Week Ahead by Bloomberg.
Wall St. Week Ahead by Reuters.
Weekly Economic Calendar by Briefing.com.
BOTTOM LINE: I expect US stocks to finish the week mixed as commodity weakness, rising European/Emerging Markets/US High-Yield debt angst and global growth concerns offset bargain-hunting, short-covering and seasonal strength. My intermediate-term trading indicators are giving neutral signals and the Portfolio is 25% net long heading into the week.
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