The Final Bar with David Keller, CMT

The Final Bar with David Keller, CMT

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.

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The Final Bar with David Keller, CMT
  • A Big Up Day to Validate Bulls | David Keller, CMT | The Final Bar (10.04.22)

    Host David Keller, CMT reviews key breadth indicators including one that is showing a similar pattern to March/April 2020! He also answers viewer questions on fixed income ETFs and the Treasury yield curve.

  • S&P 500 Right Back Above 3600 | David Keller, CMT | The Final Bar (10.03.22)

    Host David Keller, CMT reviews key stocks at key levels including HD, EXPE, GIS and UNH. He also highlights strength in the Energy, Health Care and Utilities sectors as the major averages rebound higher.

  • Trendline Breaks and Inverted Yield Curves | David Keller, CMT (09.29)

    Guest Greg Schnell, CMT of Osprey Strategic reflects on extreme bearish breadth measures and inverted yield curves during previous bear market phases. Host David Keller, CMT reviews sentiment indicators suggesting further downside for stocks.

  • Double Bottom for Semiconductors? | David Keller, CMT (09.28)

    Guest Miss Schneider of MarketGauge talks a potential double bottom for semiconductors as well as transportation stocks. Host David Keller, CMT shows how the current bearish breadth configuration relates to previous bear market cycles.

  • Breadth Measures Confirming Downtrend | David Keller, CMT (09.27)

    Guest Marc Chaikin of Chaikin Analytics shares a downside target for the S&P 500 index along with his favorite chart for market breadth. Host David Keller, CMT answers viewer questions on StockCharts SCTR rankings and calculating correlations.

  • US Dollar Continues to Smash Risk Assets | David Keller, CMT (09.26)

    Host David Keller, CMT focuses in on two key charts that tell the story of the markets in 2022: the US Dollar and the Ten Year Treasury Yield. He also breaks down the charts of AMZN, ROST, CMG and ORLY.

  • Painful End to a Painful Week | David Keller, CMT (09.23)

    Host David Keller, CMT wraps the week with a review of the S&P 500 index, becoming oversold as it retests its June low. He also answers viewer questions on measuring price highs and lows, RSI bullish divergences and pattern analysis on GOOG.

  • Sentiment Indicator Turns Ultra Bearish | David Keller, CMT (09.22)

    Host David Keller, CMT discusses potential next steps for the S&P 500 after its break down through the 3800 level. He also shares one market sentiment indicator now at its most bearish level since 2009!

  • Market Snatches Defeat from the Jaws of Victory | David Keller, CMT (09.21)

    Guest Sam Stovall, CFP of CFRA Research updates his market outlook based on the latest Fed meeting and the inverted yield curve. Host David Keller, CMT highlights key levels to watch for NFLX, WYNN, AAPL, AMZN, MSFT and HD.

  • When In Doubt, Follow Bonds | David Keller, CMT (09.20)

    Guest Samantha LaDuc of LaDuc Trading reveals why the $TLT may be the most important chart to follow and how the US Dollar serves as the "release valve" for risk assets. Host David Keller, CMT highlights one Consumer Discretionary name close to completing an inverted head-and-shoulders bottom pa...

  • Key Stocks Testing Support | David Keller, CMT (09.19)

    Host David Keller, CMT focuses on the bear market for bonds and how that relates to equities, why the consumer offense-defense ratio is suggesting limited downside (or upside!) and identifying key levels for MSFT, NFLX, HD, TSLA and NKE.

  • Hammer Candle as S&P Breaks 3900 | David Keller, CMT (09.16)

    Host David Keller, CMT wraps the week with a breakdown of key levels for the S&P 500 index, a review of two key industry groups within the technology sector, and ideas for charting P/E ratios.

  • S&P 3900 Now in Play | David Keller, CMT (09.15)

    Guest John Kosar, CMT of Asbury Research shares how his Asbury Six market model remains cautious as the S&P 500 tests 3900. Host David Keller, CMT reviews the latest market sentiment indicator and why a VIX over 30 may be next.

  • Bullish Rotation for Consumer Discretionary | David Keller, CMT (09.14)

    Guest Julius de Kempenaer of RRG Research highlights how the Consumer Discretionary is showing signs of strength despite challenging market conditions. Host David Keller, CMT reviews key charts in the sector including AMZN, TSLA, RIVN, RCL, SBUX and CMG.

    Learn more and sign up for ChartCon: htt...

  • Volatility Spikes as SPX Nears 3900 | David Keller, CMT (09.13)

    Guest Dave Landry shares his VIX chart and a market timing indicator based on 10% drops. Host David Keller, CMT answers viewer questions on 90% down days and simple vs. exponential moving averages.

    Link to industry group ChartList: https://bit.ly/DKindustrygroups

    Email - [email protected]

  • Risk On Patterns Persist | David Keller, CMT (09.12.22)

    Host David Keller, CMT breaks down key levels for the S&P 500 following the bounce off Fibonacci support around 3900, keys in on the mega cap Consumer Discretionary names (AMZN, TSLA, HD) and shares why META may be an important chart to watch in the coming weeks.

    Email - [email protected]

  • Market Whimpers Into Long Weekend | David Keller, CMT (09.02)

    Host David Keller, CMT reviews price, breadth and sentiment conditions as the major averages continue to reaffirm the bearish thesis. He also answers viewer questions on charting sentiment indicators and price patterns for leveraged and inverse ETFs.

  • We're All Swing Traders | David Keller, CMT (09.01)

    Guest Mike Shell of Shell Capital Management shares how he has approached 2022 by focusing on price swings within the larger market trends. Host David Keller, CMT reviews the latest sentiment indicators and one sector flashing a warning sign for stocks.

  • It's All About the 50-Day | David Keller, CMT (08.31)

    Guest Mish Schneider of MarketGauge encourages us to focus on the 50-day moving average for transports $IYT, retail $XRT and small caps $IWM. Host David Keller, CMT reviews the latest market breadth indicators including a concerning increase in new 52-week lows.

    Email - [email protected]

  • The Best Moving Averages for Weekly Charts | David Keller, CMT (08.30)

    Guest Joe Rabil of Rabil Stock Research walks through his monthly and weekly charts for the S&P 500 and the CRB index. Host David Keller, CMT answers viewer questions on the Zweig Double 9 indicator and why he uses the 40-week moving average.

  • It's Energy and Everything Else | David Keller, CMT (08.29)

    Host David Keller, CMT focuses on key levels for the S&P 500 index and one breadth indicator to help navigate the current pullback. He also highlights actionable signals for PDD, JBHT, CRM, BMY, NFLX and FANG.

  • Stocks Shudder on Powell Comments | David Keller, CMT (08.26)

    Host David Keller, CMT breaks down key levels for the S&P 500 after today's selloff puts a key support level in play. He also answers viewer questions on charting ratios, the PPO indicator and shorting the SPX.

  • It's All About the R Word | David Keller, CMT (08.25)

    Guest Tony Dwyer of Canaccord Genuity talks money supply and why the next step for the S&P 500 is all about the "recession" label. Host David Keller, CMT reviews the latest market sentiment indicators and how cash on the sidelines could provide further upside for stocks.

  • Deciphering Seasonal Trends for Stocks and REITs | David Keller, CMT (08.24)

    Guest David Auerbach of Armada ETF Advisors discusses seasonal strength for residential REITs going into the fall. Host David Keller, CMT compares cap-weighted vs. equal-weighted ETFs for Technology and Consumer Discretionary.