
Markets remain stuck in consolidation, but beneath the major indexes, the picture looks considerably weaker. Only about 40% of stocks are trading above their 50-day moving averages, while small-caps, mid-caps, utilities, real estate, and financials have faced significant pressure. At the same time, the growing number of stocks hitting 52-week lows and falling below key moving averages may be pushing market breadth toward more extreme levels. Historically, those conditions can become contrarian signals as selling pressure becomes extended. As investors head into the fourth quarter, rising earnings estimates, the return of corporate buybacks, available market liquidity, and increasingly negative sentiment could provide support for a year-end rally. That does not guarantee one. Lance Roberts explains why investors should watch what is happening beneath the indexes and avoid becoming overly risk-averse as Q4 begins. Hosted by RIA Chief Investment Strategist, Lance Roberts, CIO Produced by Brent Clanton, Executive Producer --- Watch the Video version of this report on our YouTube channel: https://youtu.be/YR2WHQHpryU --- Get more info & commentary: https://realinvestmentadvice.com/insights/real-investment-daily/ --- Do you enjoy our content? Rate us on Google: https://bit.ly/4b9JtEo --- Visit our Site: https://www.realinvestmentadvice.com Contact Us: 1-855-RIA-PLAN --- Subscribe to SimpleVisor : https://www.simplevisor.com/register-new --- Connect with us on social: https://twitter.com/RealInvAdvice https://twitter.com/LanceRoberts https://www.facebook.com/RealInvestmentAdvice/ https://www.linkedin.com/in/realinvestmentadvice/ #StockMarket #MarketBreadth #SP500 #Investing #MarketOutlook
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