Tim Hayes, Chief Global Investment Strategist at Ned Davis Research, offers insights into market dynamics. He unpacks the 360° weight-of-the-evidence framework, explaining the interplay between price, sentiment, macro factors, and valuation. Hayes discusses the current secular bull market amidst rising bear risks and underscores the significance of real breadth vs. dead-cat bounces. He also explores the shifting stock-bond correlation, mega-cap concentration risk, and why gold remains pivotal for investors. His core advice is to stay objective and flexible in asset allocation.