We are in a Bull Market until 2029, Biggest Bull of our Lifetime, and then 2029 will be a 1929 event , 100 years repeat.
We have had the Pullback in the Midterms, the average year performance on the World markets in the year after the midterms is 37% rise from the dip and 17% rise from the day after midterms to 12 months after.
This isnt a general market thread, its 14D , so coming on here speeling your BS about a World Wide Crash is just nonsense.
Interest rates are 1.5% here, and our Index Markets would have to have broken the 2007 Highs before it was in risk territory. Interest rates would need to be over 6 or 7 % for it to be in risk areas.
For our Markets to be at risk, we would need higher % rates, and have broken al time highs and ran way too far, and that wont happen until 2029.
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