Investors Weekly Update

June 16, 2014

Our equity/bond model - This long term reliable investing model provides investors with simple decision making in the markets:

-When the model favors stocks, investors should overweigh in equities for maximum growth.

-When the model favors bonds, investors should overweigh in bonds for safety.

Our benchmark SP500 is on a major buy signal since early 2012.

Oil sector is on a major buy signal since early 2013.

Volatility has dropped to levels of previous market tops, and if VIX rises above 13, a more substantial correction may be in progress.

Summary

Current investing model favors equities and both the growth and energy sector are on major buy signals. Investors should stay invested and new money should wait for the 4 year cycle bottom in coming months.

Disclosure

We do not offer predictions or forecasts for the markets. What you see here is our simple investing model which provides us with simple investing decision making. Entry points and stops are provided in real time to subscribers, therefore, this update may not reflect our current positions in the markets. 

Most silver is produced as a byproduct of copper, gold, lead and zinc refining.

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