The April 2022 Newsletter has now been posted
These pages are the first three pages of the 25 page April newsletter.
Topics in this month's research report are Commodities: Transition strength continues into Q2. International Equities: Mostly flat performance. U.S. & Canadian Equities: Improving conditions. Breakouts! Four new stocks.
The analysis is focused on the growing transition strength of commodities. How the US 10-yr T-bond yields are accompanying the upside movement in natural resources. The top-performing commodity group over the last 90-days, the outlook on gold, the trend of global markets, the breakdown of China's Shanghai index, weakness builds for most European indexes, and Mexico's Bolsa and Australia's ASX start to recovery.
Additional research is focused on the US and Canadian equity market, the new low in the US Unemployment rate, a review of the US Yield Curve, the breakout of Canada's TSX, and upside targets for the NYSE, S&P 500, Dow, and Nasdaq. Plus the best performing sectors.
To view the full 25 page April newsletter, go to www.technicalspeculator.com, click on the log-in button and follow the links.