Tune into the January installment as David and Chris talk about the stock market, investor sentiment, the likelihood of a prolonged rally or impending correction, and real estate on The David Lin Report.
Key questions and topics David asked me include:
- Is the momentum for the S&P 500 still on the upswing or is a major correction imminent?
- How is the stock market so good at enticing people to bet on the wrong side?
- What technical analysis indicators are the best to use to gain insight into investor sentiment and where the markets may go next?
- What does it mean to be a technical analyst? Why aren’t you an event-driven trader?
- Do you have open trades with your Technical Investor (TTI), Consistent Growth (CGS), and Best Asset Now (BAN) strategies at the moment?
- Are we still in the Stage Three topping complacency phase? How long could this last?
- How are you long in the market but with a bearish outlook? Is there any upside to jumping into the market now?
- Why do you think the US dollar will do well this year? When the dollar moves, what other assets will be affected?
- Is gold trading in an aligned fashion with the stock market? Will there be much volatility in the gold or gold miners this year?
- Has your outlook on investing in residential or commercial real estate changed? Why or why not?