Best of the Week
Most Popular
1.Four Shocking Economic Bombshells Bernanke Did NOT Tell Congress About Last Week - Martin_D_Weiss
2.Obama Preparing to Attack Iran - Webster G. Tarpley
3.U.S. House Price Forecast 2010 to 2015 - Andrew_Butter
4.The Illuson of Economic Recovery, Major Indicators Point Towards Further Collapse - Bob_Chapman
5.Unusually Uncertain Outlook Shows The Fed is Killing the Economy - Washingtons_Blog
6.Economic Warnings From Niall Ferguson and Nassim Taleb - Gary_North
7.Gold Market Spooked by Deflationary Double-Dip Recession Fears - David_Galland
8.Stocks, Commodities and Financial Markets, The Shape of Things to Come - Steve_Betts
9.Elements of Deflation and the Super-Trend Puzzle - John_Mauldin
10.Wages and Subsistence - 24th July 10 - Ludwig von Mises
Last 5 Days Analysis
The Fed Flashes the Nuclear Quantitative Easing Trump Card - 29th July 10
You’ll Hate Your Gold So Much You’ll Want to Spit On It - 29th July 10
Austrian Business Cycle Theory Vs Keynesians - 29th July 10
Gold Promises and Currency Lies - 29th July 10
Investing for Deflation Part 2: More Reader Questions - 29th July 10
An Corporate Earnings Feast to Digest - 29th July 10
The Number of ETFs Exploding to Over 1,000 - 29th July 10
Stock Market Balancing on a Knife Edge... - 29th July 10
Escalating Violence From the Animal Liberation Front - 29th July 10
How to Pick Stocks in the ‘New Normal’ Economy - 29th July 10
Did BP Accidentally Tap Into the Rigel Gas Field? - 29th July 10
How Think Tanks, Foundations, Big Oil and the CIA Undermine Democracy - 29th July 10
Is WikiLeaks Release Anti-war Whistleblowing or Obama War Propaganda? - 29th July 10
Price Stability Not a Fed Priority - 29th July 10
Bill Gross Ponders "Deep Demographic Doo-Doo" - 29th July 10
Financials, Oil and Gold on the Move - 29th July 10
Kindergarten Double Dip Recession Economics - 28th July 10
Putting Money on the Junior Gold Miners - 28th July 10
Economists Miss Durable Goods Orders Slump - 28th July 10
2011: The Year Of The Tax Increase - 28th July 10
Banks Find A Bid After Basel Watered Down - 28th July 10
Profit From the Global Thirst for Clean Water - 28th July 10
Evolving Global Financial Crisis, U.S. Dollar Heading Down Again - 28th July 10
Investors Beware of Municipal Bonds as Defaults Soar - 28th July 10
Government Economic Lies, The Grossly Problematic Gross Domestic Product - 28th July 10
Economic Warnings From Niall Ferguson and Nassim Taleb - 28th July 10
Will U.S. House Prices Drive The 4.8% “Consensus” Nominal GDP Growth Forecast? - 28th July 10
Gold Counting Down to Assault on $1300 - 28th July 10
America's Vision: National Capitalism - 28th July 10
European Sovereign Debt Crisis, Running Through a Minefield Backwards - 27th July 10
Gold, Hoping for a Break - 27th July 10
Stock Market Take-Off Tuesday Already? - 27th July 10
The Unlimited Power of Suppressing the Interest Rate - 27th July 10
Should the Fed Pump Even More Money? - 27th July 10
Is the Star in Starbucks Fading? - 27th July 10
Nasty MLP ETF Indicator Flashing Investor Warning Signal Again - 27th July 10
NAFTA Has Resulted in Increased U.S. Unemployment - 27th July 10
WikiLeaks Exposes Imperialist War in Afghanistan - 27th July 10
A Decade of Falling House Prices - 27th July 10
The Continuing Crisis in the New World Order - 27th July 10
WikiLeaks and the Afghan War - 27th July 10
BP Hopes for a CEO Savior in American Robert Dudley - 27th July 10
Will China Grab the Credit-Rating Business? - 27th July 10
Unemployment is Worse Than We Know, Economic Recovery Challenge Harder Than We Think - 27th July 10
Plausible Gulf Oil Spill Scenario: Underground Blowout and Mudflow - 27th July 10
The 'I's' of the Illuminati - 27th July 10
Good Potential in Junior Gold Miners - 27th July 10
Three Emerging Economies Bucking the Depression Downtrend - 26th July 10
