Korelin Economics Report

Pullback Expected in US Markets and Commodities

There are a few factors that have Doc thinking we could see a pullback in the US markets and commodities early next year. For the markets it has been a historically low volatility year with the VIX consistently hitting signal digits. Also factoring in the second year of a presidency is never as good for markets, there should be some weakness in 2018. As for commodities Doc and I follow up on the comments made by Chris Temple earlier today.

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