week ahead: bitcoin, China stocks, euro are bearish. DXY, VIX, and treasury yields are bullish.


This is what I see in the charts. How does this affect the US stock market? I would think it would be bearish. Bitcoin is positively correlated with the Nasdaq. VIX is negatively correlated with stocks. I think China stocks might impact US stocks somewhat. Treasury yields going up does have a negative effect on the Nasdaq. DXY going up has a negative effect on stocks too. Does anyone have a differing view? Look at the charts for each of them. Any constructive opinions are appreciated.


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