Episodios

  • Episode 289: The Waiting Game
    Feb 27 2026

    In this week's episode David and Ian discuss the S&P 500 continuing to be rangebound, sector rotation and industry performance during different points of the market cycle. They also discuss what it would look like if there is a mid-year 8-12% correction which would be perfectly normal with mid-term year seasonality. Other topics discussed is cryptocurrencies, Nvidia earnings reaction, materials and miners, microcaps, international equities, interest rates, private credit, and the U.S. Dollar.

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    28 m
  • Episode 288: Glass Box
    Feb 20 2026

    In this week's episode David and Kevin discuss the S&P 500 continuing to be within a tight range, bearish market sentiment with large amounts of short selling, what would happen if the Magnificent 7 and software begin to participate to the upside, the continued strength internationally, precious metals, continued strength in value sectors, and what could conflict in Iran mean for the market.

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    43 m
  • Episode 287: New Leader on the Podium?
    Feb 13 2026

    In this week's episode David and Ian discuss the S&P remaining range-bound, differentiation between S&P 500 performance and the average performance of it's constituents. They also discuss market breadth, sentiment, the continued drawdown in software, how homebuilders are starting to look interesting along with transportation stocks even with the rough week for trucking stocks. They also discuss seasonality moving into the second half of February, interest rates and what a move lower in rates might mean for the broader market.

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    37 m
  • Episode 286: All American
    Feb 6 2026

    In this week's episode David and Ian discuss the move to the downside in Bitcoin and other crypto assets, the poor performance from mega cap names and software, the strength out of industrials, financials, small caps and mid caps. They also talk about market breadth, precious metals and materials, potential false breakdowns, and risk on and risk off behavior.

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    47 m
  • Episode 285: Shot Across the Bow
    Jan 30 2026

    In this week's episode, David and Ian discuss how the strongest areas appear to be getting hit the hardest to close out the week, an update on seasonality, sector rotation dynamics, if the move in precious metals and mining is over, the VIX, and large cap tech participation.

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    33 m
  • Episode 284: Idiomatic
    Jan 23 2026

    In this week's episode, David and Ian discuss the continued move to the upside in precious metals and the relative relationship between the metals and their miners. They also discuss the 5-standard deviation move in Japanese Bonds, signs for risk on/risk off behavior, international equities, energy, small caps, January seasonality, market breadth, crypto, and fixed income.

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    44 m
  • Episode 283: Differentiation
    Jan 16 2026

    In this week's episode, David and Ian discuss how mega cap growth names are lagging behind, while small caps and international equities continue to outperform. Does this mean 2026 will be a year of differentiation? They also discuss precious metals, crypto, interest rates, and some market relationships they find interesting.

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    39 m
  • Episode 282: New Year Same Market
    Jan 9 2026

    In this week's episode, Ian and Kevin discuss how metals and mining are off to a good start this year, the Russell 2000 with a nice setup again, international equities, areas of Financials that are performing well, a mixed bag from semiconductors, and crypto miners.

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    29 m