Episode

5-7-26 How Markets Ignore the Fear | Before the Bell

Podcast
The Real Investment Show Podcast
Published
May 7, 2026
Duration seconds
349
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Summary

For four years, investors have been told the next crash was right around the corner. Russia-Ukraine, inflation at 9%, Fed rate hikes, Silicon Valley Bank, tariffs, AI fears, Iran tensions, and endless recession warnings all fueled bearish headlines. Yet despite every crisis narrative, the market has doubled from the October 2022 lows. This morning, we break down why markets continue to climb in the face of nonstop fear narratives, and what actually matters for long-term market direction: earnings growth and forward expectations. We also review the technical backdrop, including the MACD momentum indicator, buy and sell signals, overbought conditions, moving average deviations, and how technical analysis can help investors manage emotions, reduce risk, and improve portfolio discipline. Markets are never risk-free, but understanding trend, momentum, and earnings can help investors avoid costly emotional decisions. 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/1BrnxwNgzeY --- 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 #Investing #SP500 #MarketOutlook #TechnicalAnalysis