Is this time really different..?
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PT20M22SIn this video, the analyst explains how three consecutive full (filled) candles on the S&P 500—a rising wedge with elevated red volume—signal strong selling pressure and serve as a warning to consider protective “insurance” before the market potentially retraces. He breaks down the candle patterns, risk‑reward calculations, and why traders should stay cautious despite a short‑term green close, emphasizing evidence‑based analysis over gut feelings.
PT17MIn this video the analyst warns that a classic “failed breakout” pattern—three waves of selling ending in a lower low—has just appeared on the S&P 500, indicating a possible market crash of up to 35% in 2026 despite bullish consensus. He then shows his own portfolio adjustments, trimming winners and adding defensive positions, and urges viewers to create a plan and watch the linked warning video for more details.
PT8M29SIn this video the host breaks down the historic clash between former President Donald Trump and Federal Reserve Chair Jerome Powell, exploring how their power struggle is driving unprecedented market moves such as soaring gold, silver and bond yields while raising questions about Fed independence and future interest‑rate policy. He then pivots to a technical analysis of the S&P 500, outlining key support and resistance levels, bullish‑cautious outlooks, and a rapid news roundup that includes Nvidia partnerships, Disney’s dip, and upcoming policy events.
PT12M44SIn this market update the host examines the S&P 500’s current ascending‑triangle pattern—higher lows with a flat top—as price hovers above the 692‑695 resistance zone, suggesting the bulls may be trapping the bears. He outlines the technical targets and key support‑resistance levels, highlights upcoming macro events, and stresses a three‑scenario plan to manage the lingering risk of a sudden drop.
PT7M23Ssentences.In this update, the host breaks down recent bearish chart patterns—rising lows with a flat top forming an ascending triangle and a head‑and‑shoulders on Nvidia and other mega‑caps—pointing to failed breakouts, bearish engulfing candles and weakening volume across the tech sector. He also warns that upcoming macro events such as the U.S. unemployment report, EU‑Italy tariff rulings and a G7 meeting on rare‑earth price floors could trigger further downside, urging viewers to have a risk‑management plan before deciding whether to sell.
PT8M33SOn Wednesday, Jan 7, the host breaks down why the market closed red, highlighting an ascending‑triangle pattern with a tightening flat top, mixed higher‑low signals, and uncertainty around a possible breakout amid failed weekly and monthly attempts. He then warns that Friday’s Supreme Court tariff decision, upcoming payroll data, chip‑sector news, and a suggested short‑China ETF (YXI) could drive volatility, inviting viewers to join the 8:30 a.m. live discussion.
PT8M32S.U.S. equities surged to fresh all‑time highs, with the one‑day chart breaking consecutive candles and the weekly and annual charts holding above the crucial 692 level, prompting the host to upgrade to a bullish stance contingent on maintaining higher lows through the week. He also highlights a wave of activity in critical‑minerals stocks and upcoming EU‑U.S. agreements, a G‑7 rare‑earths summit, and key macro data—including non‑farm payrolls and the unemployment rate—that could confirm or threaten the rally.
PT8M30S.In this market‑analysis video the host warns that the recent higher‑high candle was a “failed breakout” – the price briefly topped the previous high of 689.2 → 689.43 but closed back below, signaling a potential drop despite Wall Street’s bullish forecasts for 2026. He urges viewers to watch for a confirming higher‑high close and a break above the 50‑point level before buying into the rally, stressing that the rally may stall near resistance around 692.
PT14M46S.Investor Justin warns that a repeated “failed breakout” pattern on the S&P 500 indicates a possible 20‑35% market decline, similar to past bear markets, and urges viewers to prepare for the worst while still seeking upside opportunities. He explains how to read the charts, set risk‑reward limits, and access a detailed action plan through the link in the description.
PT40M43SIn this video, the host discusses a significant market sell-off affecting various assets, including tech stocks and precious metals, analyzing market trends and the impact of previous bullish sentiment among analysts. He emphasizes the importance of maintaining perspective during price declines and shares his investment strategy for navigating the current market conditions as he prepares for potential shifts in 2026.
