Show notes
In Episode 314, David Zarling and Ian McMillan break down a market that continues to frustrate investors with months of sideways price action despite the major indexes remaining relatively close to their highs. They dig into deteriorating breadth, extremely low stock correlations, elevated dispersion, bearish sentiment, and the growing number of S&P 500 stocks already experiencing meaningful corrections beneath the surface. The conversation also covers energy’s continued leadership, fadin...

