Is there some kind of indicator? Or does it come from experience? I was just reading an article in which the author stated “We’ve seen a huge shift out of cyclical sectors into defensives”
Take the derivatives of you portfolio and divide them by 100, then borrow this and spend it on Euros. Then if you lose over 70% of your money put it on the icelandic krona and see if it continues to fall you should move out of cyclical shifts and invest in a stable commodity such as grain.
Take the derivatives of you portfolio and divide them by 100, then borrow this and spend it on Euros. Then if you lose over 70% of your money put it on the icelandic krona and see if it continues to fall you should move out of cyclical shifts and invest in a stable commodity such as grain.