- 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
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?
Wednesday, May 14, 2014
Sold 100 EEM
Seems like geopolitics is abnormally quite currently. Cant be quite for too much longer.
Thursday, April 10, 2014
A Bear Market in Search of a Reason to Go Down
I remember sending myself a reminder to sell ADSK about 6 months ago based on the charts. It certainly feels like the technicals are waging this market. Now we just need some fundamentals to justify the bear market.
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About Me
- Mark
- I have a passion for investing and surfing.