David Zarling, Ian McMillan
The Weekly Trend
The Weekly Trend is a conversation on various publicly-traded markets, seen through the eyes of technical analysis.
Author
David Zarling, Ian McMillan
Category
Podcast website
Latest episode
Jul 10, 2026
Where to listen?
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Episodes
Episode 154: Silicon Valley Bank and the Regional Bank Bloodbath 11.03.2023 40:54
In this week’s episode, Dave and Ian discuss Silicon Valley Bank’s demise along with the strong sell-off in Regional Banks this past Thursday and Friday. In addition, they highlight major indices flirting with important price levels and risk-off areas like Treasuries changing character. Finally, they hammer home the importance of using price to manage risk and clients will notice higher levels of...
Episode 153: Leaders Lead 04.03.2023 47:10
In this week's episode, David and Ian cover the February selloff and end-of-week bounce from stocks, the standouts in the Industrials sector, and a few foreign areas that have held up quite nicely.
Episode 152: Gauntlet 25.02.2023 47:20
In this week’s episode, David and Ian cover the weeks big moves, the continue dollar strength, and the mixed reviews from stocks here in the US.
Episode 151: Stuck in the Middle 18.02.2023 30:57
In this week’s episode, Ian and Kevin discuss where the major indices are at in relation to their important levels, mid-caps, the rally in the US Dollar, interest rates bouncing, Bitcoin attempting to get over 25,000, and commodity futures.
Episode 150: Round Numbers 11.02.2023 39:28
In this week's episode, Dave and Ian discuss the major indices holding at resistance, the economy vs the market, how charts seem to be running out of steam, improvement in 52 week highs, and how consolidation after this move is completely normal.
Episode 149: Out of the Woods? 04.02.2023 35:28
In this week's episode, David and Ian discuss the continue surge in stocks and improvements in breadth. Dave gives his thoughts on breadth. Ian covers the niche areas of outperformance we are seeing. Can the US Dollar find support at 101, and if so, what does that mean for Foreign stocks?
Episode 148: Signal > Noise 28.01.2023 26:21
In this week's episode, Dave gives a quick review on important market action that has taken place over this past week and updates on important market levels.
Episode 147: Groundhog Day 21.01.2023 22:18
In this week’s episode, Ian and Kevin discuss the S&P 500 and Dow Jones rejection, defensives breaking down, mid caps looking strong, growth vs value relationships, international stocks, and the continued mixed bag of market information.
Episode 146: Sweet Breadth 14.01.2023 53:07
In this week’s episode, Dave, Dan, Pratty, and Kevin discuss what they were looking for to support a bullish thesis in October, and what they have been seeing now in relation to that thesis. They also discuss international equities, the U.S. Dollar, Dow Jones, breadth improvement, equal weight versus market cap weighted sectors, breakaway momentum, and base metals.
Episode 145: New Beginnings 07.01.2023 40:19
In this week’s episode, Ian and Kevin talk about how stocks and commodities have largely been range bound with bonds trying to bounce back. They also talk about how value vs growth continues to hold up, along with energy and metals and mining, along with international areas that are showing strength.
Episode 144: ADPV: A Labor of Love 23.12.2022 51:04
In this special edition of 'The Weekly Trend' podcast, David and Ian sit down to discuss their journey through creating ADPV, why it was created, and all the people involved in helping launch Adaptiv's first ETF.
Episode 143: Overhead Supply 17.12.2022 47:58
In this week’s episode, Dave, Dan, and Kevin discuss the recent breaking of important levels on major indices, Crypto, FAANG Stocks, and how the US dollar is holding up, and how overhead supply is seen in multiple areas of the market.
Episode 141: Two Hundred Days 03.12.2022 49:01
In this weeks episode, Ian and Dave discuss the major indices and their 200 day moving averages, market capitalizations, and the continued move higher for bonds. Bulls seem to be getting everything they want with rates, the dollar, and VIX all moving lower. Will it be enough? There are still many looming similarities to 2008 out there, but the short-term trend is up. However, the recent price acti...
Episode 140: Stalled Out 19.11.2022 32:13
In this weeks episode, Ian, Dan, and Kevin discuss the choppy week we had across equity markets, continued strength from bonds, and weakness from Crude Oil. Foreign stocks are still outperforming. Intermarket relationships giving mixed signals.
Episode 139: Bayesian 12.11.2022 45:27
In this weeks episode. David and Ian discuss the eruption in cryptos from a technical perspective, the mixed signals we see in the stock market, weakness from the US Dollar, and precious metals.
Episode 138: Select 05.11.2022 34:54
On this weeks episode, David and Ian discuss the "project", another week of bifurcation in equities, and where the major indices stand in regards to their long-term trends. Energy remains king and Tech is still an area to avoid, with no changes from the US Dollar or interest rates. And when it comes to market caps, the smaller the better.
Episode 137: Comin' In Hot 29.10.2022 49:28
In this week's episode, Dave, Ian, and Pratty discuss the continued rally in stocks, Mega Caps breaking down except for AAPL, Value sectors, Small Caps, 30-year yields, and Value versus Growth.
Episode 136: Office Olympic Champions 22.10.2022 34:03
In this week's episode. David, Ian, and Kevin review their quarterly Lunch and Learn presentation, the back and forth chop we saw for yet another week, and what they are seeing under the surface of the market. The VIX continues to wane lower. And while stocks have held their ground as of late, Energy remains the only bright spot. Can other areas like Aerospace turn into leaders as well?
Episode 135: October 15.10.2022 56:29
On this week's episode, David and Ian discuss the VIX and what we should be expecting from this measurement, an update on the 60/40 portfolio, and where we stand with Q4 seasonality. Treasury rates and the US Dollar continue to show no signs of stopping. Energy stocks back near their highs of the year. Also, how much further can the relative break in Tech take the market down?
Episode 134: Fizzled Out 08.10.2022 40:41
In this week’s episode, Dave and Ian discuss the breadth trust from Monday and Tuesday that reclaimed 3667, the consolidation mid-week leading to the breakdown at the end of this week, islands in areas like energy, and the resurgence of oil.
Episode 133: All Hands on Deck 01.10.2022 1:03:35
In this week’s episode, Ian, Dave, Dan, Pratty, and Kevin discuss what each of them would want to see in order to form a bullish perspective on the market. They also talk about the 200 week moving average, individual names and industries breaking down, precious metals and precious metals miners, and Central Banks and currencies.
Episode 132: Under Pressure 24.09.2022 56:51
In this week's episode, Dave, Ian, and Pratty, discuss international and emerging market stocks, how the major indices are below their June lows, 2015/16 vs. 2021/22, 10 year yields having their worst year on record, and various commodities.
Episode 131: Heartbeats 17.09.2022 50:55
In this week's episode, David and Ian discuss price behavior since May 6th, the concept of "shorting the weakest areas", and Solar stocks. David gives his thoughts on the longer-term rate cycle. Ian gives his thoughts on having a thesis and the abilities (or non-abilities) of vehicles to use. Also, our thoughts on the Future Proof conference.
Episode 130: Green Day 10.09.2022 30:00
In this week’s episode, Ian, Dan, and Kevin discuss how major indices are holding their base breakouts from mid-July, how individual stock leaders during that breakout period have held up well, Bitcoin bouncing back, fixed income continues to struggle, September seasonality, and other areas of current strength and weakness.
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