Argus

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May 28, 2026

Sector(s)

Communication Services, Financial Services, Consumer Cyclical

Summary

As earnings season draws to a close, the insider-sentiment data from Vickers Stock Research suggests that corporate executive, directors, and beneficial owners are in an increasingly positive mood. Yes, short-term worries exist: a new Fed chairman, a still-lingering war in Iran, a recent pop in inflation, and midterm elections that are just around the corner. But also in play is an earnings season that by almost every metric was rock solid. On a scale where readings below 2.00 are bullish, readings between 2.01 and 6.00 are neutral, and readings above 6.01 are bearish, the current NYSE Eight-Week Sell/ Buy Ratio from Vickers is 3.72, which compares to 4.26 last week and 4.88 the week before that. The current Nasdaq Eight-Week Sell/ Buy Ratio is 5.11, which compares to 5.43 last week and 5.57 the week before that. Finally, the Total (all exchanges) Eight-Week Sell/ Buy Ratio is 4.47, which compares to 4.91 last week and 5.23 the week before that. That is progress on all fronts.  Drilling down to insider sentiment by sectors, long-term ratios were unchanged over the past week, with all sectors retaining their ratings from last week. Five sectors boast bullish sentiment (Consumer Staples, Financial, Healthcare, Real Estate, and Utility), five sectors have neutral sentiment (Communication Services, Consumer Discretionary, Energy, Industrial, and Materials), and one sector sports a bearish reading (Information Technology). From a shorte

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TWLO

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