Over the past week, my market health indicators mostly fell, but none of them fell enough to change any portfolio allocations. The market trend category is the closest to going negative, but still hanging on. One thing of note this week is that fear is starting to enter the market. Two of the four components of my market risk indicator are warning at the moment. It would take a very steep decline in the last hour of trading to cause a market risk warning, however. If that happens, I’ll do another post, but as of now, no portfolio changes.

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