader topics from their presentation to clients this week, the persistent relativ...
Episode 112: Needle In A Haystack
15 Apr 2022
Contributed by Lukas
In this week's episode, David and Ian discuss how commodities and energy stocks are turning up again after some consolidation. They also discuss ...
Episode 111: Opening Day
09 Apr 2022
Contributed by Lukas
In this week's episode, Dave, Pratty, and Kevin discuss the continued strength in energy, mining, and materials, as well as the continued weaknes...
Episode 110: March Madness
02 Apr 2022
Contributed by Lukas
On this week's episode, Ian and Dan discuss the wild month of March and a rollercoaster Q1 in general. While breadth has improved, lack of streng...
Episode 109: And One
26 Mar 2022
Contributed by Lukas
In this week's episode, Pratty joins Dave and they discuss SPX vs TLT, the concept of relative strength during a correction, taking long and shor...
Episode 108: Data Mining
19 Mar 2022
Contributed by Lukas
In this week's episode, the team covers the continued breakdown in treasuries, along with a potential breakdown between Junk Bond and Short Term ...
Episode 107: Chop Suey
12 Mar 2022
Contributed by Lukas
In this week's episode, the team covers the lackluster performance that continues to be seen from stocks, comparisons to 2000 for Tech, and the m...
Episode 106: Whole Cogan
05 Mar 2022
Contributed by Lukas
In this week’s episode, Dave, Ian, and Dan discuss important levels on the major indices that continue to show resistance, the continued sure in Com...
Episode 105: Wild Thing
26 Feb 2022
Contributed by Lukas
In this week’s episode, Dave, Ian, and Dan discuss the large volatility we saw on Wednesday and Thursday, a look at the “Death Cross”, and an up...
Episode 104: Orderly
19 Feb 2022
Contributed by Lukas
In this week's episode, Dave and Ian discuss how the COVID leaders are the laggards, the methodical nature of selling, liquidity, commodities and...
Episode 103: No Cigars
12 Feb 2022
Contributed by Lukas
In this week’s episode, Dave and Ian discuss fundamental data versus price data, inflation "protection" gold and silver, how not all bonds...
Episode 102: Messy Markets
05 Feb 2022
Contributed by Lukas
In this week’s episode, Dave and Ian cover the continued volatility we have seen in both equity and fixed income markets. Earnings season is upon us...
Episode 101: Hopium
29 Jan 2022
Contributed by Lukas
In this week's episode, Dave and Ian (along with special guest Dan Gorghuber) discuss the continued rocky start to the year that we have seen in ...
Episode 100: Supercycle
22 Jan 2022
Contributed by Lukas
In this week's episode, Dave and Ian discuss important levels being broken in stocks, bonds, commodities, and crypto. They also discuss the mos...
Episode 099: Levels
08 Jan 2022
Contributed by Lukas
In this week's episode, Dave and Ian discuss the weakness in Mega and Large Cap Growth names, the Santa Claus rally, and other early-year seasona...
Episode 098: Here Comes Santa Claus?
23 Dec 2021
Contributed by Lukas
In this week's episode. David and Ian discuss the recent buying in stocks, failed breakdowns, and what it would take to consider the market "...
Episode 097: Okay, Okay
18 Dec 2021
Contributed by Lukas
In this week's episode, Dave and Ian discuss the wild volatility we saw this week, underperformance in Large Cap Growth stocks, and the continued...
Episode 096: What Is A Healthy Market?
11 Dec 2021
Contributed by Lukas
Episode 095: Natural Selection
04 Dec 2021
Contributed by Lukas
In this week's episode, David and Ian discuss the unfortunate look of November monthly candles, the failed breakout in the Russell 2000, and the ...
Episode 094: The Trend Is Your Friend
20 Nov 2021
Contributed by Lukas
In this week's episode, David and Ian discuss the confirming strength in Large Cap Growth stocks, the strong US Dollar, and the "million dol...
Episode 093: Tis The Season(ality)
13 Nov 2021
Contributed by Lukas
In this week's episode, Ian and David discuss the breakout in the US Dollar, precious metals and miners, Retail, and Solar. Ian covers the recent...