I am a classic valuation and sentiment extreme trader. I use a proprietary "quad-unity" system for my trading, i.e. Fundamental Analysis, Technical Analysis (mainly Elliott Waves), Quantitative Models all overlayed with a Behavioural context.
My style requires large amounts of conviction with a good dose of intuition.
I am holding myself back from entering the relative trades I like to enter at momentum extremes. Ideally I would prefer being long Australia relative to short the US but for now I remain steadfast short across the board.
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