Volume, inflation and interest rate is gonna take toll on the real economy. Irrational exuberance is gonna be present till the world is convinced that earnings compared to last year and previous quarters is going to get smaller and smaller. When the institutions try very hard to make it look convincing that they are heavily involved in the upcoming bull with purchases and takeovers and reports that can bring in retails, and pass them the risk, I think we will start seeing a full blown bear. At this moment, there is fear until an event occur. Market stayedvigilant despite crypto and interest rate issues. Waiting for that event that no one at this level of market entry could escape easily at leastfor a year or two. Meanwhile I am still buying however on a more diversified level. I think weshould be starting to find more companies that potentially should be bankrupt in this event. The tools are there to invest in bankruptcy.
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