Investors are now beginning to realize that reopening economies too quickly could be detrimental in the long run — setting everything back from economic recovery.
Here’s the bottom line: The markets will be in a wait-and-see mode for the next couple of weeks.
There’s no telling how reopenings are going to pan out, and investors want to keep their eyes on it until they can get a proper gauge of things.
Nothing may be certain right now, but that doesn’t mean we can’t take advantage of the current market action — there are opportunities right now on the long side and the short side.
Get them here.
In today’s video, I’m also covering current global market positioning… sectors that are weakening… a prime sector for downside move… the weakest blue-chip stock to sell… and the best put option to buy, including strike price and expiration.