I was thinking tonight how it seems the bubble is finally bursting. I believe the catalyst was cowvid and then of course supply chain disruptions leading to high inflation.
And then we were hit with Ukraine.
So if you take away cowvid (had to spell so post doesn't disable), supply chain and Ukraine the FED (crooks?) Would still be pumping the crap outta this bubble all the way to sp500 6000 I believe!
So was cowvid and chain disruptions what caused “all this mess” ?
I mean if we never had cowvid or Ukraine would the bull market still be churning higher?
Thoughts?
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