The question for me is; what exactly is driving the market, and is it sustainable? Is it Oil, Dollar vs Yen, Gold, the Fed, Europe, Capitulation?
Sarah moved the group to the F fund to avoid the high volatility we have been seeing in the market, and other chart based and fundamental reasons, all explained/charted in detail. If you go back and look at posts by "Paul", he has analysis of the upside view...which as of today has reached some critical levels for both C and S funds. (Perhaps he will post with his views adjusted for today's market activity).
At the time the group moved to F, I wasn't completely convinced, so I moved 50% F, left 50% S. Though certainly not maximizing profits, this has allowed me to rest easier.
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Posted by: inthepowerzone@hotmail.com
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