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Updated Nomura charts. Charlie seems to think we're already -G.https://www.zerohedge.com/markets/real-selling-begins-ctas-start-liquidating-dealer-gamma-flips-negative …
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We are traders. We do not predict. We find repeatable patterns in the market that lead to favourable results OVER A LARGE SAMPLE SIZE. That means we have no idea if a single trade will be profitable or not. Nor should it matter. We react to what happens and execute.
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#Dollar and#commodities are inversely correlated. The phase of the cycle can be favourable to commodities and the US-Iran tensions have given another boost to gold and oil. Interest rate differential between USD and other currencies has decreased and the are no funding tensionpic.twitter.com/XAB1Tj1Knp
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One common mistake new traders make is they apply fundamental analysis to shorter time frames where in general only technicals matter. The broader macro picture for a picture company or commodity is basically irrelevant in time frames under a week and all that matters is price
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At the end, only hte QUALITY factor beats the S&P 500 this year https://koyfin.com/s/6E37KtK1jr pic.twitter.com/JbbPjri6gs
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Best countries to invest in, 2019. 1. Uruguay 2. Saudi 3. Costa Rica 4. Luxembourg 5. India 6. Poland 7. Qatar 8. Vietnam 9. Slovenia 10. Chile 11. NZ 12. Latvia 13. Malaysia 14. Singapore 15. Denmark 16. Russia 17. Lithuania 18. Indonesia 19. Italy 20. Brazil (US News)
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Gold COT - Anyone who knows how COT works.. knows that Gold is not going to new highs from here. Whether that means it'll just be a ST pullback or a complete reversal to new lows will remain to be seen. But, a sizable move lower is coming soon. Period.
$GC_F$GLDpic.twitter.com/Sj9SyKAviE
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I don't get the yield curve obsession & esp using it as a bear indicator From everything I've read it is the exact opposite...it is a near term very bullish signal. The news sells fear & focuses on the historical negatives after that. Get long, make 25% then go to cash or short
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JUST IN:
#China#Retail sales up 7.2% y/y in July, vs prev 9.8%, exp 8.4%;#Industrial output up 4.8%, vs prev 6.3%, exp 5.8% Fixed-asset#investment up 5.7% in Jan-Jul, vs 5.8% in Jan-JunPrikaži ovu nitHvala. Twitter će to iskoristiti za poboljšanje vaše vremenske crte. PoništiPoništi -
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Nomura Managing Director Charlie McElligott, who has called a number of big market moves this year, explains why he sees a rally aheadpic.twitter.com/0HJfmhDdsA
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Pain Train's coming for the Gold Long crowd...
just sayin..
https://twitter.com/CEOTechnician/status/1159923839951921158 …
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Equity sentiment has collapsed: Nomura - Hmmm. Only takes one day - Waiting for the bulls to capitulate and flip - Then, bullish time https://twitter.com/zerohedge/status/1158773999058522114 …
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I thought I'd never see the day, but Greek 10-year yields are about to drop below U.S. 10-year yields. A difference of only 6 basis points
#brokenmarketspic.twitter.com/Te0UFZGcI0
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Leveraged bet on a higher
#gold? Junior gold miners is probably what you want to buy nowpic.twitter.com/E2492XCDOQ
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It’s official. US 30-year yield just inverted vs. the Fed funds rate! Same warning ahead of the GFC, tech bust, Asian crisis, S&L crisis, and 1980’s double dip recessions. The only false signal, 1986. We now have the entire US Treasury curve below the Fed overnight rate.pic.twitter.com/P8sDJ5KVpO
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A collapse in liquidity would be the greatest risk to quantitative strategies https://www.bloomberg.com/news/articles/2019-06-05/liquidity-breakdown-is-biggest-concern-in-jpmorgan-quant-survey … via
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Here are the returns for various markets since the trade war began on January 22, 2018. Spot the odd one outpic.twitter.com/6tvgZxkI4c
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Six Common Traits of Profitable Tradershttp://www.newtraderu.com/2019/05/17/six-common-traits-of-profitable-traders/ …
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Invest in the
#SPY only if#VIX is below a certain level? We have considered weekly data from 2004 to today and invested in SPY only if VIX closed the previous week below the following levels. Max VIX weekly closing during the period considered was 79%.pic.twitter.com/8JEdy8k9KK
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