U.S. Financial Reform Bill is 2300 Pages of Gobbledygook - 26th July 10
Crude Oil and Natural Gas Trading Using Technical's or Fundamentals, Which is Better? - 26th July 10
The Deflationary Cycle Full Monty, Eight Risks That Will Cause Deflation - 26th July 10
Stocks Search for Direction Post Bank Stress Tests - 26th July 10
Crude Oil Headed Unimaginably Higher! - 26th July 10
Four Shocking Economic Bombshells Bernanke Did NOT Tell Congress About Last Week - 26th July 10
China Stock Market Ready to Surge 50%: Part II - 26th July 10
Why Second Quarter Corporate Earnings Haven’t Spurred a Stock Market Rally - 26th July 10
Stocks Stuck in Trading Range Despite Positive Corporate Earnings Reports - 26th July 10
The Illuson of Economic Recovery, Major Indicators Point Towards Further Collapse - 26th July 10
Money Supply Divergence TMS1 vs. TMS2 vs. M2, What does it Mean? - 26th July 10
The Breakup of the United States - 26th July 10
Inflation, The Coming Rice in Prices - 26th July 10
Stocks, Commodities and Financial Markets, The Shape of Things to Come - 25th July 10
Yes, You Can Time the Market – Here’s How! - 25th July 10
Mid 2010 Investment and Economic Thought - 25th July 10
SP-500, GLD and GDX Investor Sentiment Trumps Everything - 25th July 10
Charting the Stock Market is Similar to Tracking a Squirrel Crossing a Busy Street - 25th July 10
Stocks Bull Markets Generate Economic Growth - 25th July 10
Metals Investing in Burkina Faso, The Land of Upright People - 25th July 10
U.S. is Insolvent and Faces Bankruptcy as a Pure Debtor Nation - 25th July 10
Obama Preparing to Attack Iran - 25th July 10
U.S. Taxpayers the Largest Source of Taliban Revenue - 25th July 10
Credit Based on Consumption Not Savings, Real Bills Revisted - 25th July 10
Thoughts on the Economy - 25th July 10
Positive European Bank Stress Tests Sending Markets Higher - 25th July 10
The Golden Chalice and Gold’s Greatest Correction Since 1980 - 25th July 10
Wages and Subsistence - 24th July 10
Why Currencies Play an Important Role in Corporate Earnings - 24th July 10
Elements of Deflation and the Super-Trend Puzzle - 24th July 10
Making Sense of the Economic Puzzle - 24th July 10
Statistical View of Price Ranges for U.S. and China Stock Markets - 24th July 10
NATO Pulls Pakistan Into Its Global Network - 24th July 10
U.S. Jobless Claims and Housing Market Data Point to Worsening Economy - 24th July 10
U.S. Need Not Fear Sovereign Debt Crisis, Unlike Greece, It Actually Is Sovereign - 24th July 10
Shadow Banking Makes A Comeback - 24th July 10
U.S. Economy Never Came Out of Recession, Pray and Hold onto Gold - 24th July 10
Gold BubbleOmics Revisited - 23rd July 10
Gold Market Spooked by Deflationary Double-Dip Recession Fears - 23rd July 10
U.S. Dollar's Never-Ending Plunge and Its Gold Consequences - 23rd July 10
Gold and Silver For Investor Profit and Protection - 23rd July 10
Credit Deflation Lands in Britain - 23rd July 10
Gold Diverging Trend From Weak U.S. Monetary Inflation - 23rd July 10
Markets Stressful Finish To The Week - 23rd July 10
Oil Stocks XOI Undervalued - 23rd July 10
The Strategic Ramifications of a US-Led Withdrawal from Afghanistan - 23rd July 10
A Battle Royal in the S&P 500 Stocks Index - 23rd July 10
Gold Market Manipulation, Swaps Signal the Roadmap Ahead, BIS The Super SIV Solution - 23rd July 10
UK Stealth Economic Boom, GDP 1.1% Growth Catches Press and Academic Economists By Surprise - 23rd July 10
Three Dividend Stealth Stocks - 23rd July 10
Mortgage Debt … Credit Card Debt … Corporate Debt — It’s all Shrinking! - 23rd July 10
U.S. House Price Forecast 2010 to 2015 - 23rd July 10
Hungary Could Trigger Next Sovereign Debt and Credit Crisis Event - 23rd July 10
How to Buy Gold - 23rd July 10
Signing Financial Reform Is Signing Up For A New Struggle To Make It Real - 23rd July 10
Plan For America To Control Federal Deficit Spending - 23rd July 10

