Thursday, March 10, 2011

A scenario to consider

The Coming Rout 

by Chris Martenson


There's a scenario that could play out between May and September in which commodities (including my beloved silver) and the stock and bond markets could all sell off between 20% and 40%. The trigger will be the cessation of QE II and a multi-month pause before QE III.
Comment:  Better get out before the music will stop, and stop it will - at least for some time.

No comments:

Post a Comment