The above graphs show financial risk is soaring among European banks (source: ZeroHedge).
The Peter Dag Portfolio regularly documents the change of several proprietary indicators measuring financial risk.
Financial risk measures are crucial for stock market investors. A rise in financial risk is a reliable signal which has always preceded bear markets.
You will encourage me to update this blog with my assessment of what is happening to the economy and financial markets by entering a subscription to The Peter Dag Portfolio.
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George Dagnino, PhD
Editor, The Peter Dag Portfolio
Since 1977
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