By Brett Eversole The U.S.
he U.S.
Risk assets are in a strong cyclical (12-18 months) Bull Market with meaningful upside for Stocks, Commodities and Yields. The S&P 500 is …
By Charles Hugh Smith I have covered the many reasons why the U.S.
By Nathan McDonald Another boom and another crash. The story of Bitcoin has been a roller coaster ride of rises and falls, to …
By Matt Woebkenberg The old investing adage “Buy the rumor, sell the news” comes to mind following the “Trump Rally” to end 2016. …
Summary The upsurge in sentiment post-election means equity prices are dependent on underlying fundamentals. Expect more volatility, and more subdued returns in equity …
By Jay L. Zagorsky My outlook for 2017 and beyond is that the U.
Briefly: In our opinion, speculative short positions are favored (with stop-loss at 2,330, and profit target at 2,150, S&P 500 index). Our intraday …
In thin holiday markets, a correction to the trends seen in Q4 has materialized. The US dollar is heavy.