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Analysis Topic: Market Oracle's Stocks Portfolio

The analysis published under this topic are as follows.

Portfolio

Monday, June 14, 2010

Managed Closed End Funds --- Solid Income Investments in Liquid Form / Portfolio / Investment Funds

By: Steve_Selengut

Best Financial Markets Analysis ArticleA Closed End Fund (CEF) is a publicly traded investment company that invests in a variety of securities such as stocks, bonds, preferred stocks, real estate, mortgages, oil and gas royalties, etc. The variety of sectors, classifications, and geographical representation is every bit as confusing as it is with traditional funds, but the advantages are easy to understand.

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Portfolio

Wednesday, January 13, 2010

Stocks Portfolio Relative Returns vs. Absolute Returns / Portfolio / Investing 2010

By: Money_and_Markets

Best Financial Markets Analysis ArticleMonty Agarwal writes: The term “relative returns” refers to returns as compared to a benchmark index. Most money managers, such as mutual funds, will aim to produce returns that beat a benchmark, e.g. the S&P 500 or the Nasdaq 100.

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Portfolio

Friday, January 08, 2010

Investors Search for Income, Preferred Stocks Secret / Portfolio / Dividends

By: Andy_Sutton

Diamond Rated - Best Financial Markets Analysis ArticleOne thing that is unlikely to change as we begin a new year and decade is the fact that savers continue to sit in the corner wearing the proverbial dunce cap. They’re an often unmentioned casualty in a world of bailouts, big government spending, and general financial irresponsibility.  In a normal, healthy economy, savers would be the focus of attention. In our deviant economy, however, where more people are employed by government than goods-producing industries, savers are disregarded. Harsh words? Absolutely. Certainly no one in charge has actually come out and said it, but as the old adage goes, actions speak much louder than words.

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Portfolio

Wednesday, December 23, 2009

Stock Market Portfolio Risk Management / Portfolio / Investing 2010

By: Hans_Wagner

Best Financial Markets Analysis ArticleOne of the most basic tenets of portfolio risk management is, do not lose money. Understanding the risk, you are assuming and how you intend to mitigate this risk is what separates successful investors from those that never make any money.

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Portfolio

Tuesday, December 15, 2009

Investor Long-Term U.S. Stock Bond Portfolio Allocation Results / Portfolio / Investing 2010

By: Richard_Shaw

Best Financial Markets Analysis ArticleAs you think about your asset allocation and return expectations, you should take multiple historical periods into consideration, as well as  current and forward conditions.  The  basic bonds to stocks mix in a portfolio is one of the primary drivers of overall portfolio return.

Short-term data is easy to access.  Long-term data is somewhat more difficult for many investors to find.  We’ll leave the current and forward conditions to you in this article, but this data may be helpful with respect to history.

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Portfolio

Monday, November 09, 2009

Very Long-Term Portfolio Asset Allocation Analysis Results / Portfolio / Investing 2009

By: Richard_Shaw

Best Financial Markets Analysis ArticleNobody has the time or patience to wait 82 years to experience the long-term, but if they did (or if they wanted to bet on the future based on the long-term past), here is how a simple allocation between the S&P 500 index and the U.S. Aggregate Bond index worked out from 1926 through 2008.

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Portfolio

Tuesday, October 13, 2009

Do You Really Have a Diversified Portfolio? / Portfolio / Learning to Invest

By: Andrew_Abraham

I have heard so many times when speaking to investors that they have a diversified portfolio. I ask further and I have been told that they maintain a diversified portfolio of stocks consisting of both domestic and international companies. My immediate question is, are you really reducing your risk? Especially in these times it is paramount to have a diversified portfolio and try to mitigate some of inherent risks.

