The Weekly Trend is a conversation on various publicly-traded markets, seen through the eyes of technical analysis.
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60 recent
September 11, 2026Episode 3321 min
Episode 313: All Churn, No Turn
In this week's episode, David and Ian discuss market breadth and the dispersion between stocks within the S&P 500 and the index itself, sector performance and more specifically how Energy continues to outperform, treasury yields, credit spreads, volatility, and seasonality.
September 4, 2026Episode 3224 min
Episode 312: Dew Point
In this week's episode, David and Ian discuss the continued sideways move in the S&P 500, dispersion analysis of stocks within the S&P 500, cryptocurrencies that are showing strength, international equities, whether we are going to see areas that lead early in the year taking back the reins to end the year, and which areas of transports are looking the best.
August 28, 2026Episode 3128 min
Episode 311: I Don't Know What to Do With My Hands
In this week's episode, Ian and Kevin discuss the rough look out of the Russell 2000, the poor performance out of Industrials except for Marine Shipping. They also discuss the potential failed breakdown in long-term U.S. Treasuries, Cryptocurrencies, Semiconductors, and market breadth.
August 21, 2026Episode 3026 min
Episode 310: Surface Tension
In this week's episode David and Ian discuss the Russell 2000, Basic Materials areas of the market like FCX, Copper Miners, Gold Miners, Silver Miners, and the relative charts of the miners to the physical metal. They also discuss the recent price action in Biotechnology, Energy, and Regional Banks and how areas like that can sometimes perk up towards the end of a market cycle, U.S. Treasuries, interest rates, and risk on/risk off metrics in the fixed income markets.
August 14, 2026Episode 2940 min
Episode 309: Video Killed the Radio Star
In this week's episodeIn this week's episode, David and Ian discuss the S&P 500 is still above the range and 7600, equal-weight to cap-weighted relationships, the strength out of marine transportation stocks, market breadth, interest rate cycles, gambling versus investing, and real estate cycles.
August 7, 2026Episode 2830 min
Episode 308: Who Let the S&P Out?
In this week's episode, Ian and Kevin discuss the S&P 500 getting above 7600, areas of the market that have led so far out of the range, precious metals, precious metals miners, fixed income, and credit spreads.
July 31, 2026Episode 2728 min
Episode 307: Interesting Relatives
In this week's episode, Ian and Kevin discuss the inability of broad financials, insurance, and healthcare to hold gains made earlier in the week, how European financials and larger global banks continue to stand out, interesting relative relationships, like growth versus value and micro caps versus mega caps. They also discuss the breakdown in long-term US treasuries, recent pullback in the US Dollar, and the continued back and forth between the Magnificent Seven constituents.
July 24, 2026Episode 261 hr 1 min
Episode 306: Fake v. Real
In this week's episode, David and Ian discuss the continued chop fest, how the Magnificent Seven is a red flag, although at the same time Financials and Transportation stocks look good, which aids the bullish thesis that this consolidation resolves in the direction of the primary trend. They also discuss if the mega cap tech and Magnificent Seven era is over, what is going on with Consumer Staples, Utilities, and is it interest rate or inflation driven. Other topics discussed are tangible assets, the U.S. Dollar, the SpaceX IPO, and the next generation of market technicians.
July 17, 2026Episode 2526 min
Episode 305: From Magnificent to Migrating
In this week's episode, David and Ian discuss the S&P 500 continuing to be rangebound, some of the potential concerns with price action of the Nasdaq, margin calls in South Korea, areas of the market holding up well and trying to go out to all time highs. They also discuss which commodities are doing well, especially with the strong U.S. Dollar, international leaders year-to-date, long-term treasuries and interest rates.
July 10, 2026Episode 2420 min
Episode 304: Worst Episode Ever
In this week's episode, David and Ian discuss the current consolidation, what they are seeing out of financials, specifically banks, European financials, industrials, small cap areas of the market, like biotech, and improved breadth.
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