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I will go to my grave... believing that really loose monetary policy greatly contributed to the Financial Crisis. There were obviously problems with regulation, but when we had a 1% Fed Funds rate in 2003 after, to me, it was pretty obvious that the economy had turned (up) and I think the e...
Introduction The Weekly Breakout Forecast continues my doctoral research analysis on MDA breakout selections over more than 5 years. This subset of the different portfolios I regularly analyze has now reached 148 weeks of public selections as part of this ongoing live forward-testing. In...
By Chris Turner, Global Head of Markets and Regional Head of Research for UK & CEE Aggressive easing from the Bank of England and presumed budgetary support from the UK government later is welcome coordination at a national level. Yet there seems little prospect of anything similar ...
The current market is the most volatile one we have seen in a long time. Last Monday was perhaps the most volatile day since 2008. Flow Traders ( FLTDF ) just happens to be a company that profits from market volatility. You can find my first article on the company here , which provides import...
Back in October of 1987, I was one year into my job at Leland O'Brien Rubinstein ((LOR)), the firm that was later accused of having caused the biggest stock market crash in modern times (that's a story for another day). On Sunday night, October 18th, I remember thinking "tomorrow is going to b...
By Leo Chen, Ph.D. The S&P 500 dropped 11.5% the week before last week, the fastest correction in its history. The Dow Jones Industrial Average had two 1000-point drops in that week; the Dow also had four days with 1000-point intraday swings in the past two weeks, making it six out of ...
Introduction The Weekly Breakout Forecast continues my doctoral research analysis on MDA breakout selections over more than 5 years. This subset of the different portfolios I regularly analyze has now reached 147 weeks of public selections as part of this ongoing live forward-testing. In...
In my oft-repeated "Wall of Worry" chart, I've been using the Vix Index divided by the 10-yr Treasury yield as a proxy for the market's level of worry. With 10-yr yields now down to record-setting lows (0.75% as of this writing), putting the 10-yr in the denominator slot makes it the dominant ...
When I listen to the talking heads on the business news channels I chuckle. One says it’s a buying opportunity, another says don’t go near this market. They all put some narrative to their instincts, but as you cut through it, there’s not much underlying insight. They...
The Coronavirus (Covid-19) is spreading, and panic is spreading throughout global markets. Unfortunately, it's difficult to know whether this will be a true pandemic or just a panic. We'll know more before too long, but I was encouraged Tuesday morning to read in a Reuters article that ...
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2024-05-15 22:30:00 ET Stock Traders Daily has produced this trading report using a proprietary method. This methodology seeks to optimize the entry and exit levels to maximize results and limit risk, and it is also applied to Index options, ETFs, and futures for our subscribers. This...
2024-05-06 04:26:00 ET Stock Traders Daily has produced this trading report using a proprietary method. This methodology seeks to optimize the entry and exit levels to maximize results and limit risk, and it is also applied to Index options, ETFs, and futures for our subscribers. This...
2024-04-10 09:02:03 ET ProShares Short VIX Short-Term Futures ETF (SVXY) announced stock split at a ratio of 2-for-1 on 2024-04-11 ... Full story available on KlickAnalytics.com