RSP Invesco S&P 500 Equal Weight ETF Loading... : Bullish and Bearish Analyst Opinions
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22:01
Sep 03
Sep 03
Cautious equities until margin safety improves.
He sees tight valuations, elevated P/E multiples, tight credit spreads and bullish sentiment against risks from massive Treasury and corporate supply, AI capex concentration, and a softening labor market. He wants a bigger margin of safety in credit spreads and equities before deploying capital, so he is cautious into September and October.
MED
20:58
Sep 03
Sep 03
Waller's no-hike signal boosts US stocks
A fala de Christopher Waller sinalizando manutenção de juros, com a frase 'dar uma chance à desinflação', mudou a precificação do Fed e fez as bolsas americanas dispararem, com S&P 500 subindo 1%, Nasdaq 1,4% e Dow Jones também em alta.
MED
20:47
Sep 03
Sep 03
S&P 500 still below high, data-dependent
The S&P 500 is still below last week's intraday high, so the market is not in the clear yet. Yields have not made dramatic moves, and the market remains in suspense about upcoming data and what it means for the Fed.
MED
20:16
Sep 03
Sep 03
Stocks posted their biggest one-day gain in a month after Fed Governor Waller signaled openness.
Stocks posted their biggest one-day gain in a month after Fed Governor Waller signaled openness to holding rates steady if inflation eases, with the S&P 500 up 1.1% and bitcoin topping $80,000.
19:03
Sep 03
Sep 03
Author describes a successful day of trading ES futures with failed breakdown long entries.
Author describes a successful day of trading ES futures with failed breakdown long entries and target hits, but frames it as a recap of executed trades rather than a current forward position call.
18:48
Sep 03
Sep 03
A hypothetical $500/week DCA into the S&P 500 over the last 10 years would have grown to approximately $800K-$1M. Broad market index funds provide consistent, compounding growth that historically outperforms active trading and speculative gambling in highly volatile asset classes like crypto. Investors should prioritize boring, consistent DCA strategies into broad market indices (like SPY or VOO) over attempting to get rich quick with speculative assets. A prolonged macroeconomic downturn or lost decade in US equities could suppress index returns, though DCA mitigates timing risk.
HIGH
18:13
Sep 03
Sep 03
ES_F tactical trading levels, no directional bet.
Author is describing their futures trading targets and levels in ES_F, a tactical day-trading framework, not an actionable directional call for the index itself. The levels are reactive price points, not a macro view.
MED
17:44
Sep 03
Sep 03
Watch TLT, QQQ, SPY, EWJ in gold
Watch TLT, QQQ, SPY, EWJ as proxies for NDX/SPXTR/Nikkei priced in gold since 2022; the author suggests the gold-priced decline has already started but gives no explicit trade direction.
MED
17:35
Sep 03
Sep 03
S&P upside limited after priced-in rally.
The equity market will remain volatile, but the direction and travel are constructive because earnings breadth is strong across sector, region, and market cap. Upward revisions and visibility on AI investments from hyperscalers are creating a positive corporate feedback loop.
HIGH
17:02
Sep 03
Sep 03
US equities constructive on broad earnings strength
She expects continued ping-pong volatility under the surface, with stock-level dispersion the widest in two decades, but the direction of travel for equities is constructive because earnings strength is broad by sector, region and market cap, revisions are rising, and AI-driven ROI is becoming a positive corporate investment loop that supports the equity market.
HIGH
16:53
Sep 03
Sep 03
S&P 500 adds 700 billion in market cap and sits under 1 percent from record high despite oil.
S&P 500 adds 700 billion in market cap and sits under 1 percent from record high despite oil near 100 dollars and expected Fed hikes.
16:18
Sep 03
Sep 03
Author discusses a day trading indicator's 71% win rate on SPY signals but has not taken many.
Author discusses a day trading indicator's 71% win rate on SPY signals but has not taken many trades due to a fire, so no current position is stated.
LOW
16:10
Sep 03
Sep 03
Earnings keep equity bull market intact.
The primary equity uptrend remains intact because earnings will ultimately support the market; valuations have reset lower while earnings estimates keep being revised higher, and a single quarter-point Fed move is manageable, whereas a series of hikes would be the real risk.
HIGH
16:06
Sep 03
Sep 03
Long ES_F breakout, targets 7771/7797.
Long ES_F futures. Author confirms the anticipated bullish move is playing out, with targets hit, reclaims as entries, and breakout continuation toward 7771/7797.
