In case you missed it, here’s a summary of the ETF topics and market reviews I posted to my blog during the week ending on 9/11/2011.
The European debt crisis accelerated this past week and pulled world markets sharply lower. As I have mentioned before, that fact is not really news, but the timing of it is. I would expect more volatility to be with us, especially once Greek actually defaults. The question then will be: Who’s next and how soon?
In any event, if you followed my sell stops rules, you should not have any equity exposure at this time with the possible exception of a couple of sector/country ETFs, or hedged positions.
This week, we covered the following:
The Mistakes Of 2008 – Will They Be Repeated Again?
ETF Leaders And Laggards – For The Week Ending 9/9/2011
ETF/No Load Fund Tracker Newsletter For Friday, September 9, 2011
Weekly StatSheet For The ETF/No Load Fund Tracker Newsletter – Updated Through 9/8/2011
Fed Chief Disappoints – Major Market ETFs Slide
High Volume ETFs On The Cutline – Updated Through 9/7/2011
A Relief Rally For Equity ETFs
7 ETF Model Portfolios You Can Use – Updated through 9/6/2011
Major Market ETFs Head Lower, But Damage Is Limited
Precious Metal ETFs Remain The Leaders; ETF Master Cutline List – Updated through 9/2/2011
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