S&P 500 Daily Perspective for Wed 31 Dec 2025
GDR Model Performance
Please see the Performance page for more detailed performance numbers, how they’re calculated, and a chart.
For the fine print (a.k.a. the lawyer-approved stuff), don’t miss the Disclaimers section—it’s where all the “officially important” bits live!
GDR Model Outlook
Overall Outlook (as of 30 Dec 2025): BULLISH. The model is bullish, which means that, according to its framework, the odds of continued upside are relatively high.
Fundamentals Outlook (as of 24 Dec 2025): Fair Value/Rich. The model has adjusted valuations slightly upward following the release of new data. Going forward GDR Model positioning should tactically tilt a little more towards the long side, all else equal. Note that this is just a barometer to help guide longer-term decision-making rather than short-term market timing.
Long-Term Outlook (as of 26 Dec 2025): Bullish. The market remains strong on the long-term timeframe.
Short-Term Outlook (as of 30 Dec 2025): Bullish. The market remains strong on the short-term timeframe, but at this point there seems to be some indecision.
Breadth Outlook (as of 30 Dec 2025): Neutral. Breadth has improved back up to neutral. The recent back and forth here corroborates the indecision the model is picking up on in the short-term.
Volatility Outlook (as of 30 Dec 2025): Calm. Even though the recent back and forth has been entirely between positive categories (calm and stable), it’s still something to note…
GDR Model Position
The market has been strong for several week and as such, the GDR Model is holding a significant long position.





