Strategies
3498 posts
The great American writer was famously “more concerned with the return of my money than the return on my money.”
The markets remain overwhelmingly positive, with our ETF composite at 95.34% positive and the DJIA components at 86.67% in our system’s assessment. It is always good policy to realize that when stocks reach a point where there is little left to the upside, to look for signs of a slow-down. […]
At the end of September, I resumed my short Barclay’s Bank iPath S&P 500 VIX Short-Term Futures (VXX) – long Barclay’s Bank iPath S&P 500 VIX Mid-Term Futures (VXZ) strategy. Mid-term VIX futures (VXZ) were less elevated and provided a better hedge for VXX. I will hold this pair through October as […]