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John Ang
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Weekly Update - Week Ended 6 February 2015
Market Summary and Technical  US
equities still within  the broad range of
the last few months Some
positive signs for further gains in equities   HYG
has held support so far Market
internals have improved US dollar didn’t benefit
from talk of faster than e...

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Weekly Update - Week Ended 23 January 2015
Market Summary and Technical  ·         Euro continues downtrend on larger than
expected QE purchases ·         US equities remain in a narrow range o    Some
improvement in market internals, with intermediate trends turning neutral ·         Gold reaches $...

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Weekly Update - Week Ended 16 January 2015
Market Summary and Technical  Euro
the big loser this week, especially against the Swiss   Franc US
equities down slightly – still ranging; smallcaps testing support Gold
on uptrend? US dollar correction not
yet in sight  [Market Summary] [Trend Watch] [Sel...

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Weekly Update - Week Ended 9 January 2015
Market Summary and Technical  S&P500
fell below 2000   in midweek but quickly
rebounded on ‘buy the dip’ mentality Gold
again   shows strength despite dollar
strength FXE
continues going down on expectations that QE is coming soon My trend model indicates
t...

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Weekly Update - Week Ended 2 January 2015
Market Summary and Technical  Looks
like breakout in S&P 500 and Russell 2000 might have failed Divergences apparent Gold
again   shows strength despite dollar
strength – in Friday’s session, UUP up 0.96% and GLD up 0.44% Euro down significantly on
Friday a...

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Will 2015 be the Turning Point for Metals?
Summary Commodities
have been in a bear market for more than 3 years Some
possible catalysts for a turning point in metals in 2015 Some possible plays identified   - VALE, BHP, TCK, TGD 3+ Years Bear Market Commodities
have been in a bear market since the s...

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Weekly Summary - Week Ended 26 December 2014
Market Summary and Technical  US
equities edged slightly higher Divergences remain apparent
in market breadth indicators Divergence in HYG Waiting
for confirmation of whether breakout in S&P 500 and Russell 2000 is genuine Gold
again   shows strength despit...

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Ensco PLC – Cycle-Low Valuations
Following
my previous article on some possible investment ideas
in the Energy sector, this article focuses on ESV.  Apologies for the delay – been too busy to do
focus pieces like this. Investment Thesis I can do no
better than point you to Rupert
Hargreave...

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Weekly Update - Week ended 19 December 2014
Market Summary and Technical  Rebound
in US equities – correction over or setup for further downside? Despite rebound,
divergences apparent in market breadth indicators S&P500
bounced off support at 1970; at resistance now Russell 2000 held 1150 support; Re...

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Weekly Update - Week ended 12 December 2014
Market Summary
and Technicals  After VIX ended below 12
last week, we had a huger jump this week Broad based decline
across sectors – not just energy HYG breakdown this week Market Breadth confirms
decline US dollar with a slight
pause Russell 2000 close to...
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