
The Weekly Trend
The Weekly Trend is a conversation on various publicly-traded markets, seen through the eyes of technical analysis.
Episodes
256 episodes
Episode 254: Vacation Snacks
In this week’s episode, David and Ian discuss the potential new regime we have in stocks, with the S&P 500 back above its 200 day moving average. Bitcoin continues to behave nicely, reaching all-time highs this past week. Tech and Aerospace...
•
Season 6
•
Episode 20
•
25:46

Episode 253: Hot Knife Through Butter
In this week’s episode, David and Ian discuss the strong demand that took the S&P 500 through 5800 like a Hot Knife through Butter. They highlight the need for sustained trade above the 200-day moving average on the S&P 500. In addition...
•
Season 6
•
Episode 19
•
25:00

Episode 252: To Be Frank
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.
•
Season 6
•
Episode 18
•
27:51

Episode 251: Rubber Meets The Road
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...
•
Season 6
•
Episode 17
•
29:56

Episode 250: Green Shoots
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 ne...
•
Season 6
•
Episode 16
•
32:58

Episode 249: The Best of Days and the Worst of Days
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 prev...
•
Season 6
•
Episode 15
•
29:03

Episode 248: Falling Knives
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....
•
Season 6
•
Episode 14
•
28:43

Episode 247: Prove It Market
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 ...
•
Season 6
•
Episode 13
•
31:03

Episode 246: Time to Drive?
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 dolla...
•
Season 6
•
Episode 12
•
35:00

Episode 245: Markets Stay Rocky
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 interna...
•
Season 6
•
Episode 11
•
14:22

Episode 244: Process > Prediction
In this week's episode, David and Ian discuss the major indices currently below their 200 day moving averages, the current strength in international equities, Bitcoin struggling with $91,000, and what the potential scenarios are for the market ...
•
Season 6
•
Episode 10
•
41:28

Episode 243: Jimmy McGinty
In this week's episode, David and Ian discuss the continued bearish sentiment among market participants, certain areas of the market that are still within uptrends, the VIX, the Put/Call Ratio, and how you need to look at recent market mo...
•
Season 6
•
Episode 9
•
49:06

Episode 242: The Bearish Thesis
In this week's episode, David and Ian discuss the bearish sentiment among market participants and some of the mixed signals within sentiment indicators. They also discuss how a bearish move in the market over the near term, does not necessarily...
•
Season 6
•
Episode 8
•
23:50

Episode 241: Valens Trends
In this week's episode, David and Ian discuss the S&P hitting an all time high, recent consolidations, Russell 2000 continuing to lag behind, Gold, gauging the economy based on charts, and international equities with the recent pullback of ...
•
Season 6
•
Episode 7
•
31:14

Episode 240: Ned Ryerson
In this week's episode, David and Kevin discuss the back to back weeks with Monday morning gaps down, potential red flags in the market, risk-on bond relationships, Financials, important relative levels, and bearish sentiment.
•
Season 6
•
Episode 6
•
26:09

Episode 239: Shake n Bake
In this week's episode, David and Ian discuss the selloff witnessed over the weekend and earlier in the week, Nvidia, China and DeepSeek, how the broader market responded after Monday, and what the seasonality data is foreshadowing for market p...
•
Season 6
•
Episode 5
•
27:45

Episode 238: Room for Activities
In this week's episode, David and Ian discuss the evidence that points to a continuation of the current bull market, like the new all time high for the S&P 500, year-to-date sector top performers, like Financials and European Financials, cr...
•
Season 6
•
Episode 4
•
35:12

Episode 237: Phil D Gap
In this week's episode, David and Ian discuss the recent pullbacks to election gaps, and those sectors that held their gaps and reclaimed 50 day moving averages. They also discuss the current state of the growth versus value relationship and re...
•
Season 6
•
Episode 3
•
23:49

Episode 236: Cracks in the Ice
In this week's episode, Ian and Kevin discuss the major indices and sectors that are either testing their election gaps or are already through their election gaps. They also discuss areas of the market below 200 day moving averages, recent move...
•
Season 6
•
Episode 2
•
24:17

Episode 235: Heavenly Crown
In this week's episode, David and Ian review the market developments witnessed in 2024, the start to 2025, the Santa Claus Rally, the U.S. Dollar, and the relationship between gold and U.S. equities.
•
Season 6
•
Episode 1
•
32:00

Episode 234: Puzzle Pieces
In this week's episode, David and Ian discuss market results thus far for 2024, the 93% down day witnessed on Wednesday, market breadth, board games, and the benefits and advantages of trend following.
•
Season 5
•
Episode 56
•
33:43

Episode 233: Looking for Clues
In this week's episode, Ian and Kevin discuss the recent developments in growth versus value in equities, resurgence of mega cap names, November 6th election price gaps, cryptocurrencies, and the U.S. Dollar.
•
Season 5
•
Episode 45
•
19:23

Episode 232: Large Cap Tech Leaving the Station
In this week’s episode, David and Ian discuss seasonality between Election Day and Inauguration Day, the best six-month period of the year, Bitcoin, and the potential resurgence of Large Cap Tech stocks. They also touch base on potential warnin...
•
Season 5
•
Episode 44
•
30:47
