https://t.co/OhxCXsRQyy
Learn 3 ways to hedge portfolio risk: non-correlated assets like commodities and gold, inverse ETFs, and sector rotation to help protect a tech-heavy portfolio from market volatility.
https://t.co/MREVyilfCJ
High-risk market update: I explain why more volatility may be ahead into June, with inflation pressures, rising bond yields, weak breadth, overbought signals, and extreme sentiment. We’re holding cash and favoring commodities right now.
https://t.co/nvDE39s8pw
War isn’t good for much — but for investors, it can create opportunities. In my latest video, I break down the best stocks to own during war, including defence, drone, rare earth, and base metals plays, plus my top 7 chart picks.
https://t.co/1YXRd2Gxmp
Looking beyond the U.S., this video reviews international markets in Europe, emerging markets, Canada, Japan, and more, then highlights the top country ETFs to watch now!
I’m LIVE on Bloomberg BNN MarketCall tomorrow (May 5) at 12pm EST! Call in with your stock questions & TA setups: 1-855-326-6266. Call early! If you get through, please mention you read the blog & watch the YouTube videos!
https://t.co/zYSEbOQsjP
Wall Street is rallying hard while Main Street stays cautious. In this video, I break down the disconnect between consumer sentiment, pro traders, retail FOMO, overbought signals, and why a near-term pullback may be coming.
https://t.co/iDD4hVBF6G
Could we be heading into the next commodity cycle? In this video, I break down oil, inflation, stocks, and the 1970s-style market setup—and what sectors may benefit if history starts rhyming again.
https://t.co/FyzBTUqJMA
Oil prices, natural gas, and energy stocks are surging. In this video, I break down the best energy stocks to own right now, plus key charts, sector rotation, and the top names to watch!
https://t.co/xCPXyImlAO
Was last week’s rally a real rebound… or just another dead cat bounce?
In today’s Smart Money Dumb Money Show, we break down the S&P 500, the 200-day moving average, oil, yields, the TSX, and what history says about bear market snapback rallies.
https://t.co/FuAu2cxOGI
Watch this before buying the dip! I break down why the S&P 500 and TSX may still be under pressure, using trend, momentum, breadth, and sentiment signals to decide whether this market is finally a buy or still too risky!
https://t.co/ydTWTwvNob
Canadian dividend stocks vs U.S. stocks 🇨🇦 which is better? I break down tax advantages, dividend aristocrats, and which high-yield stocks look strong (and which to avoid). Don’t blindly buy dividends, be selective!
https://t.co/Xjz7nCeio9 Commodities Update 2026 is live: I break down oil, natural gas, uranium, gold, silver, fertilizers and softs like corn and wheat, and explain why producers often move differently than the underlying commodities.
https://t.co/Uyv3NaEwj6
Sector rotation in a war-driven market: how the Iran conflict is impacting oil, why this spike may be temporary, where I’m taking profits, and why I’m eyeing utilities and oversold software for new opportunities
I’ll be on BNN Bloomberg’s Market Call tomorrow at 12:00 pm EST. 📈
Call in with your stock questions toll‑free at 1‑855‑326‑6266 or email them in advance to [email protected].
Hope you can tune in!
https://t.co/97OZHWU7a3 Want stocks to hold FOREVER? I reveal 6 low-volatility winners (RY, MCD, AAPL + more) that beat S&P/TSX through 2001, 2008, 2020 & 2022 crashes using 40-month trends. True buy-and-hold compounders! #LongTermInvesting#StockPicks
https://t.co/SMq8n7ZDV2
New video! Overbought Canadian banks (ZEB 20%+ above 200DMA, RSI screaming) ready to crack vs US banks (KBE safer, KRE breaking out). Ditch CDN banks, rotate to US financials.
https://t.co/crXKmD5IUs New video drop: I break down 21 timeless Warren Buffett adages for today’s markets—why “risk comes from not knowing what you’re doing,” why education is your real edge, and how rules-based selling protects your capital.
https://t.co/VKZsGdB3jk
Small caps are finally breaking out. 📈 In my latest Smart Money Dumb Money Show episode, I walk through sector rotation by size, value vs growth, and why mid & small caps may be the next leaders. Watch now:
https://t.co/vWAuYc2QHc
Is U.S. stock dominance ending after 20+ years? S&P 500 vs MSCI World, TSX, EM, Pacific—money flow says global markets are waking up. Should investors avoid U.S. stocks right now? Charts + analysis. Watch! #StockMarket#GlobalInvesting#TSX
https://t.co/Uq43bUulPv
Why has natural gas been so weak, and could that be about to change?
I break down why ValueTrend still holds nat gas producers, key demand drivers, and what could spark a rally in 2026.