The Major Trend Index fell 0.01 to 1.01 for the week ending September 19th, remaining within its neutral band (0.95-1.05) for the eighth consecutive week. This work continues to highlight an elevated risk level for stocks in the near term, and we are maintaining a reduced net equity exposure level of 55% in both the Core and Global Funds.
Sep
26
2014
Major Trend Down 0.01 to 1.01
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