00:02 25% car tariffs as a new burden
00:31 DAX and S&P 500 with price slide – Gap (NYSE:GAP) close
00:57 Weekly performance: Which days bring higher returns?
01:22 S&P 500 in Focus: Trend Break and Double Top
02:16 200-Day Moving Average Broken – Bearish Signal
03:17 Key S&P Levels: 5750 and 5881
03:44 DAX: Wedge Formation and Lack of Confirmation
04:11 Volatility: VIX and VDAX Rise
05:00 Tariffs Dominate Corporate Reports
05:30 Reporting Season: Inflation, Interest Rates & Uncertainty
06:24 Review: Tariffs and Earnings Declines from 2018
07:25 Earnings Revisions Depress Valuation
08:18 Citi Earnings Revision Index – Warning Signal
09:12 Economic Surprises & Weak Macro Data
10:06 US Interest Burden Rises Massively
10:32 Debt Ceiling & Refinancing Wave
10:58 Uncertainty Slows Global Trade
11:24 Expiration Date as a Turning Point in Market
12:12 Private Equity Shows Weakness
13:04 Timing: Best and Worst Trading Days
13:53 Monday & Friday: Weak Days Tend to Be
14:20 DAX Under Pressure – Automotive Sector Suffers
14:45 Doubling in the DAX – Justified?
3:11 PM Live Trade: Call Option on the DAX
4:38 PM Summary: Tariffs, Brands (NYSE:BBWI), Reporting Season
5:30 PM Corporate Outlook Becomes More Pessimistic
5:54 PM Conclusion & Positioning for the Summer