I have to admit; an index of market capitalization, as compared to an average of share prices is the way to go. That was until the market...
A market highly leveraged with margin debt, is a market at risk for forced selling into a down market. During a really bad day in a...
As the FOMC reduced its “liquidity injections” in February, market valuations began deflating. And then this week, following a huge reduction in the FOMC’s balance sheet, the...
There are plenty of countries out there with significant US Treasury Bond holdings, and China's right up there with the biggest. And while their holdings peaked...
As August 2022 is about to begin, the stock market has outperformed commodities for the past three decades. The stock market had a good July, and...
As is the next time the NYSE’s 52Wk H-L Ratio sees a -90% day, it will signal at best only a short-term trade to the upside....
Too many investors see extremes, such as this, as a reason to give up hope; that thing will never change, and so they give up. Thinking like...
Since May 26th Mr Bear has been a very bad bear. We’ve seen three NYSE days of extreme market breadth in the past month. During bull...
A big problem with the financial stocks, and major concern for the FOMC is the bear market in bonds continues unabated. Since last December, this T-Bond’s valuation...
But for myself, a mere market enthusiast who spent years compiling data sets from the dusty old pages of Barron’s, knows rising bond yields are actually...