Zooming out a bit on most macro charts I look at, nothing seems to have changed for months: stocks, commodities, bonds, DXY etc. all going nowhere. The banking crisis (or better: mini-crisis?) saw a bit of a resurrection this week but the market doesn't seem to care much. Tech earnings surprised but the OPEC cut tells the story about global growth/demand, and metals confirm it. Equity sectors look better than I thought last week, and stocks are trading way stronger than they ""should"". Honestly, I'm confused but I suppose I'm not the only one.