2010
- Markets RoundUp - 26 Jul 2010
- Pictorial Roundup of World Stocks and Bonds - 12 Jul 2010
- SP 500 Approaches Bear Territory -- Near-Term Price Target 900 - 06 Jul 2010
- US Bond Market Situation - 21 Jun 2010
- Charts Window on Key Asset Categories - 27 May 2010
- Equity Market Re-Entry Prices - 10 May 2010
- Stop Loss Order Setting Indicators - 04 May 2010
- Charts Window on Key Bond Categories - 01 Apr 2010
- Chart Views - 3 Key Stock and 3 Key Bond Categories - 26 Mar 2010
- A Look At The SP 500 After A Tough Week - 08 Feb 2010
- To Bond or Not To Bond? - That Is The Question - 01 Feb 2010
2009
- Long-Term US Stock-Bond Allocation Results - 14 Dec 2009
- Interest Rates: What They Say Now - 08 Dec 2009
- Interest Rates and Bonds Today - 08 Nov 2009
- SP 500 Current Status and Year-End Projections - 19 Oct 2009
- Bond Funds Price Change vs Volatility - 27 Sep 2009
- Options Implied Stock Prices Forward 30 Days - 25 Aug 2009
- Rocky Balboa on Investing - 28 Jul 2009
- Trolling for High Quality Equity Income - 14 Jul 2009
- State Budget Gaps and Investment Implications - 07 Jul 2009
- Filtered Equity Income Stock Prospects - 17 Jun 2009
- Quantitative Chart Comparisons: Key Categories - 10 Jun 2009
- SP 500 Trend and Reversal Prospects - 26 May 2009
- The Insider Selling Question - 05 May 2009
- Chart Trend Comparisons - 28 Apr 2009
- 6-Month Correlation Among iShares ETFs - 22 Apr 2009
- Difficult Times for Dividend Investors - 07 Apr 2009
- SP 500 Trends: 1980 - 2009 - 15 Mar 2009
- Plausible SP 500 Downside Target at 500 - 21 Jan 2009
- The Dividend Dilemma - 15 Jan 2009
- Oil Price Prediction Through Gold - 11 Jan 2009
2008
- Are Oil and US Dollar Inverse? - 16 Dec 2008
- The State of State Muni's - 08 Dec 2008
- Domestic and Global Funds Money Flows - 02 Dec 2008
- $7.4 Trillion Bailout - Oh My, Oh My - 24 Nov 2008
- Lower Prices Now - Massive Inflation Later? - 16 Nov 2008
- Wiley Coyote Suspended in Air Over a Canyon - 08 Nov 2008
- Investment Approach for Mature Accounts - 31 Oct 2008
- SP Returns Since 1927 Are Important - 26 Oct 2008
- SP Index at 400? - 12 Oct 2008
- Cost of Bailout Per Taxpayer by Income - 30 Sep 2008
- Whither Oil Prices? - 06 Sep 2008
- Board and Executive Compensation in SP 500 - 05 Aug 2008
- Bank Executive Compensation and the Bailout - 19 Jul 2008
- ... And They All Fall Down - 10 Jul 2008
- World Market Weighting Your Equity Allocation - 22 Jun 2008
- Islamic Funds Avoid the Financial Meltdown - 20 Jun 2008
- Avoiding Wash Sale Rule with Alternate Accounts - 02 Jun 2008
- Some Basic Suitability Issues in Portfolio Design - 30 May 2008
- Tax Loss Harvesting and Standby Substitutes - 20 May 2008
- Risk Adjusted Returns, a Visual Approach - 13 May 2008
- Investing in Banks - KBW Large Bank Index - 13 May 2008
- Major Asset Class 1,3,5,10 and 15 Year Returns - 05 May 2008
- Importance of Major Asset Class Volatility Ranges - 05 May 2008
- Historical Private and Public Real Estate Prices - 02 May 2008
- Geography of non-US Stock Markets - 28 Apr 2008
- Practical Issues Calculating Portfolio Return - 26 Apr 2008
- REIT-Treasury Yield Spreads (1971 to-date) - 23 Apr 2008
- Managing Sector Funds in Portfolio Design - 18 Apr 2008
- Worldwide Mutual Fund Assets - 16 Apr 2008
- Investment Theme Dimensions - 15 Apr 2008
- Wages of Ownership -- the Retirement Years - 13 Apr 2008
- 80 Year History: Dividend Yield vs Interest Rates - 01 Apr 2008

