TimerTrac Broadcast – Market Timers’ View Amid Covid-19
TimerTrac Broadcast – Market Timers’ View Amid Covid-19

Broadcast ScriptTimerTrac Developer Spotlight:

Ploutos Wealth
(Paul Coan)

Broadcast Script

News 0.3
News Items:

(February 12, 2021)
Developer name changes from Michael Hartmann to WNRS Pathfinder.

(February 3, 2021)

Developer name changes from W. Wall and Company, Inc to Warren Wall.

(February 1, 2021)
Equity Defense starts tracking with 7 new strategies. Each strategy name indicates the % invested in each fund.
(February 1, 2021)
Teabull Asset Timer Ltd ends the tracking of four strategies called "Teabull ST Bond Market Premium, ST Gold Market Premium, MT Bond Market Premium, and MT Gold Market Premium."
(January 26, 2021)
OraclePM and The No-Load Fund Advisor, both managed by the same individual, end the tracking of all strategies.
(January 25, 2021)
StockIndexTiming.com starts tracking with one new strategy called "StockIndexTiming."
(January 6, 2021)
Leveraged Momentum changes the name of a strategy from "Leveraged FANG from Leveraged Momentum" to "FNGUTrends from Leveraged Momentum."

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Developer Information

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        Trade           History

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Performance Graph

Market Timing in Australia

Sunday, February 14, 2021

Australia's Market: 

Australia’s All Ords index has faltered in the last week. It fell by 0.4% between Friday 5th and Friday 12th February. Last Friday the All-Ords index was just 2.4% shy of its previous historic high on the 20th of February 2020.

America’s Market:

America’s S&P500 share index remains bullish on short-to-medium term trend analysis with both its trend and momentum strengthening last week. 

The Robinhood showdown between amateur and professional day traders ended the week before with the latter winning. The smart money has resumed control of the market.


Monday, February 15, 2021

The US stock market risk sunk to a low-risk level of 14%. US tech stock risk closed lower at a low-risk reading of 13%.

The global stock risk rating decreased to a low-risk reading of 17%.
The regional stock risk score of the US, Canada, and Western Europe declined to a low-risk level of 11%.

Quick info:
Generally, a risk level equal to or above 60% indicates a rather high-risk and unfavorable market environment.

The comprehensive and broad global stock risk rating (GSMR) is tracking 101 stock markets of developed and emerging countries (e.g., US stock market). The GSMR consists of eight regional stock risk ratings (e.g., US, Canada, and Western Europe).

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