Episodes

  • Episode 252: To Be Frank
    May 11 2025

    In this weeks episode, David and Ian discuss the price action over the last few weeks and where we now stand, continued strength from Bitcoin, foreign equities, and potential issues within the Consumer Discretionary sector.

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    28 mins
  • Episode 251: Rubber Meets The Road
    May 2 2025

    In this week's episode, David and Ian discuss the how strong the end of April and beginning of May has been for the market, breadth thrusts, and specific areas of the market holding up well, like Bitcoin, Global Infrastructure, and Growth areas.

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    30 mins
  • Episode 250: Green Shoots
    Apr 25 2025

    In this week's episode, David and Ian discuss the possibility for a Zweig breadth thrust, the important levels on the S&P 500 coming up, the areas of the market that are showing strength, the tariff narrative and market movement, and the need for follow-through on recent price movement.

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    33 mins
  • Episode 249: The Best of Days and the Worst of Days
    Apr 11 2025

    In this week's episode, David and Ian talk about the large up day witnessed on Wednesday and the lack of follow through later in the week, the strength out of Gold, weakness out of Silver, how Bitcoin is holding up relatively well, and how previously strong areas of the market are faring now.

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    29 mins
  • Episode 248: Falling Knives
    Apr 4 2025

    In this week’s episode, David and Ian discuss the strong selling pressure witnessed this week, correlations moving to one, the importance of having a process, and what, if any areas of the market are holding up while the main indices pull back.

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    29 mins
  • Episode 247: Prove It Market
    Mar 30 2025

    In this week’s episode, David and Ian discuss International market strength, US market weakness, and important levels buyers must reclaim. In addition, they touch base on Gold, Bitcoin, Oil, Energy, Utilities, Breakfast food, Baseball, and the Masters. Not all market environments are the same.

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    31 mins
  • Episode 246: Time to Drive?
    Mar 22 2025

    In this week’s episode, David and Ian discuss the appropriate risk-management process when US Markets are below their 200-day moving average. They also highlight what’s happening with International stocks, US sectors, precious metals, the dollar, and crypto.

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    35 mins
  • Episode 245: Markets Stay Rocky
    Mar 14 2025

    In this week's episode, Ian and Kevin give a quick update on the major indices being below their 200 day moving averages. They also talk about the sectors that are still above their 200 day moving averages, the continued strength out of international equities, gold, and copper.

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    14 mins
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