Episode 290: The Great In-Between
Failed to add items
Sorry, we are unable to add the item because your shopping cart is already at capacity.
Add to Cart failed.
Please try again later
Add to Wish List failed.
Please try again later
Remove from wishlist failed.
Please try again later
Adding to library failed
Please try again
Follow podcast failed
Please try again
Unfollow podcast failed
Please try again
-
Narrated by:
-
By:
In this week's episode David and Ian discuss the continued chop in the S&P 500, bearish sentiment, retail buying, energy stocks with the increase in oil prices, support and resistance, theses for the range in the S&P 500 being further consolidation and then a move higher, or the forming of a market top.
No reviews yet