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Stocks

  • Central Banks, Global Growth, Stocks, corporate debt, Capitalism, Economy, Inflation, Supply Chains,
    June 30, 2022

    Outlook for the second half? Rising interest rates and ongoing supply shocks spell trouble

    Stocks tumbled 20% in H1, but Central Banks are fixated on Inflation as the No 1 priority with higher interest rates nailed on. Supply chain issues remain difficult, meaning corporate earnings will remain under pressure. The market is setting up for further weakness through H2.

    read more
  • Stocks, Tech,
    April 20, 2022

    Netflix and the end of the FAANG era..

    Netflix just experienced its’ judder moment – and it is shaking markets. Overnight the streamer became a completely different investment proposition, even though we’ve been warning it was inevitable. There are lessons to be learnt across the equity market.

    read more
  • Stocks, Financial Assets, Market Crash,
    January 25, 2022

    Don’t worry about timing buy-the-dip. Its more fundamental than that.

    After yesterday’s dramatic market roller-coaster, traders are wondering if it’s a buy-the-dip moment. They probably will. But the narrative has reversed. The improbable tech stocks into substantial correction territory have a considerable way still to fall if history is any guide.

    read more
  • Stocks, Debt, Equities, stagflation, Economy, Geopolitics, Bonds, Inflation, China, Energy, USA, Supply Chains, Pre 2021 Porridge,
    December 14, 2021

    2022 Outlook – Politics will be a worry, but Credit will be the Big Risk

    Let me present a list of things to worry about next year. Inflation, US and China growth, Stagflation, Central Banks, Stocks, Climate and Equality, etc, etc.. But the big risks will be the consequences of US Politics and a Liquidity Meltdown in the Credit Markets.

    read more
  • Alternative Investments, Stocks, QE, Bonds, Pre 2021 Porridge,
    April 20, 2021

    Watching the Sky for Clues

    There is general sense “something wicked this way comes” towards current priced for perfection markets, but trying to define the exact N0-see-um likely to trigger a market correction or meltdown is a notoriously pointless game. However, there are plenty of ways to prepare for whatever comes next….

    read more
  • Tesla, Stocks, Special Purpose Acquisition Companies, ESG, Tech, Pre 2021 Porridge,
    April 1, 2021

    Things Can Only Get ?

    Q1 was “interesting”. More financial madness in 3 months than I’ve seen in 35 years, but at least it was fun. How much more sober and boring might the market become? Deliveroo’s botched IPO suggests Investors ain’t as stupid as we think.

    read more
  • Fed, Bitcoin, Global Growth, Stocks, Bonds, Pre 2021 Porridge,
    March 5, 2021

    The Chernobyl Quandary

    Central Banks face a critical ask; how to raise rates to avert fuelling the financial asset bubble without triggering market meltdown. And some brief thoughts on Scotland.

    read more
  • Red Square
    Stocks, Bonds, China, Pre 2021 Porridge,
    March 3, 2021

    Pivot to the East

    This morning: While Bonds dominate market moves, the BIG future investment picture is about how geopolitics move towards new US relationship with China – particularly where Europe stands. The US is potentially the biggest loser

    read more
  • Stocks, Air Travel, Pre 2021 Porridge,
    January 19, 2021

    Blain’s Morning Porridge – 19th Jan 2020: Boeing Boing Boing again.. 

    It’s the very last day of the Trump presidency… but our troubles will not immediately go away… Lawyers always win…Boeing's stock price...

    read more
  • Stocks, Markets, Investments, Pre 2021 Porridge,
    December 18, 2020

    Blain’s Morning Porridge, Dec 18 2020: Jingle Bell Rock

    Blain’s Morning Porridge, Dec 18 2020:  – Jingle Bell Rock “How [...]

    read more
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This publication is protected by US, UK and International Copyright laws. All rights reserved. No License is granted except for the subscriber’s personal use. Rights will be pursued.

The Morning Porridge is not investment advice. It is market commentary based on discussions and information gathered from multiple sources believed to be reliable. No guarantee is given for its accuracy or completeness. It is not an offer to buy, sell or solicit investments or securities. The author may have a position in companies or institutions discussed in this commentary.

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