Seth Golden | TalkMarkets | Page 4
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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With 4 Trading Weeks Left In 2020, What Do Investors "Need To Know"?
How should investors perceive and position going into year end and why?
Market Conditions May Get Worse Before They Get Better
Our weekend market analysis and overview point toward a more favorable risk/reward by year's end.
Clouds Are Parting And Some Clarity Appears For Investors
Election uncertainty gives rise to greater clarity for investors, as the S&P 500 sends a clear message! Buy the dip.
Near-Term Market Angst Will Subside
While macro-market headwinds have prevailed for the interim, resolutions for these headwinds is inevitable. Investors are better positioned for a long-term opportunity as market volatility grapples with macro-market forces near-term.
The Ebbs And Flows Of Markets Can Prove To Discombobulate Investors: Stay True To The Course
Investors should be looking past the near-term risks in favor of the long-term objective and aligned with the developed trend.
Weekly Macro-Market Must-Know Drivers
Dedicated weekly market insights from technicals to fundamentals and everything in between.
Fiscal Relief On Again-Off Again
Fiscal relief is increasingly a slow and tenuous process that is whipsawing investors, but the market's message remains rather clear and heralds future gains.
Markets' Minefield Of Headlines In Q4: Is The Bull Done For 2020?
Do the headlines really affect market trajectory if they don't affect the trajectory of earnings?
Election Risk Premiums & Practical Investor Considerations
Implications of the upcoming debate and election season, as most are aware and found hyper vigilant given the circumstances. The mass financial media is in overdrive with their duplicative, superfluous and hyperbolic rhetoric/renderings
Large-Cap Vs. Small-Cap: Market "Tea Leaves"
Small-cap and cyclical outperformance usually foreshadows good things for the market ahead, even if the proposed headwinds from market seasonality and elections suggest concerns today. Know your market signals for action.
S&P 500 Topping Or Will Goldman Sachs Finally Get It Right?
All your "need to know" for the trading week ahead. From macro fundamentals to technicals and even sentiment. Goldman Sachs upgrades its outlook and more!
Earnings Down, Markets Up: Monday Market Must Knows
Earnings aren't as poor as they were feared to be with nearly 85% of companies having reported. Sentiment indicators are poor market timing tools. Be careful when using them.
Most Important "Must Knows" For The Trading Week
The recent Treasury bond rally fits with our forecast that the recession has a second, more serious leg that will extend well into 2021, despite massive monetary and fiscal stimulus.
Profits Are Generated By Looking Above And Beyond: Investors Don't Care About Bad Data Today
Investors are looking beyond 2020's Covid-19 Crises and forward to a weaker dollar, higher deficits, and an economic/earnings recovery cycle. Multiples will likely expand beyond the 10-yr average.
The S&P 500 Continues To Travel The Path Of 2009's Bear-To-Bull
The more things change in the market, the more they stay the same. Circumstances may be different, but outcomes are anything but.
Technically, The Technicals Are BullBearish...?
Technicals are a bit mixed depending on one's time frame. Long-term, markets remain in recovery mode and have bottomed based on several indicators.
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