Thoughts on the Market

What Should Investors Expect from Earnings Season?

26 snips
Apr 28, 2025
As earnings season kicks off, market volatility is in the spotlight. The S&P 500 has shown a tight trading range, impacted by hopes for a tariff deal with China and a more dovish Federal Reserve. The discussion emphasizes the importance of macroeconomic indicators and suggests focusing on high-quality cyclical stocks. Additionally, a sustainable breakout in the market hinges on essential developments like falling Treasury yields and improved earnings revisions. Selective investment strategies may provide an edge in these uncertain times.
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INSIGHT

Market Volatility and Key Triggers

  • The S&P 500 experienced volatility, testing the 5,000 to 5,500 range last week.
  • Sustainable gains require positive developments like tariff deals or a dovish Fed.
ADVICE

Focus on Quality and Data

  • Focus on labor market data and earnings revisions for market direction.
  • Prioritize quality and large-cap stocks in uncertain late-cycle conditions.
ADVICE

Selective High-Quality Cyclicals

  • Select high-quality cyclical stocks with priced-in slowdown risks.
  • Avoid blanket calls on cyclicals; focus on stock-specific opportunities.
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