Monthly Archive: December, 2012

THIS WEEK’S 7 SOURCES OF PAIN OR GAIN – BE PREPARED

They Can’t Hurt You If You Are 1. FISCAL CLIFF HEADLINES With EU crisis risk considered minimal in the coming weeks, the fiscal cliff negotiations present the biggest new recession threat to the… Continue reading

PRIOR WEEK MARKET MOVERS: LITTLE MOVEMENT, BIG LESSONS & FISCAL CLIFF IMPLICATIONS

First, here’s a summary of the big themes and market movers of the prior week. As the weekly chart of the bellwether S&P 500 shows, risk asset markets closed the week slightly higher… Continue reading

THE ONLY REASON TO SHORT GOLD

And The Bigger Lesson Implied Gold’s loss of momentum in the past months has predictably brought out calls to short gold. Here’s a brief guide to whether you should consider or ignore these.… Continue reading

EURUSD FORECAST FOR THE REST OF 2012: ANY UPSIDE LEFT?

The primary bullish and bearish considerations     Based on fundamental news, the past week should have been great for the EUR.   Latest Greek aid deal approved Spain bank bailout clears EU… Continue reading

COMING WEEK: 9 REASONS THE 1% ARE BEARISH

Part 2: Coming Week Market Movers The following is Part 2 of our weekly review and preview strategy guide for traders and investors of all major asset classes and global markets – see Part… Continue reading

PRIOR WEEK MARKET MOVERS SUMMARY: CALM BEFORE THE STORM

Part 1 of Weekly Review/Preview: Prior Week Market Movers & Their Lessons For the Coming Week The following is a weekly summary and strategy guide for traders and investors, covering prior week’s market… Continue reading