Are we in markets that we should be buying the breaks or should we be selling the rallies? How much upside potential is out there if a perfect storm develops with all of the variables that are out there? What about downside risk; is it still possible to see a 2008 like breakdown?
I don't know for sure; nor does anyone; so if one is looking to marketing grain and have a plan the best choice is still probably risk management and in volatile markets that means risk diversification thus perhaps making sales in smaller increments then normal.
Here are a couple charts to help one decide if it is sell the rally time or buy the break time.
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