Last Week In Review: ETF News And Blog Posts To 10/2/2011

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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 10/2/2011.

More downside momentum finally pushed our Domestic Trend Tracking Index (TTI) further into bear market territory.

Europe and its multitude of debt solutions, most of them band aid approaches, will remain on the agenda next week, which simply means that we will have to live with more market turmoil. If that happens, I will not be too concerned, since we are out of equity ETFs/Mutual funds altogether.

If you followed my sell stops rules, you should no longer have any equity exposure at this time with the possible exception of a couple of sector/country/bond ETFs, or hedged positions.

This week, we covered the following:

The Big Picture: A Video Interview With Gary Shilling

ETF Leaders And Laggards – For The Week Ending 9/30/2011

ETF/No Load Fund Tracker Newsletter For Friday, September 30, 2011

Weekly StatSheet For The ETF/No Load Fund Tracker Newsletter – Updated Through 9/29/2011

Rally—Selloff—Rebound; Equity ETFs End Up Higher On Volatile Day

New Posting Schedule

Another Afternoon Stumble—Equity ETFs Close AT Their Lows

7 ETF Model Portfolios You Can Use – Updated through 9/27/2011

Late Selloff Cuts Into Early Gains—Europe Continues To Boost Global ETFs

Major Market ETFs Surge On Europe News—Another Head Fake?

A Look At HV Bond and Dividend ETFs On The Cutline – Updated through 9/23/2011

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