The model observes that credit stress and general market nervousness outweigh any attempts at a price recovery.
The model maintains its caution
Recent newsletters
2026-09-22 · Daily digest · ENCalm conditions support current holdings2026-09-22 · Resumen diario · ESLa calma apoya las carteras actuales2026-09-22 · Tagesüberblick · DEDie Ruhe stützt die aktuellen Bestände2026-09-22 · Dagoverzicht · NLRustige omstandigheden steunen de huidige posities2026-09-21 · Daily digest · ENVolatility shapes the stance of the model2026-09-21 · Resumen diario · ESLa volatilidad empuja la postura del modelo
Keep learning
Related guides to deepen your understanding of signals, metrics and validation.
Maximum drawdown: risk tolerance
What it measures, how to read it and why it matters more than annual return.
Read guideBULL, BEAR and NEUTRAL signals guide
How the model picks each signal and when NEUTRAL shows up.
Read guideDCA vs market timing
What works better depending on horizon and investor discipline.
Read guideExternal sources