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In this week's episode David and Ian discuss the S&P remaining range-bound, differentiation between S&P 500 performance and the average performance of it's constituents. They also discuss market breadth, sentiment, the continued drawdown in software, how homebuilders are starting to look interesting along with transportation stocks even with the rough week for trucking stocks. They also discuss seasonality moving into the second half of February, interest rates and what a move lower in rates might mean for the broader market.