Author: Andrew Horowitz

DHUnplugged #479: MOMO and FOMO Collide

Last big week of earnings for S&P companies. FOMO and MOMO collide – but seeing some warnings signs on the charts. The Fed cuts and then seems to be on hold for now and the surprise bump in jobs. M&A activity, investors that cry on TV are all part of...

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TDI Podcast: Check Yourself Before You… (#635)

The Fed cuts rates again and manufacturing slumps deeper into contraction – BUT the employment report soothes recession fears.

New highs for markets, although not all stocks are participating.

Taking a close look at fundamental and technical readings as compared to historical levels.

Link to watch Andrew on – Investor Business...

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DHUnplugged #478: New High For The Spy

Several M&A announcements this week. Trade deal may – or may not – get completed by the initial hoped for deadline. More WeWork fallout, an earnings season update and an update from JCD on California’s rolling blackouts. Announcing a NEW Closest To The Pin PLUS we are now on Spotify...

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TDI Podcast: A High Tide Lifts All Ships (#634)

Remembering some of the lessons from savvy traders and what not to fight as markets move toward all-time highs.

Taking a look at the convergence of influences that are impacting stocks and what to make of these.

Plus – reading into the latest earnings season and the Fed’s upcoming meeting.

Link...

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Repo Markets – Glitch or Warning?

There has been a recent conversation and appropriate concern focused on the underlying stability of the Repo markets. A ferocious spike in rates recently set off alarms and getting to the bottom of the cause continues to be a difficult task.

A Repo is a corner of the financial markets that...

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