الثلاثاء، 11 مارس 2025

The S&P 500 isn't going where analysts predict

My tracking system just spotted something alarming...
 
   
     
Hey,

Most traders missed what happened last week.

While the mainstream media obsessed over Trump's second round of tariff exemptions for Canada and Mexico, I was tracking unusual institutional money flows that tell a completely different story.

 
 
These flows are pointing to a major shift coming in Q2, and it's not what most investors expect.

I've spent the past week analyzing how these tariff policies, combined with Trump's new cryptocurrency executive order, are creating a perfect setup in one specific sector.

And if you’ve been following my updates, you’d have heard me talk about my system for tracking institutional buying… The one that's delivered a 94.1% win rate across 300+ trade alerts.

Well, it's flashing again… 

While retail investors panic about trade wars and market volatility, insiders are quietly positioning for a significant move in Q2.

I've compiled everything into a comprehensive Q2 Market Outlook:

 
My S&P 500 forecast (which contradicts what you're hearing from major banks)
 
The sectors being reshaped by Trump's shifting tariff policies
 
How the new cryptocurrency reserve executive order is affecting traditional markets
 
My #1 stock pick for 2025 that's perfectly positioned to outperform in Q2
 
As you’ll soon see, this analysis isn't something you'll find on CNBC or in The Wall Street Journal.

It's based on tracking real institutional money movements as they happen, not after.

Naturally, I cannot promise future returns or against losses, if you’re interested, you can see my complete Q2 Market Outlook here.

These opportunities don't announce themselves - they reveal themselves to those looking in the right direction, that’s exactly what you’ll find inside.

All the best,


Roger Scott

Stated results are from hypothetical options applied to real published trades from 10/30/23 - 3/5/2025. The result was a 94.1% win rate on 304 trades, an average return of 11.2% including winners and losers and average hold time of less than 24 hours. Performance is not indicative of future results. Trade at your own risk and never risk more than you can afford to lose.
     
     
   
 

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