Friday, July 16, 2010

July moderate allocation

Nothing changed in June. Markets appear risky.

Positive factors:

None

Neutral factors:
Long term trend (within 8% of 200 day)
Market valuations
Sentiment

Negative factors:
Underlying technical strength
'Ahead of curve' investor positioning

Allocation for July:
Stocks: 15%
Bonds: 85%


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