The first quarter of 2015 is likely to remain volatile, according to the latest Asset Allocation Review from Bloomberg’s Technical Strategies team, and bonds and gold should outperform as a result.
Andrew Burkly, Portfolio Strategist at Oppenheimer, discusses the VIX Divergence Indicator and how it can be used as part of an equity risk model.
USDNOK is on the brink of a major fall, according to Chris Williams, Senior Broker at Newedge.
Brent crude is looking very bearish, but seasonal cycles may result in a recovery from around now, according to David Linton, Chief Executive at Updata.
10 Year Treasury yield forecasts are too high, according to Ari Wald, Technical Analyst at Oppenheimer.
Peter Lee, Chief Technical Strategist at UBS in New York, gives his technical outlook for 69 large cap stocks.
Despite the surprise move from the SNB last week, not much has changed in world equity markets from a technical perspective, according to Andy Dodd, Head of Technical Research at Louis Capital Markets.
Market conditions have moved even further in favour of large- over small-cap stocks, according to Andrew Burkly, Portfolio Strategist at Oppenheimer.
After an extended multi-month sideways consolidation, gold has registered bullish breakouts against a number of currencies, says George Davis, Chief FIC Technical Analyst at RBC Capital Markets.
Two competing technical patterns have developed for the S&P 500, according to Peter Lee, Chief Technical Strategist at UBS in New York. He thinks that whichever pattern wins out will be decisive in deciding the next directional trend.