Investment Research
Analyst reports, macroeconomic models, and equity screeners
Market Sentiment
Bullish
VIX (Volatility)
14.20
-3.45% Today
US 10Y Yield
4.28%
Normal Curve
Earnings (This Wk)
142
12 S&P 500 Companies
Featured Analyst Reports
MACRO
Q1 2026 Macroeconomic Outlook
Morgan Stanley
•
24 Pages
SECTOR
Semiconductor Supercycle Continuation
Goldman Sachs
•
18 Pages
Sector Momentum Model
Relative strength vs S&P 500
| Sector | 1W R.S. | 1M R.S. | Trend | Status |
|---|---|---|---|---|
| Technology | +2.4% | +5.8% | Leading | |
| Communication | +1.2% | +3.4% | Leading | |
| Healthcare | +0.5% | -1.2% | Improving | |
| Finance | -0.2% | +1.5% | Weakening | |
| Energy | -1.8% | -4.2% | Lagging |
Macro Indicators
CPI Inflation vs Fed Funds Rate
Latest CPI
2.8%
Current Rate
5.25%
Screener Presets
Quick-launch predefined equity screens
Earnings Whispers
AAPL
Tomorrow
Est: $2.10
Whsp: $2.15
MSFT
Jan
30
Est: $2.94
Whsp: $2.98
AMZN
Feb
02
Est: $0.85
Whsp: $0.82