Unicredit Markets correction
At this stage it 'easy to misunderstand the trend, as the geopolitical events could affect the decision-making phases of all investors ... however, if all goes as now (in overbought market crisis libya-earthquake-no good news) will continue 'to get off! if you noticed the market 'was in distribution, now in my opinion would either have to fix
around 8% and of short duration (max a couple of weeks)
careful 'cause in these cases, the market tends to open with huge gap down and then back a bit' to trigger the stop loss! therefore to be preferred positions and a few large pieces!
to sell Gold and Commodities
to buy the bag down in the final stage
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