Seth Golden | TalkMarkets | Page 3
Chief Market Strategist
Contributor's Links: finomgroup.com
After 20 years in the retail and consumer goods sector, I became a research analyst and market strategist for Capital Ladder Advisory Group. Since 2011, I have published some 400+ articles surrounding mainstream retailers like Bed Bath & Beyond, Target, Costco and more. I've covered ...more

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Bullish Breadth & Squeezing VIX: Weekly Nifty 9
A bullish trend persists as bull breadth validates the trend. A rise in VIX "squeeze" chatter presents some angst for investors given the depth of the VIX complex.
Princely Returns For Investors Going Forward?
Detailed analysis of the Q1 macro-market. Everything from market breadth to economic data analysis to help investors better navigate market price fluctuations and drown out the noise.
The Historic Data Suggests Investors Will Be In For A Wild 2021, But In A Good Way
2021 may not be a smooth ride for investors, but most of the historic data does point to gains, barring another exogenous event!
If The Market Is Broken... Nifty 9 Must Knows!
As short squeezes and the rise of retail traders proliferate, some are asking if the market is broken. Beyond the noise are the keys to understanding the market potential going forward as markets attempt to find equilibrium.
Game Stop & Bed Bath And Beyond: The Inevitable Reversion To Fundamentals
Game Stop and Bed Bath and Beyond amongst other high short interest stocks have been targeted. They have risen on the backs of a mathematical equation stimulated by a community of traders. Nonetheless, fundamentals always matter.
The Strongest Bullish Signal For S&P 500 12-Month Returns
The TOY Barometer, by Wayne Whaley just gave its 37 bullish signal dating back to 1950. It holds a 94% positive percent rate for 12-month S&P 500 forward returns. The average return is 17%+ over that time period. Only twice did it fail, 1987, 2008.
Short-Termism Vs. Optimism: Weekly Nifty 9 Must Knows
The short-term path may prove choppy as geopolitical and seasonal headwinds persist. Nonetheless, the longterm technicals and fiscal drivers aim to support risk assets long-term.
What Does The Historic Data Reveal About The Probability For Equities In 2021
A strong end of 2020, a strong final 2 months of the year and a strong fiscal policy backdrop. What does the historical data suggest lay ahead for the major indices in 2021?
A Good Start To 2021: Weekly Nifty 9 Charts In Focus
The first trading week is in the books and as January goes... Seasonal headwinds for the market typically show up mid-January, but market internals have proven to validate the longer-term trend.
Investor Focal Points To Start 2021
Finom Group offers its Nifty 9, key investor focal points of interest heading into the first trading week of 2021. An economic recovery is largely the forecast, but valuations have stretched to peaks not seen since 2000, which remains a focus.
Looking At Year-End 2020 Tailwinds, Headwinds And Technicals
What lays ahead for the markets near-term will depend on some key economic and earnings factors, both of which remain dependent on policy implementation.
Had You Known The Bottom Was In March: Teachings From 2020
We can better know where the market is going, by recognizing where it has been. In this week's video we outline key indicators for spotting a market bottom or bottoming process, while considering the potential of retesting bottoms.
Macro-Market Must Knows As Investors Head Into Year-End
As we look to close out 2020, here are a list of "Need to Knows" taking place in the Macro-Market going into the end of the year and as investors look forward to 2021.
Market Sentiment, Leverage And Breadth Inviting A 2017-Like Year In 2020?
Reviewing NAAIM, AAII, NYSI and Break Away Momentum Breadth Thrust in 2020 look extremely similar to late 2016-2017.
Market Signals Strength Long-Term: Weekly Nifty 9
What investors need to know heading into the end of the year. Full scope of technical, earnings and economic trends.
Trading Volatility And Understanding The VIX-Complex (Part 1)
In a 3-part series, we define and outline all matters of market volatility, define and discuss the VIX and the VIX-complex of tradable derivative products.
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