Who's done much analysis on the large equities markets and forex? I suppose futures or anything else too. I'm interested in the correlation between the direction of them. Has anyone noticed a reliable leading indication? Or is this one of those things no one talks about?
Sure, make me do all the work!
I'm of the opinion that by the end of October, we'll see a significant pullback on the US equities markets and the world in general. Probably led by the US, but maybe triggered overseas.
Assuming a relative drop in the comprable pairs , what would a drop in the DJIA to, say around, 9000 like do to the different pairs?
Is this worth investigating? Suggestions on how'd you approach it?
Sure, make me do all the work!
I'm of the opinion that by the end of October, we'll see a significant pullback on the US equities markets and the world in general. Probably led by the US, but maybe triggered overseas.
Assuming a relative drop in the comprable pairs , what would a drop in the DJIA to, say around, 9000 like do to the different pairs?
Is this worth investigating? Suggestions on how'd you approach it?