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exclusively to financial charting and market analysis from the web's top technical experts. With a constant stream of technical charting-focused content, both live shows and pre-recorded video, there's always something insightful, educational and entertaining to watch on the channel.
Weekdays following the US market close, join StockCharts Chief Market Strategist, David Keller, CMT on "The Final Bar" as he unpacks the day's trading action, uncovers the most important charts you need to be watching, and helps you use technical analysis to elevate your process to the next level. Plus, he'll feature frequent guest interviews and special segments from some of the industry's leading chartists, analysts, money managers and market wizards.
Strong Finish for Risk Assets | David Keller, CMT (06.24)
Host David Keller, CMT wraps the week with a breakdown of sector performance including weakening Energy stocks and improving growth stocks. He also answers viewer questions on position sizing, stop losses, shorting stocks and the VIX.
Health Care and Utilities Lead On Another Up Day | David Keller, CMT (06.23)
Guest Mary Ellen McGonagle of MEM Investment Research highlights a strong rotation to biotech and pharma stocks. Host David Keller, CMT reviews the latest market sentiment readings including one investor survey at one of its lowest levels in history.
Looking for Leadership from FAANG Stocks | David Keller, CMT (06.22)
Guest Bill Baruch of Blue Line Futures shares a key ratio for tracking renewed strength from the FAANG stocks and sectors. Host David Keller, CMT outlines the latest market breadth readings including one indicator still firmly in the bearish camp.
Nasdaq New Lows Confirm Bear | David Keller, CMT (06.16)
Guest Clif Droke of SX Gold & Metals Advisory reviews the bearish evidence of Nasdaq new lows and how gold may be setting up for a bullish move. Host David Keller, CMT updates the latest market sentiment indicators including an extreme bearish reading in the AAII Survey.
Guest Dana Lyons of J. Lyons Fund Management shares an upside target for the Ten Year Treasury Yield. Host David Keller, CMT breaks down price action around today's Fed meeting and how that compares to other Fed days earlier in 2022.
Can Retail Stocks Find a Floor? | David Keller, CMT (06.14)
Guest Mish Schneider of MarketGauge looks for a bounce from the Retail ETF (XRT) and talks downside targets for Bitcoin. Host David Keller, CMT answers viewer questions on drawing trendlines, managing ChartLists and electric cars (ALB, SQM).
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New Downside Objectives for S&P 500 | David Keller, CMT (06.13)
Host David Keller, CMT outlines new downside objectives for the S&P 500 as the equity markets continue in risk-off mode leading into this week's Fed meeting. He also highlights three sectors showing strong relative performance in an era of higher interest rates.
Downtrend Resumes as Nasdaq Drops | David Keller, CMT (06.10)
Host David Keller, CMT wraps the week as his short-term Market Trend Model turns back negative. He also highlights gold stocks showing a bullish engulfing pattern and how to best use the StockCharts ChartList feature
NYSE Composite Index Fails at Resistance | David Keller, CMT (06.09)
Guest Patrick Ceresna, CMT of Big Picture Trading shares his S&P 500 chart and how a sideways market environment could evolve. Host David Keller, CMT highlights the bearish move in the NYSE Composite Index and one sentiment indicator confirming a bearish phase.
Are We In a Recession? | David Keller, CMT (06.08)
Guest Sam Stovall of CFRA Research brings up the dreaded "R" word and how long bear markets tend to last around recessionary periods. Host David Keller, CMT shows how the latest market breadth indicators still suggest a bear market rally.
Guest Larry Tentarelli of Blue Chip Daily highlights two stocks showing clear uptrends of higher highs and higher lows. Guest David Keller, CMT answers viewer questions on interest rates, bearish momentum divergences, AAPL and the PMO indicator.
Rising Rates as Energy, Materials Shine | David Keller, CMT (06.06)
Host David Keller, CMT breaks down leadership trends in Energy, Materials and Utilities as the major market averages continue to churn. He also reviews charts of AMZN, GNRC, ENPH, REGN, MPC, VLO and MAA.
Commodity Prices Pounding Higher | David Keller, CMT (06.03)
Host David Keller, CMT wraps the week including new highs for commodities and comparing the current S&P 500 rally to earlier bear market rallies in 2022. He also answers viewer questions on bottom fishing, using the MACD indicator and leadership in bear markets.
The Nasdaq 100 vs. S&P 500 Ratio | David Keller, CMT (06.02)
Guest Jay Petit, CMT of Charts Avenue shares a different take on growth vs. value with a long-term ratio chart of the Nasdaq 100 vs. S&P 500 indexes. Host David Keller, CMT updates the latest market sentiment indexes including the AAII survey very close to levels from the March 2022 peak.
Upside Gaps in a Bearish Phase | David Keller, CMT (06.01)
Guest Dave Landry shares his S&P 500 chart and highlights one example of a tactical short opportunity. Host David Keller, CMT dives into the Financial sector with a focus on insurance companies and non-US banks.
S&P 500 Testing Fibonacci Resistance | David Keller, CMT (05.31)
Host David Keller, CMT stresses the importance of S&P 4125, Bitcoin 30K and Ethereum 2K. He also highlights bearish candle patterns for Energy names and why AMZN and the Financial sector may be facing significant overhead resistance.
S&P & Nasdaq Rip to New Swing Highs | David Keller, CMT (05.27)
Host David Keller, CMT reviews this week's strong finish with the S&P 500, Nasdaq 100 and Nasdaq Composite all making new swing highs. He also answers viewer questions on technical indicators, price targets and scanning for relative strength.
Breadth Weak and Getting Weaker | David Keller, CMT (05.25)
Guest Erin Swenlin of DecisionPoint speaks to the lack of follow-through on bullish signals for equities. Host David Keller, CMT reviews the latest market breadth indicators including one chart with much further downside potential.
The Bear Case for Tesla | David Keller, CMT (05.24.22)
Guest John Kosar, CMT of Asbury Research outlines the bearish technical evidence for Tesla and why the S&P 500 is still in distribution mode. Host David Keller, CMT answers viewer questions on candle patterns, options expiration and impulse vs. corrective waves.
Late Rally as S&P 500 Teases 3800 | David Keller, CMT (05.20)
Host David Keller, CMT wraps the week with a breakdown of price, breadth and sentiment conditions for the S&P 500 index. He also answers viewer questions on relative strength ratio charts, long-term vs. short-term charts, and using technical analysis on non-US markets.
Guest Louis Llanes, CFA, CMT of Wealthnet Investments shares downside targets for the S&P 500 based on both technical and fundamental valuations. Host David Keller, CMT reviews the latest market sentiment readings including one indicator taking a dramatic downward shift.
Short ARKK vs. Long ARKK | David Keller, CMT (05.18)
Host David Keller, CMT unpacks today's market selloff with a focus on three areas: stocks showing relative strength in a down market, key potential support levels for the S&P 500 index, and how inverse ETFs tracking popular ETFs like ARKK can help you manage risk.
The Bottom Has Not Yet Arrived | David Keller, CMT (05.17)
Guest Ari Wald, CFA CMT of Oppenheimer reaffirms the secular bull market thesis and provides one chart to help identify the market bottom. Host David Keller, CMT answers viewer questions on risk management for cryptos, P/E ratios and arithmetic vs. log scale charts.