David Zarling | TalkMarkets | Page 2
Founder, 360 Investment Research
Contributor's Links: Opportunity Identified
360 Investment Research uses comprehensive technical analysis to identify investment opportunities across the entire investment universe (equities, bonds, currencies, commodities, etc.). Our purpose is to share knowledge and opportunities with the retail investor, placing emphasis on robust ...more

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Use This Simple Technique To Make Better Trade Decisions
Price follows economic law (not opinion) and can tell us key information on investor supply and demand levels, as well as aid in risk management.
Here’s Why You Should Be Long The Long Bond. (Are You Shorting Them Right Here, Right Now?)
With a possible short squeeze looming and a recent breakout of TLT, being long bonds may be the correct move, even though the consensus is that rates are going to go up in the near future.
This Is How The Relationship Between Lumber And Gold Will Impact Your Portfolio
The relationship between lumber and gold provide valuable insight into future market direction and volatility.
This Is What Drives The Next Big Move In Oil
The next big move in Oil is likely to be dictated by the Dollar’s next move. If the Dollar breaks below $100, and Oil breaks upward out of consolidation, the thesis of Oil going to $75 becomes that much stronger.
January Seasonality And Its Impact On Your Portfolio
January is an important month in regards to overall performance, and may be a sign of things to come throughout the year.
Summer Vacation Is Over: The Return Of Volatility
The increased volatility comes as no surprise as this has occurred in the past.
U.S. Equity Markets Mark Clear Lines In The Sand
S&P 500 reaching an important point that could be positive for U.S. stocks
Pay Attention To This Interest Rate Instead
Since establishing an all-time-low in early July, the 10-Year Treasury Yield has found continuous support. So much so, that this important metric created a consolidation triangle near the lows established back in early 2015 and again in early 2016.
U.S. Equity Rally More Than Just Noise
As long as Industrials continue to outperform the S&P 500 while both sustain these recent all-time-highs, it means great thing for the U.S. Stock Market as a whole.
U.S. Dollar Needs Buyers
The U.S. dollar is at an important price point. Its next move will impact many markets and asset classes. Investors should pay close attention to this development.
S&P 500 At Important Juncture
The S&P 500 is up against dual resistance. Do we want to be putting new money to work here?
Red Dragon Awakes: Chinese Equities On The Move
Chinese Large Caps are breaking out of a downtrend and are providing an asymmetric risk/reward opportunity.
Bursa Malaysia Changes Direction
Malaysian stocks are on the move. We’re taking a look at Malaysia using an ETF that mirrors the Bursa Malaysia (formerly Kuala Lampur) Stock Exchange. The ETF we’re using is EWM.
Mother Russia!
Russia is breaking out!
Singapore It On
It’s not a secret that we’ve been talking about emerging markets and other international indexes outperforming US stocks. One such market is in Singapore
Time To Buy Oil
Do you know the best time to buy oil? Or, any asset for that matter? It’s simple, yet we all love to make things more complicated than they need to be. The simple answer is that we should buy an asset when the reward dramatically outweighs the risk.
17 to 32 of 47 Posts