My 2025–2028 investment bias is laid out in “American assets declining ahead” If you don’t share my POV, feel free to skip my posts.
Below is a concise stock screener with focus on global ETF's, currency related investments, select countries and U.S. tech names. Click the “CHATGPT” link to pull up any ETF and ask questions.
Red-highlighted columns flag areas of heightened risk following the U.S. tariff scare on April 7. Bright-green items are where I’ll deploy new capital, timing purchases around the expected summer downturn (July/August) based on dividend yields, April 7 resilience, and international growth potential.
Always seek a professional investment advisor. For educational purposes only.
Good International Investments seem to be DWX, SHLD, MOO, and in next leg down XAIX , ROBO. See below Analysis of how much was lost on Tariff Scare and the upside YTD.
Direct access to the live document, with short-term screener: [click here]
No comments:
New comments are not allowed.