Stocks Hold Highs Below A Cloud of Tariff News – The Market Breadth

Stocks Hold Highs Below A Cloud of Tariff News - The Market Breadth

Stock Market Commentary The stock market endured what Yahoo Finance dubbed a whirlwind week, and remarkably, the market came through largely unscathed and continued to hold highs. The July 9th expiration of the pause on reciprocal tariffs generated a wide range of outcomes – letters, temporary deals, and even punitive measures. Yet, the stock market … Read more

Market Breadth Breakout – Overbought Returns, Caution Fades – The Market Breadth

market breadth breakout - overbought returns, caution fades

Stock Market Commentary After a holiday-shortened week, a market breadth breakout signals sentiment near peak bullishness. The market also seemed to interpret an unexpectedly strong jobs report as a positive, even as odds for rate cuts plunged (at the time of writing, 5% for later this month and 69.4% for September, down from 91% a … Read more

A Confident Calm in the Stock Market – The Market Breadth

a confident calm in the stock market

Stock Market Commentary The stock market transitioned from a nervous calm to a confident calm. The NASDAQ and S&P 500 hit fresh all-time highs faster than I could have expected during the depths of the tariff drama, trauma, and noise. Nvidia (NVDA) led the way with a mid-week breakout to all-time highs. The market’s confident calm … Read more

A Nervous Calm in the Stock Market – The Market Breadth

a nervous calm for the stock market

Stock Market Commentary The stock market last week was full of a nervous calm. Fed Chair Jerome Powell seemed to muffle the market’s mood after warning that meaningful inflation is yet to come as a result of tariffs. The expiration of the 90-day pause on reciprocal tariffs looms over the market with just one major … Read more

Overbought Conditions End with Fresh Market Risk – The Market Breadth

overbought conditions end with fresh market risks

Stock Market Commentary The stock market’s fearless streak met fresh geopolitical headwinds that significantly raised the risk quotient. Tensions surged as Israel bombarded Iran’s nuclear infrastructure and Iran retaliated, spiking oil prices and triggering a market sell-off that, while sharp, could have and should have been a lot worse. This fresh market risk is a … Read more