Yet another bit of feedback. Everyone is telling me the same thing: Entering an oversold position because of fears over china and oil. I think it has a few more weeks to play out. I am having trouble undrestanding why vaporizing institutional portfolios, and chaos in the international political debt cycle are going to affect consumers, or fundamentals. Usual suspects are quiet. So I’m sticking with it will level out soon and we will have a recovery once the stress wears off. (watch me be wrong…fuk)
Source date (UTC): 2016-01-20 18:11:00 UTC
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