Tag Archives: World

Correction done? Don’t bet on it!

On March 20th, I published the following quote in my regular money.ca blog entitled: Reacting to headlines is perilous! Most worrisome: Jim Cramer (wait long enough and you’ll eventually be right) is more wound up than a four-year old high … Continue reading

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Stocks & Bonds…the next 100 years.

Trying to determine investment strategy hinges on a seemingly impossible exercize.  Namely, predicting what the world will be like.  The most important metrics are interest rates and real rates of return for the more critical asset class alternatives.  Despite our … Continue reading

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Move into equities and QUICK! Sell HI & Buy LO!

For the cynics (the ‘wait-and-see’ crowd) this table should be an eye-opener.  Just to recap: On Sept 29th I posted Asset Allocation points to RALLY! On November 17th I recommended Euro-Crisis is just noise – BUY American! Forget the headlines … Continue reading

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