in 2008, high yield b rated bonds went as high 22% in the peak of panic. This also coincided with the peak of panic for stocks. Quality high growth potential stocks sold for fantastic prices and valuations. And it makes sense to not make sense this way. Bonds are debt, and must get paid first as part of normal business operation. Equity gets the excess profits...
Why We Rallied It's been a strong few months for the S&P 500, which is up about 13% from the October lows. There were five reasons for the rally: 1) P/E ratios got attractive, especially for small-to-mid caps. 2) Inflation peaked, which historically has sometimes marked the bottom for stocks. 3) Global liquidity turned upward. Every major bond market was...
FX:AUDJPY Witam, Sentyment : risk-off envoirement, inflationary. Fundamentalia : migracja kapitału - wyprzedaż High Yield (CAD, NZD, AUD), kupno save-havens. Chart pattern : Head & Shoulders. TF : H4-H1. Wejście : po retescie neckline + price action + MACD confirmation + CCI 20 0 line overbought retest. Wyjście : luzowanie polityki monetarnej FED...
The Corporate bond market got extremely oversold and it bounced without the Fed having to pivot. Essentially the market got to 2013-2018 levels, and bounced nicely at the old support. But we still don't know whether the bottom is in or now, as there are more questions that need to be answered, like: Does the market expect the Fed to reverse course soon? Does the...
Idea for HYG: - Top of the range, rising wedge. - Short TP1: 77. - PT 67. GLHF - DPT
or we blow on right through? we shall see #DEFI high-interest savings product 37.3% APY for long-term contracts (greater than 5.4 years) lower APY's for shorter terms higher APY's for larger terms. 1 token would turn into nearly 6 tokens at that APY for 5.4 years. with likely #price appreciation Why #Trade? It's the Best #HODL product I know of open to...
RSI gave the earlier signal with the bearish crossover, MACD did the additional confirmation. It was important to see the price action as well. Recent highs were sold and Yesterday we finished in negative territory. Volume spike suggests that there was profit closing with an attempt to buy the dip. Selling is minimal, though if the picture continues to deteriorate...
In today's #marketinsights video recording I analyse #gbpchf and #audjpy minors! Both pairs are showing an identical pattern and are indeed influenced by: AUDJPY - Tradewar tensions but latest from positive developments on the back of a potential partial deal Chinese are willing to do - Positive Home Loans in AU and negative BoJ Corporate Goods Price Index...
We chose this REIT as it has low P/E ratio 9.31 and price is flat however it is good to time entry. Great opportunity to buy this stock right now as RSI hits oversold territory. Since 2017 this stock is trading between 6.8 USD - 5.45 USD. We recommend you to buy this stock as it has dividend yield 13.47% per year and current price is appropriate for the first...
As can be seen on its weekly chart, the $HYG appears to be sending a warning signal. On a technical basis, a "Shooting Star" pattern has emerged, coupled with negative divergence in the SMI and RSI indicators. To us, it appears that high yield bonds are sending a signal that its rallying may be getting a little stretched. We would caution investors to tread...
NOTE : The low risk trading area reamains higher in the context channel (the gray ribbon) but we're signaling overbought on the trendchannel... This may be a concern if the market reverses here... Cause reversing on trendchannel means there will pbly be a trend trade to come right after... Not the best case scenario for stock though if junks were about to break...
Risk off in US corp debt could suggest a larger slowdown.
The price is still in correction stage after post income and people are undecided. However, dividend is increased by $0.05 compared to last year and it is almost dividend date. This should push the undecided people to buy. Also I notice recently energy and natural gas company price dropped but this does not and I think this is the lowest for these few months. I...
WDC has great valuation and yields here, I entered a half risk position here using a 3 ATR stop loss. Will be looking to add if it shows signs of strength. You can see how the key earning support levels from 2009 to 2012 align in this zone, and how good the valuation is. WDC is well positioned in its market, and has hit a level where I estimate it can see...
High Yield Equity (DVY) broke below the since-2009 purple line today.