Why the Next Recession Will Be the Catalyst for Depression
January 30, 2026
After reviewing the movements of the on different time chart patterns, I observed that the weekly closing on March 20, 2026, was below the key support levels, as I explained...
Read moreDetailsUpon evaluating across multiple time frames, I observed that last week’s closing formations on the 1-hour chart closely mirrored the patterns seen throughout the week, indicating a repetition of market...
Read moreDetailsS&P 500 increasingly tracking oil moves, highlighting rising commodity-driven market sensitivity. Risk-off sentiment persists with negative momentum, elevated VIX, and fragile investor confidence. Extremely high OVX signals oil stress, amplifying...
Read moreDetailsThe global energy crisis and Middle East supply disruptions are driving renewed interest in nuclear power as a reliable, low-carbon baseload energy source. Countries like Japan, South Korea, and France...
Read moreDetailsGold extends nine‑day losing streak into negative territory Mideast tensions and inflation fears intensify selling pressure Momentum indicators slide further into oversold zones is sliding over 8% on Monday, breaching...
Read moreDetailsS&P 500 increasingly tracking oil moves, highlighting rising commodity-driven market sensitivity. Risk-off sentiment persists with negative momentum, elevated VIX, and fragile investor confidence. Extremely high OVX signals oil stress, amplifying...
Read moreDetailsS&P 500 increasingly tracking oil moves, highlighting rising commodity-driven market sensitivity. Risk-off sentiment persists with negative momentum, elevated VIX, and fragile investor confidence. Extremely high OVX signals oil stress, amplifying...
Read moreDetailsMarkets stabilise after rebound but remain fragile amid oil spikes and geopolitical headlines Oil prices and Middle East tensions continue to drive short-term equity market direction Central bank decisions and...
Read moreDetailsCentral banks are flirting with rate hikes, and markets have gone crazy. Memories of the 2022 inflation battle are clearly still fresh. Yet talking about rate rises is one thing,...
Read moreDetailsS&P 500 increasingly tracking oil moves, highlighting rising commodity-driven market sensitivity. Risk-off sentiment persists with negative momentum, elevated VIX, and fragile investor confidence. Extremely high OVX signals oil stress, amplifying...
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