Investing in equities in US and Canadian exchanges while adjusting for risk and volatility. Focus is primarily on fundamentals and Industry sector specific shifts. Carefully watching flow of funds out of China. What if GDP growth there is much lower?
Risk and portfolio manager. Former long/short hedge fund manager and prop trader. 20 years of market experience. Started career on Wall Street in the heady 1990s. MBA in Finance from NYU Stern. @seeitmarket contributor. Opinions are my own.