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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 Catastrophic Stop Update April 8, 2025
The Catastrophic Stop model level is 40.7%, down from 51.4% last week and on the cusp of a sell signal. The model’s decline was due to volume-adjusted demand falling below volume-adjusted supply for the first time since September 2023. On balance, the model’s technical indicators are bearish, while the external indicators are low-neutral.
Day Hagan Tech Talk: Special Chart Update
After the S&P 500 (SPX) broke the twin support lows of 5500 to 5488 (discussed last week), a cascade of selling quickly followed. The associated selling pressure exceeded early March levels. Thus, the Low-Rally Retest bottoming sequence coupled with breadth thrusts begins anew.
Day Hagan Smart Value Strategy Update April 2025
The DH Smart Value Portfolio continues to invest in companies producing excess returns through positive economic profitability, supported by solid balance sheets (quality), significant cash generation (profitability), and trading with considerable margins of safety (valuation). We believe these factors will continue to provide rational opportunities for the foreseeable future.
Day Hagan Smart Sector® Fixed Income Strategy Update April 2025
In March, policymakers acknowledged increased uncertainty regarding the economic outlook but maintained an expectation of a 50-basis-point reduction in interest rates for the year, consistent with their December forecast. GDP growth projections were revised downward from 2.1% to 1.7% for 2025, while 2026 and 2027 forecasts were adjusted to 1.8% (from 2%) and 1.8% (from 1.9%), respectively.
Day Hagan Smart Sector® International Strategy Update April 2025
Global stock markets experienced a volatile month, shaped by a mix of macroeconomic shifts, policy uncertainties, and key economic releases. Below, we explore the factors, issues, and data points that influenced the U.S., European, Emerging Market, Japanese, Canadian, and Pacific ex-Japan stock markets last month.
Day Hagan Smart Sector® with Catastrophic Stop Strategy Update April 2025
The U.S. stock market experienced significant volatility last month, primarily due to trade policy uncertainty and mixed economic signals. The re-elected Trump administration’s aggressive tariff proposals, including potential hikes on imports from key trading partners such as China, Mexico, and Canada, have eroded investor confidence. Concerns about an impending trade war have particularly affected export-heavy sectors, such as manufacturing and technology, contributing to a decline of over 4% in the S&P 500 year-to-date.
Day Hagan Tech Talk: Poster Child
Bitcoin, the poster child for risk-on versus risk-off, continues to stress risk-off. Let’s revisit the S&P 500’s short-term Low-Rally-Retest bottoming sequence, including what could occur going forward and what we do and don’t want to see.
Day Hagan Catastrophic Stop Update March 31, 2025
The Catastrophic Stop model level declined to 51.43% from 56.43% last week. The decline resulted from the “High Yield and Emerging Market Bond Factor” reversing back to neutral from bullish (reversal occurred March 26). Technical measures calling U.S. Stock/Bond Relative Strength, Short-term Trend, Intermediate-term Trend, and High Yield OAS spreads are bearish.
Day Hagan Technical Analysis - April 23, 2025
Join Art Huprich, CMT, on Wednesday, April 23, 2025, at 4:00 PM EST, for the monthly Day Hagan Technical Analysis. Art will be discussing the current technical condition of the equity markets (domestic, international, and emerging) based on supply (selling pressure) and demand (buying interest) analysis.
Day Hagan Technical Analysis with Art Huprich, CMT, Recorded March 25, 2025
Watch Art Huprich, CMT, break down S&P 500 trends, market corrections, and recession signals in this March 25, 2025, webinar replay. Financial advisors are encouraged to watch for the latest market technical analysis, smart sector strategies, and risk management insights —don’t miss out!
Day Hagan Catastrophic Stop Update March 25, 2025
The Catastrophic Stop model increased to 56.43% from 51.43% last week due to the “High Yield and Emerging Market Bond Factor” shifting from neutral to bullish. In other words, the fixed-income markets are holding up well. We’d also note that global equity breadth is constructive, and volume-adjusted demand continues to outpace supply.
Enhance Your Portfolio Process with the Day Hagan Smart Sector® Series and Catastrophic Stop Update
Join us for an informative webinar where we explore smart investing strategies, balanced portfolios, and risk management techniques to enhance your portfolio process. Whether you're a seasoned financial advisor or an individual investor, this webinar will provide valuable insights and practical knowledge to optimize your investment approach.
Day Hagan Catastrophic Stop Update March 18, 2025
The Catastrophic Stop model declined to 51.43% from 63.57% last week. The model’s technical indicators are now low neutral on balance due to the intermediate-term trend factor turning negative, joining the short-term trend and stock/bond relative strength factors discussed last week. Neutral readings remain in place for our breadth thrust and oversold mean reversion factors.
Day Hagan Tech Talk: Cardiac Arrest
Following the domestic equity market’s heart attack-inducing decline, it needs a slow, methodical rehab to repair the chart damage. Friday started the process, but more is needed.
Day Hagan Tech Talk: Spring Ahead, Fall Back
Although we set our clocks ahead over the weekend, stock prices fell back as macro risk and political headline fatigue weighs heavily on Wall Street’s psyche. An oversold rally is due (Figure 1). If it doesn’t occur soon, it will be bearish.
Day Hagan Catastrophic Stop Update March 11, 2025
The Catastrophic Stop model declined to 63.57% from 70.71% last week. The model’s technical indicators are now neutral on balance due to the short-term trend factor turning negative, joining the stock/bond relative strength factor. Neutral readings are in place for our breadth thrust and oversold mean reversion factors.
Day Hagan Smart Value Strategy Update March 2025
The DH Smart Value Portfolio continues to invest in companies producing excess returns through positive economic profitability, supported by solid balance sheets (quality), significant cash generation (profitability), and trading with considerable margins of safety (valuation). We believe these factors will continue to provide rational opportunities for the foreseeable future.
Day Hagan Smart Sector® Fixed Income Strategy Update March 2025
In February 2025, global fixed-income markets fared well, though they faced considerable turbulence fueled by geopolitical tensions, shifts in monetary policy, and changing investor sentiment. A key incident contributing to this uncertainty was the contentious meeting between U.S. President Donald Trump and Ukrainian President Volodymyr Zelensky on February 28.
Day Hagan Smart Sector® International Strategy Update March 2025
International equities outperformed the U.S. in February, with Europe leading the way. Spain, the U.K., Germany, Hong Kong, and China gained significant ground while the U.S., Taiwan, Australia, Japan, and India lagged.
Day Hagan Smart Sector® with Catastrophic Stop Strategy Update March 5, 2025
February witnessed notable sector rotation in the equity markets, with the Consumer Staples, Real Estate, Energy, and Health Care sectors experiencing growth, while Consumer Discretionary, Information Technology, Industrials, and Communication Services faced declines. The month began amid disappointing macroeconomic indicators that dampened investor confidence, highlighted by a significant drop in the University of Michigan’s Consumer Sentiment Index.