@Fundstrat_Direct
YouTube
Avg. Quality
70
Success Rate
37.42
Analysis
163
Correct
61
Fail
76
Pending
26
Ineffective
0
Total Quality
Score
If You Had Traded on This Analysis…
Pending
XLE
Long Entry
49.1850
2026-01-24
05:45 UTC
Target
55.0000
Fail
47.0000
Risk/Reward
1 : 3
Turn Signals into Profit
Join Tahlil Plus Pro to unlock full performance history, live alerts, and AI-backed risk tools.
Start Free
Live PnL
—
P/L: —
Turn Signals into Profit
Join Tahlil Plus Pro to unlock full performance history, live alerts, and AI-backed risk tools.
Start Free
The market is experiencing volatility around earnings season. Megacaps (Magnificent 7) are still favored for their strong earnings and visibility. Energy and Basic Materials sectors are highlighted as top picks for the year, showing strong performance after a period of underperformance, suggesting mean reversion. Small caps (Russell 2000) are also anticipated to outperform over a multi-year period, supported by a potentially dovish Fed, M&A activity, and improving ISM data. Despite near-term earnings reactions, the broader sentiment remains positive for these sectors. The Fed's stance is seen as dovish, aiming for economic well-being, even without immediate rate cuts. Policy uncertainty and potential Fed transitions are noted as risks that could lead to drawdowns later in the year, which might feel like a bear market, but from higher levels. Gold and Silver are viewed bullishly as safety trades due to underlying market angst and central bank buying, though silver may be stretched short-term. Bitcoin is seen as recovering from deleveraging, with growing institutional adoption and a long-term target of $200,000, correlating with precious metals.