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As I watch this "wack-a-mole"
stock market that goes down only shortly on bad news, only to "pop right up"
again to frustrate the shorts....
I wonder if this scenario is
plausible over the next 18 months:
1) continued government
deficits and demand for funding cause interest rates to begin
rising...
cueing a fall in the bond
market; the long running boom in the real estate market
ends.
2) foreign capital begins to
withdraw from all US financial markets as the US dollar tumbles against major
currencies
3) US stock markets decline due
to low-or-no earnings growth and valuation concerns.
Has this ever happened in US
financial history before: all 3 markets decline simultaneously
?
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