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Equity markets correct and the US Dollar weakens, while safe havens strengthen….

This week saw the developed equity markets slide, with Europe failing at medium term highs and the US markets failing as sentiment surrounding its growth stocks has been dented, despite US jobless claims reaching new 6 year highs. Tensions in Eastern Ukraine have heightened again with conflict in Donetsk, leaving investors seeking safe havens once again, with Gold gaining…

Equity markets correct and the US Dollar weakens, while safe havens strengthen….

Equity markets correct and the US Dollar weakens, while safe havens strengthen….

This week saw the developed equity markets slide, with Europe failing at medium term highs and the US markets failing as sentiment surrounding its growth stocks has been dented, despite US jobless claims reaching new 6 year highs. Tensions in Eastern Ukraine have heightened again with conflict in Donetsk, leaving investors seeking safe havens once again, with Gold gaining…

Equity markets correct and the US Dollar weakens, while safe havens strengthen….

Equity markets correct and the US Dollar weakens, while safe havens strengthen….

This week saw the developed equity markets slide, with Europe failing at medium term highs and the US markets failing as sentiment surrounding its growth stocks has been dented, despite US jobless claims reaching new 6 year highs. Tensions in Eastern Ukraine have heightened again with conflict in Donetsk, leaving investors seeking safe havens once again, with Gold gaining…

Equity markets correct and the US Dollar weakens, while safe havens strengthen….

Equity markets correct and the US Dollar weakens, while safe havens strengthen….

This week saw the developed equity markets slide, with Europe failing at medium term highs and the US markets failing as sentiment surrounding its growth stocks has been dented, despite US jobless claims reaching new 6 year highs. Tensions in Eastern Ukraine have heightened again with conflict in Donetsk, leaving investors seeking safe havens once again, with Gold gaining…

Equity markets correct and the US Dollar weakens, while safe havens strengthen….

Equity markets correct and the US Dollar weakens, while safe havens strengthen….

This week saw the developed equity markets slide, with Europe failing at medium term highs and the US markets failing as sentiment surrounding its growth stocks has been dented, despite US jobless claims reaching new 6 year highs. Tensions in Eastern Ukraine have heightened again with conflict in Donetsk, leaving investors seeking safe havens once again, with Gold gaining…

Equity markets correct and the US Dollar weakens, while safe havens strengthen….

Top Features

Charts of the Week

Charts of the Week

US Chart of the Day The Drugs Bullish % was one of the stronger industries on Tuesday, rallying 1.67%. The status is presently Bull-correction, which in a rising market provides an entry window. Support looks to have been found at…

The Coe Report

The Coe Report

Near-term Market View   The S&P 500 remains in its rising channel off the February low.…

Is 2016 a) 2011, b) 2012 or c) 2008 ?

Is 2016 a) 2011, b) 2012 or c) 2008 ?

The major direction for US Risky Asset prices near term will depend a lot on…

MSCI All Country World Index Fractal Top

MSCI All Country World Index Fractal Top

The chart below shows the MSCI All Country World Index. Throughout 2015 we have been…

US Weekly Review

Short-term indicators corrected this week, medium-term indicators hold strength

Short-term indicators corrected this week, medium-term indicators hold strength

Research Summary week ending 8th April 2016 Current status Comment Short-term II Composite Indicator 43.1%…

Industry Bell Curve finishes week with healthy symmetry

Industry Bell Curve finishes week with healthy symmetry

Research Summary Table week ending 18th March 2016 Current status Comment Short-term II Composite Indicator…

Solid recoveries by indicators over the week

Solid recoveries by indicators over the week

Overall market view: S/term bullish and M/term bullish  Short-term indicators are pulling out of oversold…

Indicators ending the week at more comfortable levels

Indicators ending the week at more comfortable levels

Research Summary Table – week ending 6th May 2016 Short-term II Composite Indicator 36.2% Has unwound back to region of rising trendline support off the February low. Attractive level to stage a recovery. NYSE 10-wk breadth 67.04% Develops a range between…

Global Trends Weekly