ShortThe CAC 40 is going down today after reaching all time high weeks ago the question is how far this correction can go or we will move to a bear market but for now this is just a little correction
my strategy is to short if we close below 5850 and target 5700 then 5650 but becarful a positive tweet about trade war could give the market a boost so short at 5840-30 to target 5700 with a stop loss at 5860
F40 trade ideas
Current euphoria based on higher risk premium ... Patrick Artus affirms that European Markets should maybe be priced 25% higher from current levels based on a 3% risk premium differential.
US markets are mostly inflated by share buybacks because this is how the stockholders are remunerated, whereas in France for instance, dividends are on the order of 3.5%.