HIGH
15:46
Sep 03
Sep 03
The S&P 500 extends gains to over one percent on the day.
The S&P 500 extends gains to over one percent on the day, adding seven hundred billion dollars in market cap and sitting less than one percent from a new record high.
15:31
Sep 03
Sep 03
S&P 500 index gains one percent, marking its largest intraday advance since August 4th.
14:46
Sep 03
Sep 03
Contrarian bullish S&P September, parabolic to 10,000
Endorses contrarian bullish view on September strength and S&P parabolic move to 10,000, citing DaveHcontrarian's thesis.
MED
14:37
Sep 03
Sep 03
Author reports a successful long trade in ES futures with all targets hit and identifies 7733.
Author reports a successful long trade in ES futures with all targets hit and identifies 7733 as the next bull flag resistance level.
14:02
Sep 03
Sep 03
Historical data shows September has been the weakest month for the S&P 500 since 1928.
Historical data shows September has been the weakest month for the S&P 500 since 1928, with negative returns occurring more often than positive ones and average drawdowns of 4.7%.
13:37
Sep 03
Sep 03
Stocks still constructive on extraordinary earnings.
The firm remains very constructive on stocks because earnings power is extraordinary, even after four straight years of the strongest bull run in history and massive wealth appreciation.
HIGH
13:33
Sep 03
Sep 03
Author reports a profitable long position in ES futures with multiple target hits and a bonus.
Author reports a profitable long position in ES futures with multiple target hits and a bonus level, signaling strong bullish momentum for the week.
13:19
Sep 03
Sep 03
Author notes commodity, gold, and foreign asset beta formulations are outperforming.
Author notes commodity, gold, and foreign asset beta formulations are outperforming while implying most investors only own SPY, a commentary on market positioning rather than a directional trade.
LOW
13:00
Sep 03
Sep 03
Commentary on ES price targets
Trader tags next upside targets in ES futures while advising to protect gains after a strong rally, but no explicit position or forward call is stated.
LOW
12:52
Sep 03
Sep 03
Author confirms the long from yesterday's 7637 recovery is paying.
Author confirms the long from yesterday's 7637 recovery is paying, with targets hit and next levels defined, showing active bullish positioning.
12:16
Sep 03
Sep 03
Stocks can grind higher on macro
Equity markets are not showing real signs of discomfort with current yields, and as long as the macro backdrop stays constructive and supportive, stocks can continue to deliver modest positive gains, though volatility may increase around the midterms.
MED
11:52
Sep 03
Sep 03
Long ES_F above 7671 support; target upside levels.
Author provides precise intraday levels and targets for ES futures but frames them as technical watch zones rather than a directional position call.
LOW
10:54
Sep 03
Sep 03
Cramer notes oil weakness dragging S&P and Nasdaq futures down but suggests horrible openings.
Cramer notes oil weakness dragging S&P and Nasdaq futures down but suggests horrible openings are a positive sign for the market.
LOW
10:23
Sep 03
Sep 03
SPY and QQQ are experiencing massive intraday vertical pumps, ignoring bearish macro sentiment. The momentum is heavily skewed upward due to short covering, algorithmic buying, and potential Treasury bond buybacks, making betting against the trend highly dangerous. Despite retail disbelief, the trend is your friend; buying calls or riding the momentum is the only profitable play in this environment. The pump is described as a "bull trap" by some, and a sudden reversal could wipe out late buyers.
LOW
10:20
Sep 03
Sep 03
US equities resilient despite high yields.
US equities can continue to do well even with bond yields near 5% as long as growth and earnings stay resilient. Second-quarter earnings exceeded forecasts and 2027 estimates are being revised up because earnings are broadening beyond AI; the main risk would be a stagflation repricing, which is not the current base case.
HIGH
10:19
Sep 03
Sep 03
The Treasury's buyback is giving the broader equity rally breathing room. The liquidity injection stabilizes fixed income, which supports equities. Watch the S&P 500 to see if this intervention can sustainably save the market rally. The intervention may only be a temporary macro band-aid.
HIGH
About RSP Analyst Coverage
Buzzberg tracks RSP (Invesco S&P 500 Equal Weight ETF) across 208 sources. 1704 bullish vs 371 bearish calls from 975 analysts. Sentiment: predominantly bullish (23%). 5886 total trade ideas tracked. Past 7 days: 98 bullish, 10 bearish, 139 watch. Latest voices: Trevor Slaven, Fernando Ulrich, Mike Santoli.