StockCharts TV: June 6th, 2025

Chief Market Strategist and Portfolio Manager John Kosar, CMT at Asbury Research, breaks down why the S&P 500’s 11.2 % surge since April 24th, and four green signals on his Asbury Six model point to more upside — despite all the geopolitical noise.

John’s focus today is on the big April rebound in the US stock market, and what that means for market direction during June and potentially into the 3rd Quarter.  Despite a steady stream of mixed if not conflicting messages coming out of Washington regarding tariffs, trade wars, inflation, and interest rates, which have handcuffed many  companies from expanding their operations or hiring new employees, the market has remained strong, driven by leadership in all the right places.  This could be because the US stock market, which at its core is an incredible discounting mechanism, is learning how to exist within the current geopolitical environment by not jumping at every tweet or comment coming over the newswires.