Thursday, June 26, 2014

Summer Rotation Concepts - Buy Risk and Sell Safe Dividend Stocks

What happened to Sell in May and Walk Away.    I think there is just too much money on the sidelines and just too much interest in the market.    If not the US Equity Market than what?   
  • International Opportunities:
    • Ukraine (political risk)? 
    • Eqypt (political risk)?
    • Turkey (corruption risk)?
    • Iraq (risk everywhere)?
    • Syria (political risk)?
    • China (real estate risk)?  
    • Argentina (debtor risk)? 
  • Bonds? (risk of interest rates rising)
  • Commodities ?(overall there is not enough demand yet)  Some exceptions like AA.    Also, there are signs of inflation here so this area could be good soon, but not now.
  • Real Estate (the big rises have already happened)?
  • Gold (unless Saudi Arabia and Iran start squaring off over Syria and Iraq or there is always Ukraine or the steadies like North Korea etc.)?
  • What is left?   US EQUITIES
The main risk moving forward is a correction originating from a Fed Rate Hike and International Issues.    I would view both corrections as a buying opportunity still.    Also, I am planning to reduce my % cash available soon as well. 

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