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Portfolio

Thursday, October 08, 2009

A Simple, Incredible System that's Beaten the Market by 10% a Year / Portfolio / Trading Systems

By: DailyWealth

Best Financial Markets Analysis ArticleDr. Steve Sjuggerud writes: "Using a form filed with the government that's available to everyone, we've found ways to beat the market by as much as 10% a year."

Investment analyst Mebane Faber told me that recently (in so many words), over dinner with my good friend and mentor Van Simmons.

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Portfolio

Wednesday, September 30, 2009

Portfolio Asset Allocation Analysis / Portfolio / Investing 2009

By: Richard_Shaw

Best Financial Markets Analysis ArticleIt can be useful to know how the average other guy is allocating assets, whether you are inclined to follow the crowd or to do something else.

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Portfolio

Thursday, September 17, 2009

Build Your Stocks Portfolio With Different ETF Weightings / Portfolio / Exchange Traded Funds

By: Ron_Rowland

Best Financial Markets Analysis ArticleYou probably know that exchange traded funds (ETFs) are usually based on an index. In some cases the indexes are broad, like the S&P 500. Others are narrowly specialized in sectors like biotechnology or software. This means that ETF investors need to understand how indexes work.

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Portfolio

Wednesday, August 12, 2009

Investment Grade Value Stock Index (IGVSI) Soars 24% / Portfolio / Investing 2009

By: Steve_Selengut

The Investment Grade Value Stock Index is a barometer of a small but elite sector of the stock market. Some Investment Grade Value Stocks are included in all averages and indices, but even the Dow Jones Industrial Average includes several issues that are below Investment Grade and very few boast an A+ S & P rating.

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Portfolio

Friday, July 24, 2009

Investment Portfolio Diversification & Risk / Portfolio / Learning to Invest

By: Andy_Sutton

Best Financial Markets Analysis ArticleThe cliché’s are plentiful and well known. Putting all of one’s eggs in a single basket is probably the most popular example. One of the biggest manifestations is when an investor looks at their portfolio and realizes that it is grossly underperforming a particular market index or that the same portfolio has performed much worse than a given benchmark. Even if you’ve done everything right and selected the right themes, industries, and firms, if you get the portfolio mix wrong, you can still have problems. This is one of headaches that mutual funds are generally supposed to relieve investors of, but for a litany of reasons, it doesn’t seem to always work out that way. In truth, every individual portfolio is a mutual fund of sorts, and so the same rules apply.

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Portfolio

Tuesday, July 14, 2009

Is Your Stock Portfolio Under Water? / Portfolio / Learning to Invest

By: Dudley_Baker

Best Financial Markets Analysis ArticleLet’s be honest, these are very challenging times to be an investor. Regardless of all of the positive spin from CNBC and from many newsletter writers and analysts this has not been the best of times to be ‘in the game’.

For those of us who are ‘in the game’ the question now is what do you do? How do you proceed today? How can you limit your risk going forward?

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Portfolio

Wednesday, May 20, 2009

Boost Your Portfolio by Investing in Emerging Markets / Portfolio / Emerging Markets

By: Uncommon_Wisdom

Best Financial Markets Analysis ArticleTony Sagami writes: The Dow Jones Industrial Average suffered a 3.5 percent loss last week. One of the main culprits was a report from the Department of Commerce that retail sales dropped by 0.4 percent in April.

That was on the heels of a 1.3 percent drop in March. And back-to-back quarterly declines in the last half of 2008.

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Portfolio

Sunday, May 17, 2009

Portfolio Allocation Technical Analysis Tables Across 52 ETFs / Portfolio / Exchange Traded Funds

By: Richard_Shaw

Diamond Rated - Best Financial Markets Analysis ArticleComparing the charts for multiple funds can be challenging.  Visual memory is fleeting, and the sheer information complexity of chart patterns poses the problem of what and how to compare on the charts.

To reduce the extent of those problems, we collect 15 data points from each chart and post them in a table, then color code them red or green to aid in scanning the table.  By that method we can compare dozens of charts in a standardized way that is completely beyond our visual memory capabilities.

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