Momentum investing education, strategy updates, and market analysis from the SignalStrike team.
A hot June 2026 inflation print and a hawkish new Fed met narrow, earnings-backed momentum leadership. How a systematic framework reads the tape.
Residual momentum ranks stocks by the return not explained by factor exposures. Why that produces a cleaner signal, and how to screen for it.
How SignalStrike's founders' momentum baskets performed in May 2026 against the S&P 500, Nasdaq 100, and S&P 500 Momentum ETF, with full methodology.
Risk-managed momentum scales exposure to the strategy's own volatility. How it changes drawdowns, and how cross-sectional and time-series methods differ.
The most-cited momentum papers, summarized — what each study actually found, where they disagree, and which findings still hold up in live markets.
Value and momentum are negatively correlated — they shine and struggle at different times. Why combining them has produced steadier results than either alone.
Momentum crashes are sudden, severe losses that usually strike right after a market panic. When they occur, what drives them, and how to manage the risk.
Momentum investing means owning what's trending up and trimming what's lagging. Learn how the momentum factor works, why it persists, and how to apply it.
A momentum sleeve is a small active allocation beside a passive core. What it adds, how to size one, and the risk trade-offs to weigh before you do.
Start with a free account or schedule a demo with the founding team.