Tag Archive: BUILDING A CURRENCY DIVERSIFIED ASSET PORFOLIO

LAST WEEK’S BIG LESSONS FOR THE COMING WEEK: Ramifications, Actions

A brief weekly strategy guide for investors and traders of all markets and instruments, spot market, ETF, and binary options     Markets Awaiting Central Bank Salvation 3 Reasons They Could Be Disappointed… Continue reading

THE PRIOR WEEK: Biggest Market Mover Was The Least Reported

The Biggest News Was What Didn’t Happen, Why, And Its Implications There were three primary market moving events for the week ended Friday August 3rd, 2012. First, here’s a quick look at the… Continue reading

SORRY MARIO, HERE’S WHY THE EU IS FINISHED

In 5 easy pieces Cut past all the talk Here’s a helpful reminder, after ECB President Draghi’s latest attempt to jawbone markets higher and restore calm about the EU. Cut past all the… Continue reading

JULY 17, 2012 INTERVIEW TRANSCRIPT PART 1: WHY WORRY ABOUT CURRENCY TRENDS? HERE’S WHY

The following is part 1 of an interview I gave on http://www.moneyradio1510.com on the program Hey Jim with one of Phoenix’s top CFPs, Jim Graham, on Basic FAQS For US Investors Regarding What… Continue reading

7 CHARTS TELL WHY WE ALL NEED CURRENCY DIVERSIFICATION

WHY WE ALL NEED TO DIVERSIFY BY CURRENCY EXPOSURE AS WELL AS BY ASSET AND SECTOR & SIMPLER, SAFER SOLUTIONS-FOR BOTH INVESTORS AND TRADERS Just as any prudent investor diversifies by asset and… Continue reading

COMING WEEK MARKET MOVERS: 6 EVENTS TO WATCH, 8 EU SUMMIT GOALS

Let’s cut to the chase. There are 6 key things to watch this week. The EU summit is likely the big one. Forget all the talk. Here are 8 things it must accomplish,… Continue reading

PRIOR WEEK MARKET MOVERS, ANALYSIS & LESSONS: WHY EU REALLY IS DOOMED

Below we review the prior week market movers and summarize why the EU really is doomed without some radical changes in policy, (none of which are likely to occur quickly enough, if at… Continue reading

COMING WEEK: 7 THINGS TO WATCH, 6 TO FEAR

Why the world will look different this time next week   The following is Part 2 of our weekly review and preview strategy guide for traders and investors of all major asset classes… Continue reading

THREE REASONS TO PANIC ABOUT SPAIN, EU, AND RAMIFICATIONS

Lessons from the prior week’s market movers While concerns about Greece, Italy, and China loomed in the background, the two primary market movers last week were: Lack of Confidence In The Spain Bank… Continue reading

COMING WEEK MARKET MOVERS: SPAIN AND 3 OTHER SOURCES OF PANIC

Ignore the mainstream media; there is NO credible Spain rescue plan. There are 2 other things to keep you on edge, and 3 other potential market movers just in case markets don’t wake… Continue reading