Our equity/bond model - This long term reliable investing model provides investors with simple decision making in the markets:
Our benchmark S&P 500 is on a buy signal.
Oil sector is on a major sell signal.
VIX – volatility index
VIX is now up and markets are down.
Summary
The long term signal on the broad market is up.
However, the current investing model favors bonds, therefore, investors should continue to overweigh with long bonds or bond ETFs for safety.
The best opportunity will be in the gold sector after the current correction.