Chris Ciovacco | TalkMarkets | Page 35
Registered Investment Advisor (RIA)
Contributor's Links: Ciovacco Capital
Chris Ciovacco is the founder and CEO of Ciovacco Capital Management (CCM), an independent money management firm serving individual investors nationwide. The thoroughly researched and backtested CCM Market Model answers these important questions: (1) How much should we allocate to risk assets? ...more

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Next Bear Market Could Catch Many Off Guard
A bear market is inevitable but the big question is when. In this video we try to offer insight just when that might be by reviewing the last two bear markets.
Energy ETFs In The Wake Of The OPEC Agreement
The market had low expectations heading into this week’s OPEC meeting. The story broke Wednesday afternoon.
Last 3 Spikes In The Ted Spread: Did Stocks Tank?
The last three times the Ted Spread spiked was it better to be buying stocks or selling stocks? Recent spikes in the Ted Spread have occurred during sell-offs in the stock market.
Seismic Shift: What Could It Mean For Stocks?
In this week's video, we'll cover s a seismic shift in market expectations and ask what could it mean for stocks.
Will The Fed Surprise The Markets With Rate Hike?
During the trading session Tuesday, the market was pricing in a 15% chance the Fed raises rates Wednesday.
Three Charts To Assist With Fed Week
It comes as no surprise the broad stock market is hovering near a key level prior to announcements from two central banks.
Successful Retest Or Concerning Bearish Set-Ups?
This week’s video covers the 2016 breakout and recent spike in volatility allowing us to better understand the present day market’s risk-reward profile via historical references.
Stop Wasting Energy On The VIX
The VIX Fear Index is arguably the most over-analyzed tool on Wall Street regarding its real-world predictive powers relative to the long-term path of the stock market.
S&P 500 Testing An Important Area
Typically, when markets break out from long-term consolidation boxes, it tells us something has fundamentally changed.
Levels Of Note For S&P 500 And SPY
While the longer-term outlook has not deteriorated in a significant manner yet, as outlined on September 9 and September 12, recent volatility and the near-term economic calendar tell us to respect any and all outcomes.
Why Is The Fed So Hesitant To Raise Interest Rates?
Since central banks have been injecting themselves into the economy and markets with much greater frequency in recent years, investors are well aware of the risks posed by higher interest rates.
How Concerning Was Friday’s Sell-Off?
How much damage to the charts?
Extremely Rare Volatility Signal Says A Big S&P 500 Move May Be Coming
The S&P 500’s daily Bollinger Band width has never been lower than it is today, using data back to 1982, which means a big move could be coming soon in stocks.
A Clear, Factual, And Important Message About Stocks
This week’s stock market video goes beyond the S&P 500 to help us gain a better understanding of the market’s bigger picture tolerance for risk. Numerous markets are covered, including gold, silver, and energy.
5 Facts Tell Us To Be Open To More Upside In Stocks
The charts say what they say and show what they show regardless of our personal views or biases.
Will The Jobs Report Induce Another Waterfall Plunge In Stocks?
How vulnerable are stocks to another sharp sell-off?
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