Market ObservationBack in April a piece was penned that looked at how oversold the market was on a statistical basis (“Possible vs. Probable”). The basis for the article was to look at the percent deviation of the S&P 500 from its 200 day moving average (200d MA) and how many standard deviations it was below the mean, comparing the current experience to prior bear market sell offs. The image below was shown displaying how the percent deviation from the 200d MA followed the typical bell-shaped curve and that the low seen in November of 2008 marked a major statistical extreme. Full article Financial Sense Newshour | Martin Goldberg (Technical), Gerald Celente (Economy), 'Zapata' George Blake (Energy), James Turk (Metals) | | Robert P. Murphy, Ph.D., Author, "The Politically Incorrect Guide™ to the Great Depression and the New Deal" | | Part 1 - Bubbles, Troubles & Deficits; The Coming Oil Shock Wave - Part 2 Part 2 - The Reflation Trade; Other Voices: Bill Powers, Editor, Powers Energy Investor; Q-Calls |
Posted on Saturday, but available all week long. Be sure to hear Jim Puplava's interview on KingWorldNews.com | | Financial Sense MultimediaReality CheckMay 6, 2009 | | | Matt Simmons at the Offshore Technology Conference of 2009 - on the relatively cheap oil prices of 2008, the false natural gas glut, deepwater fields, and the need for a peaking audit. Comments? Click here. |
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Archive for Editorials Financial Sense University Editorials06/10 Get the Trend: Using the E-mini S&P 500 to Trade Options by Tom Busby 06/10 Inflation and Deflation - Both Is Right and Wrong at the Same Time by Toni Straka 06/10 Why Gold Mining Stocks and Warrants are Up so Dramatically by W. Lorimer Wilson 06/10 Is the News in Housing Good or What by Hans Wagner 06/10 The Mystery behind the Parabolic Yield Curve by Gary Dorsch 06/09 Plunging Bond Market and Implications for Gold by Boris Sobolev 06/09 The Consequences Have Started to Arrive by Michael Pento 06/08 Update of the S&P 500 Index by David Petch 06/08 Why the Time Could Be Right for Gold-Mining Stocks by Frank Holmes 06/08 What Commodity Is About To Explode Next: Gold, Silver, Oil Or Nat Gas? by Chris Vermeulen 06/08 Myth Busting – Gold, Deflation and Hyperinflation by Adam Brochert 06/08 The Summer Of Discontent by Captain Hook 06/05 The First Steps to Hyper-Inflation by Paul Tustain 06/05 The Employment Picture is still down by Tony Cherniawski 06/05 What’s so Ultimate about your Oscillator? by Chris Wilson 06/05 Which Came First - The Happiness or the Success? by Janice Dorn, MD, PhD 06/05 Throttling the Recovery? by Andy Sutton 06/05 Master Class II - Timing Gold by John Needham 06/05 Surmounting Debt & Derivatives Dangers by Deepcaster 06/05 Fingers of Instability, Part 3 by Ty Andros 06/05 We’re Out Of Money; Says Barack Obama by James Bibbings 06/04 UK Economy Set for Debt Fuelled Economic Recovery... by Nadeem Walayat 06/04 June Gloom / Summer Rally Revisited by Joseph Russo 06/04 The Weak Dollar Gives... by Chris Ciovacco 06/04 Focusing on facts by Brian Bloom 06/04 The Plummeting Dollar Prosperity Plan by Michael Pento 06/04 S&P 500 Stock Market Trends – June 2009 by Hans Wagner 06/03 Managing Your Investment Expectations by Dudley Baker 06/03 The End of the American Century by David Vaughn 06/02 The Gold Stock Secular Bull Market by Adam Brochert 06/02 Summer Reading for the Hurricane Season by Joseph Dancy 06/02 Geithner & China: Who Are You Fooling? by Axel Merk 06/02 Natural Gas – Sleeper of 2009? by Travis Steward 06/02 Next Phase In The Crisis by Paul Lamont 06/02 Gold Going Mainstream. Time to Buy or Sell? by Michael Pollaro 06/02 Quarterly $1 Trillion Monetization by Jim Willie 06/02 Quarterly Market Brief by Christopher Quigley 06/01 T-Waves Thoughts for Trading Week of 06-01-2009 by Stephen Tetreault 06/01 Gold & Silver: Market Wrap Week Ending May 29 by Doug Gnazzo 06/01 An Avalanche Of Cash Is Set To Slide by Joseph Dancy 06/01 Gold, Silver & Oil on the Run Technically Speaking by Chris Vermeulen 06/01 Debt Is Your Worst Enemy by Captain Hook 06/01 Why May’s Gains Can Continue by John Derrick, Director of Research 05/29 Main Street takes a hit in GM bankruptcy by Tony Cherniawski 05/29 The Next Landslide: Lessons from Andrew Carnegie by Doug Wakefield and Ben Hill 05/29 Leverage Potential of Many Mining Sector Warrants Unprecedented by Harold Clifford 05/29 Should We Listen to Economists? by Sy Harding 05/29 The Four Poisons by Janice Dorn, MD, PhD 05/29 Obama Should Tell California to Drop Dead by Peter Schiff 05/29 Opportunities & Threats in Derivatives Shocker by Deepcaster 05/29 Confirmations and Conclusions by Andy Sutton 05/29 Fingers of Instability, Part 2: The Definition of Depression by Ty Andros 05/29 U.S. Gold, Going or Completely Gone? by Rob Kirby 05/29 Green shoots? by David Urban 05/29 Elliott Wave on Crude and the USD by Dan Stinson 05/28 Hitmen Contracts to Bust Comex by Jim Willie 05/28 Update of Oil and the AMEX Oil Index by David Petch 05/28 The Move Into Hard Assets by Sol Palha 05/27 False Confidence by John Browne 05/27 Gold & Silver: Market Wrap Week Ending May 22 by Doug Gnazzo 05/27 Gold Is... by Adrian Ash 05/27 Consumers Will Lead the Way by Hans Wagner 05/27 Outlook for the TSX in 2009 and Beyond by Travis Steward |