Stock Market Today With IBD

Investor's Business Daily
undefined
Dec 5, 2025 • 41min

Bullish Market Trend Continues; Penumbra, Vertiv, JPMorgan In Focus

Market trends are on the rise as the Nasdaq and S&P show strong performance. A manageable pullback may create healthy opportunities. The tech sector sees a split with emerging leadership beyond just top names. Attention is given to JPMorgan's potential breakout and Vertiv's recovery. The discussion also highlights the mixed signals from gold and materials, alongside retail strength. Upcoming earnings for major companies like Broadcom and Oracle are on the horizon, presenting new opportunities for investment.
undefined
Dec 4, 2025 • 17min

Small Caps Charge, Big Caps Pause; GE Vernova, Genmab, Eli Lilly In Focus

Small caps are leading the market charge, approaching all-time highs, while the S&P experiences a healthy pause after prior gains. Research on biotech shows strength with significant contributions from various sectors, driving a broader market rally. Discussions include the volatile movements of GE Vernova and the promising cup base formation of Genmab. Eli Lilly's recent pullback raises questions, and insights on managing positions in this dynamic environment provide valuable advice for investors.
undefined
Dec 3, 2025 • 22min

Small Caps Lead Resilient Market; Tesla, Robinhood, Jones Lange LaSalle In Focus

Market experts dive into the strength of small caps and analyze the Russell 2000's momentum. They explore cup-with-handle and double-bottom patterns while emphasizing market breadth. The discussion shifts to notable gains in major stocks, like UnitedHealth and chip stocks, with strong performance in AI demand. Tesla's rebound and Robinhood's recovery signal potential opportunities. They also highlight Jones Lang LaSalle's breakout in the real estate market and offer insights on upcoming earnings reports.
undefined
Dec 2, 2025 • 25min

Nasdaq Leads Stock Market Rebound; Snowflake, Acuity Brands, TSMC In Focus

Rachel Fox and Ken Shreve dive into the day's market highlights, spotlighting the NASDAQ's leadership and a Bitcoin rebound. They analyze tech earnings that are boosting NASDAQ gains and discuss the mixed performances within semiconductor stocks. Snowflake's upcoming earnings generate excitement, and Acuity Brands shows promise with a flat base setup. Taiwan Semiconductor's position is evaluated, emphasizing AI exposure and the need for increased volume. The hosts underscore cautious market positioning while keeping an eye on positive trends.
undefined
8 snips
Dec 1, 2025 • 18min

Indexes Strive To Keep Thanksgiving Week Gains; New IPO Suffers A Spill

David Saito-Chung, Deputy Markets Editor at Investor's Business Daily, shares insights on market trends and stock analysis. He discusses the modest losses after a bullish Thanksgiving week, explaining how moving averages could impact December's trajectory. The conversation shifts to Bitcoin's technical weaknesses and a cautionary stance on its decline. Additionally, David analyzes the IPO volatility of BLLN and its growth potential, while also highlighting sell signals for ESCO Technologies. Listeners gain a wealth of actionable ideas and market perspectives.
undefined
Nov 28, 2025 • 23min

Stocks Finish Powerful Week; Vertiv, Expand Energy, JPMorgan Chase In Focus

Ken and Ed dive into the market's powerful week, spotlighting key stocks like Vertiv and JPMorgan Chase. They discuss a notable rebound in the NASDAQ and highlight strong retail earnings from Walmart and TJX boosting the market. The surge in gold stocks and updates on the energy sector, particularly Expand Energy, are also covered. Additionally, they explore the challenges faced by some AI stocks while others thrive. Don't miss insights on the financials' rebound and potential breakout strategies for chip stocks!
undefined
Nov 26, 2025 • 23min

Stocks Continue To Rally; ASML, Pan American Silver, Comstock Resources Strong

Ed Carson, a seasoned news editor and market analyst, joins to delve into the recent market rally, particularly the impressive gains in small caps. They discuss sector rotations towards airlines, homebuilders, and the strength of gold stocks. Carson cautions against high-beta growth stocks and highlights ASML's breakout potential and Pan American Silver's recent earnings momentum. The duo also examines Comstock Resources' natural gas surge, influenced by ownership and weather risks, all while gearing up for a Thanksgiving trading schedule.
undefined
Nov 25, 2025 • 19min

Stocks Shrug Off Nvidia, Reclaim Key Level; Lam Research, Kinross Gold, Intuitive Surgical In Focus

Ed Carson, a seasoned news editor and market commentator, dives into the latest market trends alongside Ken Shreve. They analyze how major indexes have rebounded above crucial moving averages, highlighting strong gains. Ed discusses the impacts of semiconductor news on stocks like NVIDIA and AMD. They explore LAM Research’s promising technical setup and Kinross Gold’s breakout potential. The duo also reviews the market's reaction to earnings reports and strategizes on gradually increasing market exposure amid rallying conditions.
undefined
Nov 24, 2025 • 25min

Nasdaq Soars But Is It Enough? Apple, Celestica, Globus Medical In Focus

The analysis kicks off with a discussion about the recent rebound in the Nasdaq and key stocks driving market gains. Important moving averages are highlighted, stressing resistance levels after a significant down day. The hosts also delve into tech stocks' recovery, particularly focusing on Apple, which stands out among mega-caps. Celestica's impressive 15% rebound and Globus Medical's breakout are analyzed, showcasing strong potential in medical stocks. They wrap up with insights on market volatility and the impact of rates.
undefined
Nov 21, 2025 • 1h 18min

Russell 2000 Soars, Caps Volatile Week; AbbVie, BrightSpring, Alphatec In Focus

Market dynamics take center stage as analysts dissect the Russell 2000's rise amidst a rocky week. Discover the significance of inside days and how small caps are responding to money flow. Explore powerful trend signals and the impact of shifting bond yields on market volatility. They dive into high-risk sectors, particularly healthcare’s standout performance and intriguing stock setups like AbbVie. Plus, gain insights into how trading styles can falter in choppy waters and the meaning behind critical market metrics.

The AI-powered Podcast Player

Save insights by tapping your headphones, chat with episodes, discover the best highlights - and more!
App store bannerPlay store banner
Get the app