The nearly 10 percent decline that occurred in the S&P 500 in the three weeks to mid October has quickly become a distant memory as investors have rushed back into stocks. The recovery in the last nine trading sessions has carried the blue chip index to little more than 2… Read More
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Analyst Articles
Maintain your position in the iShares 20+ U.S. Treasury Bond ETF (TLT) January 116 put option. Bond yields have ticked higher in the last several sessions and our bond market model signals that they’ll climb higher still in the weeks ahead. There’s no change to our buy recommendations for NovaGold… Read More
Average Annualized Return Per Closed Trade: 34.6% Average Return Per Closed Trade: 20.2% Average Holding Period: 226 days This week we take a look at the quarterly results of two of our real-estate-related recommendations. Read More
Stocks are climbing for the fourth consecutive day, bouncing back from their biggest correction in three years. Investors have shrugged off weak earnings from prominent names such as Coca-Cola and International Business Machines, seeing their problems as company specific rather than indications of systemic issues. Most notable about the market’s… Read More
We’ve held off on taking a long position in equities, but will do so if our indicators improve further. Sit tight, another trading opportunity likely isn’t far off. Hold on to your position in the iShares 20+ U.S. Treasury Bond ETF (TLT) January 116 put option. Bonds are overbought as… Read More
Average Annualized Return Per Closed Trade: 34.6% Average Return Per Closed Trade: 20.2% Average Holding Period: 226 days Stocks ended what the choppy week on a high note. The S&P 500 rallied 1.3 percent and the Dow Jones Industrial Average snapped a 6-day losing… Read More
Buyers have returned to stocks today after three weeks of selling that pushed U.S. shares to their lowest level since May and brought the S&P 500 below its 200-day moving average for the first time since November, 2012, an unusually long stretch without such a pullback. The decline was set… Read More
As for where the markets are headed, we’ve yet to see a favorable reading from our indicators for stocks. We therefore will continue to wait and watch for good trading opportunities to develop. We may have jumped the gun on Friday when we closed out our position in the Amazon… Read More
Average Annualized Return Per Closed Trade: 34.6% Average Return Per Closed Trade: 20.2% Average Holding Period: 226 days Volatility has returned. After a remarkably smooth ride, in five out of the last seven trading sessions (not counting today’s action), the S&P 500 has swung up or down… Read More
Sell to close the Amazon (AMZN) April 320 put option at the market. My stock indicator, while still showing a bearish inclination, has become more positive lately, suggesting stocks may turn up shortly. While we think Amazon (AMZN) is a long-term short, we recommend selling to close the put… Read More