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By John L. Caiazzo |
May 19, 2013
With political waves in the United States amid a struggling recovery, the markets could be vulnerable to a breakdown.
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By John Caiazzo |
April 22, 2013
We continue to warn investors of an impending major correction in equities and to implement hedging strategies as soon as possible.
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By John L. Caiazzo |
April 14, 2013
Economic data drove markets this past week, while secondary concerns continue to be the back-and-forth information on North Korean intentions.
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By John L. Caiazzo |
March 19, 2013
North Korea's hostilities create wild card that could drive market volatility across the board for some time.
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By John L. Caiazzo |
November 18, 2012
Markets have historically reacted to geopolitical as well as economic news. This past week has provided investors and traders with both.
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By John L. Caiazzo |
September 23, 2012
The European debt crisis and the grinding recovery in the U.S. housing market continue to stifle any real economic recovery.
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By John L. Caiazzo |
August 19, 2012
With the election season upon us, the markets are left to wander amid a race that could go either way.
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By John L. Caiazzo |
August 5, 2012
The markets had a lot to chew on last week, with some positive economic data and stirring comments from European Central Bank head Mario Draghi.
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By John L. Caiazzo |
July 29, 2012
The stock market rallied strong to close out last week. However, reality will soon catch up to the expectations-fueled euphoria.
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By John L. Caiazzo |
July 15, 2012
Friday the 13th offered some respite to investors who have been beaten down by a weak employment situation and suspect economic reports.