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On this week's episode, David and Ian discuss the VIX and what we should be expecting from this measurement, an update on the 60/40 portfolio, and where we stand with Q4 seasonality. Treasury rates and the US Dollar continue to show no signs of stopping. Energy stocks back near their highs of the year. Also, how much further can the relative break in Tech take the market down?
By David Zarling, Ian McMillan4.9
7373 ratings
On this week's episode, David and Ian discuss the VIX and what we should be expecting from this measurement, an update on the 60/40 portfolio, and where we stand with Q4 seasonality. Treasury rates and the US Dollar continue to show no signs of stopping. Energy stocks back near their highs of the year. Also, how much further can the relative break in Tech take the market down?

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