Weekly Economic Update 11-11-2016

Finally the waters have subsided and I’m excited to get back to focusing on the economy and the markets so we can make some smart moves back into the equity market. In this update I am going to share with my my investing lessons from the election, how fiscal stimulus affects the economy and what positions we are looking to take and when. In addition we will cover macro economic indicators, S&P 500 support levels, bond price analysis, US Dollar support levels, gold price analysis and the moving average charts.

Weekly Update (14 min):

  • Investing Lessons from the Election
  • Analysts Are Wrong Again
  • Trading vs Investing
  • Flash Crash
  • Fiscal Stimulus & Inflation
  • Target Buy Points

Bonus (12 min) –

  • S&P 500 vs M1 Money Stock
  • iShares 20+ Year Treasury Bonds (TLT) vs M2 Money Stock
  • S&P 500 Support Levels
  • iShares 7-10 Year Treasury Bond Price Analysis
  • US Dollar Support Levels
  • Gold Price Analysis
  • S&P 500 vs % of S&P 500 Stocks Above 50-day MA
  • S&P 500 vs % of S&P 500 Stocks Above 200-day MA
  • S&P 500 vs Equity Put/Call Relative to its 20-day MA