Analyzing market dynamics and trading opportunities amid US market closure. Key highlights:
• Bond market selloff continues, pushing yields higher
• Russell 2000 affected due to companies' reliance on borrowing
• VIX remains elevated, indicating market stress
• Canadian market shows resilience, with financial sector supporting TSX
• Energy sector on buy signal, presenting potential trading opportunities
• Telecom (BCBA:TECO2m) sector struggles, but short-term trades possible
This content was originally posted on the Stock Market Timing YouTube Channel