With all this volatility I need to post a table of current conditions across all the “macro” contracts I track:
The S&P is in a negative trend both in my long term asset mix model and my short term trend following model (no surprise).
With all this volatility I need to post a table of current conditions across all the “macro” contracts I track:
The S&P is in a negative trend both in my long term asset mix model and my short term trend following model (no surprise).