An ugly session
It was a “risk-off” Monday, with the four benchmark indices closing down at least 1.7%.
Read MoreIt was a “risk-off” Monday, with the four benchmark indices closing down at least 1.7%.
Read MoreCorrections typically feel "natural, normal, and healthy" - Until you are in one, and then it feels fundamentally different. In this short video we cover where our key tactical…
Read MoreThe S&P 500 Index declined for the second week, falling 0.57% and closing on Friday at the lowest level in four weeks.
Read MoreS&P equity futures remain well below Friday's close amidst widespread losses in Europe and Asia overnight (Japan and China were closed).
Read MoreIn this short video we discuss what is causing this week's daily volatility...
Read MoreThe percentage of S&P 500 Index (SPX) stocks trading above the 10 & 50-day moving averages were little changed with yesterday’s 0.16% decline in the SPX. The % above…
Read MoreS&P equity futures are trading below Thursday's close. Asian markets were mostly higher overnight with Hong Kong a standout, up over 1%, but still down nearly 5% for the…
Read MoreUS equities finished mostly lower in Thursday trading, though well off worst levels and declines very modest.
Read MoreBullish retail investor sentiment took a tumble this week.
Read MoreRetail sales rose much more than expected, but the data should be taken with a grain of salt due to the significant downward revisions to the July numbers.
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