The model on a weekly basis improved to -9, which is the best score since early November. Still negative, but at a level which could turn positive very soon if a couple of spread indicators make a further positive improvement. I have analyzed the individual components and we are not very far off from that happening in the next several sessions. A big battle is raging between Risk On and Off and we are witnessing it daily.
A video of my detailed expectations for the near term, with important levels to watch, can be viewed at https://www.youtube.com/watch?v=Jh8Y-OSujlU
Solid set of videos the last 2 weeks. Thank-you.
Indeed, all does not appear right and many mixed signals from the major asset classes.