The BofA Bull & Bear Indicator also rose to 5.4 from 5.3 on high yield bond (NYSEARCA:PHB) inflows and improving global stock index (XWD:CA) breadth. BofA strategists said that President Donald ...
A fall to a 2 from 5.2 in BofA's Bull & Bear Indicator triggers a "buy signal". Global equity allocation tumbling by +20pp in a month, from +35% in February. U.S. high-yield corporate bond spreads ...
In a new note to clients, BofA's Michael Hartnett and his global equity strategy team provide some great US stock charts that go way back. They highlight the three greatest bull markets in the ...
Bull markets last longer than bear markets, providing extended growth opportunities. Bear markets are shorter and can offer good investment entry points. Investing steadily through market cycles ...
"Stagflation, trade war, end of U.S. exceptionalism drive 'bull crash ... contrarian indicator. Related: Don't do anything about your 401(k) until Tuesday The Bank of America team themselves ...
The slump in US stocks is likely to prompt policy intervention from President Donald Trump as well as the Federal Reserve, Bank of America Corp ... not a bear market in US stocks,” the ...