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In this weeks episode, Ian discusses the indecision from the market over the last 2 weeks, the bounce back in Energy and Financials, and what could be on the horizon for the US Dollar seasonality-wise. Ian also covers the one area of Foreign markets that have stood out. Also, what could Year 2 of this bull market look like, based on previous recoveries? And finally, Ian gives his thoughts on why reactions to earnings reports and more important than the reports themselves.
By David Zarling, Ian McMillan4.9
7373 ratings
In this weeks episode, Ian discusses the indecision from the market over the last 2 weeks, the bounce back in Energy and Financials, and what could be on the horizon for the US Dollar seasonality-wise. Ian also covers the one area of Foreign markets that have stood out. Also, what could Year 2 of this bull market look like, based on previous recoveries? And finally, Ian gives his thoughts on why reactions to earnings reports and more important than the reports themselves.

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