The market rebound pre-Fed statement and China’s ability to hold up commodities
Comments on the US markets pullback, GM investing in Nikola, Tesla pullback, and the general commodities pullback
Hour 1 – Markets and Metals – Mike Larson, John Kaiser and an update from Novo Resources
Commodities – What’s driving the moves in PMs through to base metals?
US Markets are range bound while commodities broadly are outperforming
Boring markets helps us all step back and think about the “everything bubble” narrative
A look at GDX and the equal weight commodity index
Central Bank Easing… Will It Actually Help Struggling Economies Around The World?
Commodities Charts – Approaching key rebound levels
Oil and Commodities Considering Money Flows
Wrapping Up This Week – The US Markets, VIX, and Commodities
A Look At The Other Side – What If All This Bearish Is Wrong?
What A Pause In Rate Hikes Mean For US Equities, Commodities, and Other Central Banks
Market Wrap – US Market Rebound, GM Announcement, and Fed Speakers This Week
One Road Research and It’s New Commodity Investment Cycle Research
The Growth Of China Is Key For Resources
The Overall Commodity Picture Considering Price and Stocks
Trade War Fears, International Red Flags, All Deflation Concerns not Inflation
Similarities To 1999-2001 – Interest Rates, US Markets, PMs and Commodities
Commodities Price Compression… Something’s Gonna Give Soon!