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cover of episode Ep. 292 Watching And Waiting: How To Approach Uncertainty Before Election 2024

Ep. 292 Watching And Waiting: How To Approach Uncertainty Before Election 2024

2024/10/23
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Investing With IBD

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John Kosar: 今年市场波动剧烈,板块轮动频繁,主要原因是即将到来的2024年美国大选带来了巨大的不确定性。不同候选人对经济政策的立场差异巨大,导致投资者采取观望态度,不敢进行大规模投资,市场呈现出一种谨慎观望的态势。这种不确定性导致资金在不同板块之间快速流动,难以捕捉长期趋势。 面对这种市场环境,投资者应该避免情绪化交易,坚持使用量化模型进行投资,例如Asbury 6模型,该模型综合考虑多种市场指标,能够帮助投资者在市场波动中保持稳定,避免被短期波动影响决策。长期来看,坚持数据驱动、量化分析的投资策略能够获得更好的风险调整后收益。 Justin Nielsen: 作为主持人,Justin Nielsen主要与John Kosar就市场现状、应对策略以及具体股票(如Nvidia、特斯拉等)的走势进行探讨,并没有提出自己独立的观点。他更多的是引导John Kosar阐述其观点,并提出一些问题以帮助听众更好地理解John Kosar的分析方法。

Deep Dive

Key Insights

Why is the market experiencing such rapid sector rotation in 2024?

The market is experiencing rapid sector rotation due to uncertainty ahead of the 2024 election, with investors hesitant to make big bets due to the potential for different economic policies under different candidates.

How does John Kosar handle market volatility and rapid sector rotation?

John Kosar relies on his models, such as the SIF model, which dynamically adjusts sector allocations based on the velocity of money. He avoids making subjective calls and sticks to data-driven decisions to manage volatility.

What does the Asbury 6 model indicate about the current market trend?

The Asbury 6 model currently shows five out of six indicators in the green, indicating a positive market trend. A shift to four or more red indicators would signal internal market weakness.

What is the potential upside for the NASDAQ Composite based on technical analysis?

The NASDAQ Composite has a potential upside target of 20,250, which is approximately 10-12% higher than its current level, based on a breakout from a technical pattern.

What does the strength in NVIDIA's stock suggest for the broader market?

NVIDIA's strength is closely correlated with the NASDAQ Composite and the S&P 500, indicating that its performance can significantly influence broader market trends. A breakout in NVIDIA could signal further upside for the tech-heavy NASDAQ.

Why has gold been performing well despite the S&P 500 hitting new highs?

Gold has been performing well due to expanding asset flows into gold ETFs (GLD) and its relative outperformance of the S&P 500 since July. This suggests investor interest in safe-haven assets amid market uncertainty.

How does the SIF model help in sector rotation strategies?

The SIF model measures the velocity of money moving across 11 sectors, identifying the top three sectors with the fastest money flows. It helps in dynamically adjusting sector allocations to stay in the strongest sectors regardless of market conditions.

What are the current top sectors according to the SIF model?

As of the latest data, financials and utilities are among the top sectors, with financials ranking highly across trading, tactical, and strategic timeframes.

What is the significance of the 10-year Treasury yield's recent movement?

The 10-year Treasury yield has broken through resistance at 419, suggesting a potential move toward 450. This could indicate further upward pressure on yields, which may influence market sentiment and sector rotation.

How does John Kosar view the risk-reward ratio in current market conditions?

Kosar emphasizes defining risk-reward ratios for trades, focusing on sectors and stocks with favorable upside potential relative to their risk. He avoids making speculative bets and relies on technical patterns and data.

Chapters
The podcast discusses the current market environment characterized by rapid sector rotations and uncertainty due to the upcoming election. The experts suggest strategies for managing portfolios during this period, emphasizing data-driven approaches over emotional decision-making.
  • Rapid sector rotations and market volatility.
  • The SIF model's performance in dynamic market conditions.
  • Importance of data-driven investment decisions.
  • Managing portfolio risk through diversification and model-based strategies.

Shownotes Transcript

Elections are taking over from the Fed as the reason markets are in a wait-and-see mode. John Kosar, CMT, president, chief market strategist at Asbury Research, explains why it’s prudent to hold back from your own big bets, what volatility tells us about market trends and what gold’s strength means for commodities. He also talks JPMorgan Chase (JPM), Goldman Sachs (GS) and Tesla (TSLA).

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