PT8M21SIn this video, the host discusses their recent stock purchases and analyzes the bullish trends in the S&P and NASDAQ markets, highlighting record highs and potential risks. They also introduce a specific stock, METC, which they believe has strong growth potential, particularly in the context of domestic coal production and rare earth elements.
PT23M8SIn this video, a financial analyst discusses the potential for a significant market shift, analyzing recent trends related to inflation, AI investments, and stock performance. Viewers are encouraged to prepare for various outcomes as the year comes to a close, highlighting the importance of having a clear investment strategy amidst market volatility.
PT9M7SIn this video, we analyze the current market dynamics as we navigate a cautious environment with notable technical indicators and trends. With a focus on key charts and potential market movements heading into 2026, we discuss the significance of higher highs, lower lows, and the implications of upcoming economic data on investor sentiment.
PT9M10SIn this urgent update, the video discusses Oracle's significant struggles, highlighting a staggering $248 billion in lease payments related to data centers and the impact on their AI infrastructure and stock value. As Oracle faces a potential crisis, concerns about its financial stability and broader market implications are raised, prompting viewers to reconsider their investments in AI-related stocks.
PT23M23SIn this video, we explore the current state of the stock market, addressing concerns about a potential crash and the implications of an AI bubble. With key economic indicators on the horizon, we analyze market trends, leadership dynamics, and trading strategies to help investors navigate the upcoming weeks.
PT37M3SIn this video, the host discusses the recent record high of the S&P and how investing in companies like SpaceX can lead to astronomical returns, citing Google's significant investment and its implications for the stock market. The video explores strategies for stock trading, emphasizing chart reading, market psychology, and the dynamics between major tech players like Google and Microsoft amidst market fluctuations.
PT7M54SIn this video, we break down Jerome Powell's latest announcement regarding quantitative easing and its impact on the stock market, which celebrated a record daily close. As we analyze the charts and economic projections, we discuss the current bullish trends and what to expect moving forward, inviting viewers to join the conversation on stock performance.
PT27M37SIn this video, we prepare for a significant potential movement in the stock market and discuss strategies for creating a solid trading plan ahead of tomorrow's events. With insights on risk management and stock selection, we analyze current market conditions and offer actionable tips for navigating possible outcomes.
PT8M21SIn this video, the stock market signals a bearish trend as the S&P 500 has printed a daily lower low, indicating a sell signal for the next 30 days across major indices including NASDAQ and Dow Jones. The presenter shares specifics of their trading strategy, including current portfolio allocations and targets, while emphasizing the need to prepare for potential market movements in the coming weeks.
PT24M57SIn this video, we discuss the 86.2% probability of an interest rate cut from Jerome Powell and the FOMC this Wednesday, exploring the potential impacts on the market and key dates to watch. We also analyze the current bullish trends in the S&P 500 and other markets, while examining strategic investment opportunities ahead of significant economic decisions.
PT13M43SIn this video, the host discusses the potential for a record-setting moment in the stock market with a rally of just 0.354%, which could lead to an impressive seven consecutive months of gains for bulls. Additionally, they share insights on key stocks like Meta and provide trading strategies and tips to maximize returns as the market approaches the end of the week.
PT11M42SIn this video, the analysis revolves around a significant downturn for Microsoft following disappointing news, suggesting that the stock might be on a downward trajectory despite being at a crucial support level. The discussion expands to broader market trends, emphasizing a mixed performance in various stocks and the necessity of strategic trading, advocating a 'sell the rip' approach amid uncertain market conditions.
PT46M45SIn this video, we analyze a recent failed breakout in the S&P 500, highlighting key technical indicators indicating caution for traders. Join as we discuss potential market movements and strategies to navigate this uncertain landscape, emphasizing the importance of patience and preparation in trading decisions.