Sicne Okt. 2019 we face an abnormal gain in the markets. A main reason for such a gain we can focus on FED Repo manipulation. Normal we are bevore or in recession mode of world economy. But repo helps us out.
Examples:
TSLA, AAPL with about nearly 100% gain since Oktober, in none relation to market cap and earnings.
So what will we expect to happen?
Correktion? - Not really under FED control
Gain? - Really possible until repo goes on.
Crash? - Possible at this market caps in relation to VIX
Sooo if youre long, take care.
If youre short, an have huge losses, make a complaint against FED GOV for market manipulation.
Greetings HP