Here are the 15 best investing and trading resources we found this week. Just click the links and enjoy!
Growing the Pie by Howard Marks.
The Changing Nature of Market Liquidity - Understanding Banks’ Corporate Bond Inventory by Richard Woolnough.
Bubble 3.0: Can An Acronym Save The World? by David Hay.
Macro and Credit - Easy Come, Easy Go by Martin T.
The 200 Day Moving Average Strategy Guide by Rayner Teo.
Gold ‘In A Renaissance’ After Fed Makes Rate Policy U-Turn by Ronald Stoferle.
VIX Futures Open Interest by Tom McClellan.
Manufacturing Changes by MI2.
Monthly Macro Chart Review: April 2019 by Joseph Y. Calhoun.
Capitalism Gone Wild by John Mauldin.
The EU’s China Conundrum by Philippe Legrain.
Seeking Strength In Safe Haven Staples by Steve Strazza.
This Most Hated Risk Rally Continues As President Trump Calls For QE by Greg McKenna.
Of Dollar ‘Smiles’, Correlation Breakdowns And Other FX Notables by TheRealHeisenberg.
‘Bond Trading’ Exodus, The Global Economy’s Q4 Landmine by Jeffrey P. Snider.