Here's a statement of the obvious: The opinions expressed here are those of the participants, not those of the Mutual Fund Observer. We cannot vouch for the accuracy or appropriateness of any of it, though we do encourage civility and good humor.
Gundlach also covered this topic as something that may foretell a correction or bear market if margin debt keeps declining. Obviously that is highly correlated with stock prices, and the two are starting to diverge
Comments