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 1/1/2012.
The major indexes inched slightly lower into the last trading day of the year with the S&P 500 ending 2011 just about unchanged.
Heading into 2012, the world’s excessive debt overhang will remain headline news, as most attempts to solve these thorny problems have focused on providing the liquidity when the real issue has been insolvency.
Traders will return well rested next Tuesday ready to push buy and sell buttons depending on not only the news du jour but also on a host of economic reports ending with the all important employment numbers on Friday.
This week, we covered the following:
A Rough 2011, But Will 2012 Get Any Better?
The January Effect: Will It Hold In The Current Investment Climate?
ETF/No Load Fund Tracker Newsletter For Friday, December 30, 2011
Weekly StatSheet For The ETF/No Load Fund Tracker Newsletter – Updated Through 12/29/2011
Equity ETFs Swing Up Again, But Europe’s On the Rocks
Reality Finally Sets In For Major Market ETFs
7 ETF Model Portfolios You Can Use – Updated through 12/27/2011
Post-Xmas Coma Leads To ETF Inactivity
ETFs/Mutual Funds On The Cutline – Updated Through 12/23/2011
Contact Ulli