
Day Hagan Research
Day Hagan’s Research is a resource for U.S. and global financial market research and portfolio insights to help fuel client relationships and grow your practice. Read market commentary and research to help you deliver on your clients’ financial goals.
Day Hagan Technical Analysis with Art Huprich, CMT, Recorded May 23, 2023
The Day Hagan Technical Analysis was recorded on May 23, 2023. Art Huprich, CMT, shares his monthly chart jamboree. He discusses Equity Markets, the regional bank crisis, the debt ceiling debate, and other financial market topics.
Day Hagan Tech Talk: Purgatory
KISS (Keep It Simple, Sam): A push below 4098 would increase the odds of a retest of 4050 to 4045 support, which, if broken, would signal a bearish trend reversal. Alternatively, a push above resistance between 4190 and 4218 would suggest a continuation of the move higher since mid-March.
Day Hagan Tech Talk: It Don’t Come Easy
Having absorbed and contained some issues last week (Fed meeting, AAPL earnings, and April jobs report), on tap this week is the CPI (Wednesday) and PPI (Thursday). Day Hagan’s view is that inflation has peaked.
Day Hagan Smart Value Strategy Update May 2023
DH Smart Value Portfolio: Positive YTD performance, higher returns with lower volatility. Focus on quality, profitability, and valuation. Mixed macro environment, balancing headwinds and positives. Emphasis on value-oriented stocks amid potential debt ceiling concerns. Sector weightings and valuation metrics remain favorable.
Day Hagan/Ned Davis Research Smart Sector® Fixed Income Strategy Update May 2023
The risk management model (chart right) seeks to reduce exposure to fixed-income sectors most sensitive to equity drawdowns. The risk management model improved from last month and entered May recommending full model exposure to U.S. Treasury, U.S. Mortgage-Backed Securities, U.S. Corporates, International Investment Grade Bonds, and U.S. Short-Term Bonds.
Day Hagan/Ned Davis Research Smart Sector® International Strategy Update May 2023
The NDR Catastrophic Sell Stop model combines time-tested, objective indicators designed to identify high-risk periods for the equity market. The model (chart at right) improved from last month and entered May with a fully invested equity allocation recommendation.
Day Hagan/Ned Davis Research Smart Sector® Strategy Update May 2023
The NDR Catastrophic Sell Stop model combines time-tested, objective indicators designed to identify high risk periods for the equity market. The model (chart at right) improved from last month and entered May with a fully invested equity allocation recommendation.
Day Hagan Tech Talk: Enjoy the Whine
Much of the focus this week will be on what I call the noise: the Fed’s focus on inflation (May 3 interest rate announcement), additional economic reports capped off Friday by the April jobs report, and AAPL’s EPS report Thursday. Enjoy the whine—increased volatility in equities and interest rates.
Day Hagan Tech Talk: The Lion, the Witch, and the Wardrobe
The Ned Davis Research Catastrophic Stop Loss Model, part of our Smart Sector Global Balance Portfolio Strategy, remains, since November 2022, fully invested versus its S&P 500 benchmark. If our indicators reverse and suggest otherwise, we will follow.
Day Hagan Technical Analysis with Art Huprich, CMT, Recorded April 19, 2023
The Day Hagan Technical Analysis was recorded on April 19, 2023. Art Huprich, CMT, shares his monthly chart jamboree. He discusses Global Recession Probability, Credit Spreads, Investment Grade Banking, Domestic Equity Market, and other financial market topics.
Day Hagan Tech Talk: Hedge Against “Breakage,” Not Inflation
While I’m not a fan of the entire Commodity complex, there are areas of improving and/or bullish absolute and/or relative chart configurations. This includes Silver and Gold.
Day Hagan/Ned Davis Research Smart Sector® International Strategy Update April 2023
The Catastrophic Stop model deteriorated in March but remains with a fully invested Core and Explore allocation entering April. The Core model overweighted the U.K., Germany, and Switzerland while underweighting Canada and China. The Explore model favored the Philippines, Thailand, Netherlands, New Zealand, Spain, and Mexico. The models combine macro, fundamental, technical, and sentiment indicators to determine opportunities and identify risks in an objective, weight-of-the-evidence approach.
Day Hagan/Ned Davis Research Smart Sector® Fixed Income Strategy Update April 2023
With yields across the board declining in March, fixed-income sectors rallied. Entering April, the fixed income allocation strategy is overweight International Bond, U.S. Long-Term Treasury, TIPS, U.S. Investment Grade, and Floating Rate Notes. The U.S. Corporate, U.S. High Yield, and Emerging Market Bond sectors are underweight.
Day Hagan/Ned Davis Research Smart Sector® Strategy Update April 2023
The sector allocation strategy’s message is mixed with overweights to Value sectors like Energy and Financials, as well as Growth sectors like Technology and Communications Services. Industrials, Consumer Discretionary, and Health Care are at underweight. The sector model uses sector-specific indicators to determine opportunities and identify risks in an objective, weight-of-the-evidence approach.
Day Hagan Smart Value Strategy Update April 2023
Strong YTD performance, higher total returns with lower volatility. Market climbs "Wall of Worry" amid recession fears, rising rates, inflation, and geopolitical risks. Value stocks rebound as quality companies regain favor. Portfolio changes include Mosaic and Nutrient acquisitions, Cigna and Aflac sales, and Schwab purchases. Sector weightings and valuation metrics remain favorable.
Day Hagan Tech Talk: Twist and Shout - End of Quarter Positioning
The Ned Davis Research Catastrophic Stop Loss Model has been fully invested since November 2022. Compared to its S&P 500 benchmark, it has remained on the correct side of the trend.
Day Hagan/Ned Davis Research Smart Sector® for Global Balanced Portfolios, recorded on March 29, 2023
The Day Hagan/Ned Davis Research Smart Sector® for Global Balanced Portfolios was recorded on March 29, 2023.
Day Hagan Tech Talk: Comfortably Numb
Narrow leadership, comparable to what we have seen since the beginning of 2023, is worrisome. Bob Farrell once said, "Markets are strongest when they are broad, and weakest when they narrow to a handful of blue-chip names." Also, the small positive divergence in “Small-Cap land” must be built on!
Day Hagan Technical Analysis with Art Huprich, CMT, Recorded March 21, 2023
The Day Hagan Technical Analysis was recorded on March 21, 2023. Art Huprich, CMT, shares his monthly chart jamboree. He discusses the banking sector and recent bank closures, the Bond markets, Equity Markets, the overall U.S. economy, Growth, Gold, Crude Oil, and other financial market topics.
Day Hagan Tech Talk: March Madness: SI, SIVB, SBNY, and ?
During our recent technical analysis Chart Jamboree, we spent a lot of time addressing whether Wall Street is putting its head in the sand about the effects of quickly rising bond yields. Last week’s tape action and this weekend’s banking system news answered our question with a resounding “yes, it is.”