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I am currently rethinking my move base on the rates due out on Thursday.
The 20th of June and the USM dropped as did the FTSE.
Well we survived the 4th. BACK TO WORK! Ugh.
So far this week has worked out well. I am concerned about China's little drop. BOE raised rates and the OSM is shaking it off. Premarket is green and dollar is weak.
I'm not sure what I will do today. Asia may react badly to China's 5% + drop and it could ripple to EZ and then USM. There is room for the OSM to rise but resistance is coming.
Now that's no reason to sell the poor critter. Cut him into pieces and fry him up maybe...but don't sell your little horsey!![]()
Exited the F fund a day to early. Going to stick with the 100% I fund move.
GL all.