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In this weeks episode, Ian, Dan, and Kevin discuss the choppy week we had across equity markets, continued strength from bonds, and weakness from Crude Oil. Foreign stocks are still outperforming. Intermarket relationships giving mixed signals.
By David Zarling, Ian McMillan4.9
7373 ratings
In this weeks episode, Ian, Dan, and Kevin discuss the choppy week we had across equity markets, continued strength from bonds, and weakness from Crude Oil. Foreign stocks are still outperforming. Intermarket relationships giving mixed signals.

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