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Markets may be climbing, but are they telling the truth?

 

In this episode of the MoneyShow MoneyMasters Podcast, Keith Fitz-Gerald (Principal, Fitz-Gerald Group) and David Keller (President and Chief Strategist, Sierra Alpha Research) break down why investing based on what you think the markets SHOULD do – versus what they ARE DOING – can be so costly.

 

We also cover the technical and macro signals that reveal where the S&P 500 could be headed next. Plus, we discuss market breadth, sector rotation, fear vs. FOMO sentiment, and the risk indicators most investors overlook. (Bonus: If you own Tesla, Palantir, or stocks in THIS beaten-down sector, you won’t want to miss what Keith and David have to say).

 

CHAPTERS:

0:02 – Opening Remarks & Market Overview

2:05 – Key Drivers Behind Current Market Trends

4:00 – Sector Leadership and Rotation Signals

5:53 – Investor Sentiment and Behavioral Shifts

7:48 – Technical Indicators to Watch Right Now

9:41 – Macro Headwinds and Tailwinds in Play

11:40 – Earnings Season Expectations and Surprises

13:39 – Risk Management in Volatile Markets

15:39 – Opportunities Emerging in Underfollowed Sectors

17:37 – Closing Thoughts & Forward-Looking Strategies

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