The December 2015 TS Newsletter and TS Model Growth Portfolio has now been posted
Topics in this month's research report are Commodities: The US$ at par, and its negative impact; International Equities: Mixed rebound grips global markets; U.S. & Canadian Equities: Year-end tailwinds; The Bigger Picture: Stocks, deflation and bonds; Breakouts!; Eight more stocks that are about to run.
The research covers many downside targets for commodities, and what will likely happen in Q1, the mixed performance from global markets, where's the strength and where's the weakness, Europe's continued advance and the Russell 2000 finally comes to life.
The newsletter also covers the next upside target for the U.S. dollar, the narrow trading band for WTI, the rebound of China's Shanghai, the upside targets for the S&P 500, Dow and NASDAQ and what we are likely to see for the TSX in the coming months.
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