How To Prepare For The Coming Year
Jimmy Connor of Bloor Street Capital and I sat down to discuss what to expect for the end of Q4 and the upcoming year.
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Key topics and questions Jimmy and I talked about include:
- A recap: What has changed since our last discussion to now?
- S&P500: Analyzing the chart, is there a target I use on the S&P?
- January: Why do I have some concerns about the month of January?
- Nasdaq: Looking at the chart, is there still a concern for a double top?
- Nvidia (NVDA): After reaching $152, what are my thoughts?
- Microstrategy (MSTR): What are my thoughts on going all in on one asset?
- Buffet’s Moves: Warren Buffet going big into cash usually means something big lurks around the corner.
- Bitcoin: Why did I get into a Bitcoin ETF for the first time in over a decade?
- Interest Rates (TLT): Looking at bonds, what is the chart telling me?
- Oil: If oil breaks the critical $65-66 level, what will happen next?
- Energy Stocks: Reaching back to previous highs and diverging from oil, what does this indicate?
- Natural Gas: There is a lot of positive commentary around this asset. What do the charts say?
- Gold: Why am I bearish on gold?
- Silver: What are my thoughts on the silver?
- Ratios: Do you use them, and if not, why not?
- Opinions and Emotions: The danger of having an emotional-based bias.
- Uranium: The commodity is not doing well, but the stocks are. What does this mean?
- Focussing on one asset: The risk of following one asset vs following many.
- Overall Market: Do you see any similarities now to what happened back in 2019-2000?
- Canadian Economy: What’s my take on the trajectory of the Canadian economy and real estate?
- Currencies: The higher the US Dollar, the less people want to convert their funds, travel to the US, or buy anything.
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Disclaimer: None of this material is meant to be construed as investment advice. It is for education and entertainment purposes only. The video is accurate as of the interview date but may not be accurate in the future.