Main topics covered:
• The current technical setup for the S&P 500 and how Katie reads market momentum
• The role of moving averages, MACD, and DeMark indicators in her process
• Breadth, sentiment, and seasonal factors influencing market direction
• Why the AI and tech rally may be entering a more selective phase
• Sector analysis: healthcare, utilities, energy, and consumer staples
• Trends in financials and what’s driving sector rotations
• Overview of the Fairlead Tactical Sector ETF (TACK) and its positioning
• The broadening theme, mega-cap leadership, and market concentration
• Technical outlooks for gold, oil, Treasury yields, and the dollar
• How correlations between bonds and equities are evolving
• Key risk metrics Katie is watching into year-end
Timestamps:
00:00 Introduction and S&P 500 setup
04:15 How Katie uses key technical indicators
07:00 Reading trend strength through moving averages
10:00 Balancing short- and long-term signals
12:00 Seasonality and sentiment in the current market
15:00 DeMark sell signals on the S&P and Nasdaq
18:30 What a correction could mean for the AI trade
20:20 Sector rotation and using technicals for allocation
23:30 Opportunities in healthcare and energy
25:30 Utilities and countertrend setups
27:20 Consumer staples and defensive positioning
29:00 Financials and recent weakness
31:00 Inside the TACK ETF and its strategy
34:10 Market breadth and mega-cap concentration
37:00 Gold’s breakout and sell discipline using technicals
41:00 Oil’s setup and resistance levels
43:15 10-year Treasury yield analysis
46:20 The dollar index and its key levels
48:15 Relationship between stocks and bonds
51:10 Final takeaways and closing

