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 ...
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 ...
“Stagflation, trade war, end of U.S. exceptionalism drive ‘bull ... Bank of America team. A recession, meanwhile, would drag ...
On the opposite end of the spectrum, the average economic expansion has endured for around five years. Over the last eight decades, there have been two growth periods that surpassed the 10-year mark.
March proved to be the wildest month for the U.S. stock market, given the ongoing trade uncertainty under the new ...
"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 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 ...
1. The U.S. is not headed into a recession: Investors are selling stocks because they worry a recession is coming. They're going to be wrong. Stocks will resume an uptrend once this becomes more ...
It came as BofA ... near extreme bear/close-your-eyes-and-buy levels.” On that note, Barclays said retail participation in ...
"Regardless of a bull or bear market, alpha is generated by riding those charts ... "We think we're off to a good start for ...