All posts tagged "30 year bond"
-
Spread Between Long Term and Intermediate Term Bonds at Record
Eddy Elfenbein at Crossing Wall Street pointed out that the spread between the 30 year and 10 year treasury bond was at a record 140 basis points, or 1.4%. Looking at the chart at Elfenbein’s site doesn’t...
- Posted October 19, 2010
- 0
Latest News
-
ViacomCBS Sold
On February 17, 2021, the entire position of ViacomCBS (VIAC)...
- Posted February 19, 2021
- 0
-
iShares Global REIT ETF Sold
Investor euphoria/greed has been elevated with the extension of the...
- Posted January 20, 2021
- 0
-
iShares Silver Mining ETF Increased
With interest rates creeping up and the US Dollar Index...
- Posted January 12, 2021
- 0
-
iShares Silver Miners ETF Added
The iShares MSCI Global Silver Miners ETF (SLVP) was added...
- Posted December 21, 2020
- 0
-
Molson Coors Added
Investors continue to pile into high-flying technology shares and various...
- Posted October 1, 2020
- 0
-
Global Gold Miners ETF Allocation Increased
Cash available was added to the SMA Portfolio's holding in...
- Posted August 10, 2020
- 0
-
Dorian LPG Sold
As part of a change in strategy to gradually shift...
- Posted August 10, 2020
- 0
Don't Miss Out On These Free Updates!
Indexes, Currencies, Commodities & Rates
-
iShares Global REIT ETF Sold
Investor euphoria/greed has been elevated with the extension of...
- January 20, 2021
- 0
-
iShares Silver Mining ETF Increased
With interest rates creeping up and the US Dollar...
- January 12, 2021
- 0
-
Is the Retirement Crisis Really a Crisis?
PBS Frontline recently presented a documentary called “The Retirement...
- April 25, 2013
- 12
-
Alarming Chart of the Stock Markets of 1987 and 2012-2013
Several days ago I posted a chart showing the...
- May 22, 2013
- 8
-
Bill Ackman Thinks Diversification is for the Lazy
Bill Ackman made a speech at the Active/Passive Investor...
- March 4, 2010
- 7
T.T.S. Fear Index
Date | Index | SMA Comment |
1/20/2021 | 2.3 | Massive stimulus and Fed support have nearly eliminated fear |
3/23/2020 | 7.0 | Coronavirus and oil price war panic investors to the highest level of fear since October 2011 |
12/26/2019 | 2.3 | Lowest level of fear in nearly two years (January 2018) |
12/21/2018 | 6.7 | Raised fears likely setting up a buying opportunity |
1/11/2018 | 1.8 | Unusually low fear could mean we're near the top in valuations |
1/13/16 | 6.3 | Terrible start to 2016 raised fears |
10/3/11 | 8.5 | A good tradable bottom (S&P 500 @ 1,085) based on lots of nonsense |
3/9/09 | 7.0 | Market bottom (S&P 500 @ 666); end of the world was nigh |
10/27/08 | 8.8 | Market had dropped 28% in 5 weeks, Paulson pulled out all stops to save Wall Street bankers |
10/12/07 | 3.2 | Market top (S&P 500 @ 1,562); worldwide housing bubble pricked |
Year-to-Date Performance as of February 24, 2021
Index/Portfolio | YTD % |
SMA Portfolio | 18.7% |
S&P 500 | 4.8% |
U. S. Small Caps | 12.2% |
Total U. S. Stock Market | 6.0% |
Total Int'l Stock Market | 6.0% |
Total U. S. Bond Market | -2.4% |