Playing Brexit: Long Euro & short Sterling

The Brits are officially leaving the European Union (EU), following the invoking of Article 50 and British envoy Tim Barrow handling a letter to the EU Council on the 29th of March 2017. An informative book on the subject is explored by Roger Bootle of Capital Economics, and I've found it to be highly instrumental … Continue reading Playing Brexit: Long Euro & short Sterling

Review of 1st Quarter 2017 & Portfolio Update

While it was a decent 3 months for both broad equity and bond markets, all my trades did not work out as expected and I cut all┬ámy initial positions that were initiated in January. Additionally, a couple of my positions that were USD-denominated also saw valuations affected by the slight weakening of the Dollar against … Continue reading Review of 1st Quarter 2017 & Portfolio Update

My thoughts on Brexit – and its implications

While a ton has been said on the United Kingdom's European Union (EU) referendum results since the 23rd of June, I will explain 2 major implications that I personally feel could lead to several, long-lasting effects across the world as we know it, as well as some implications that they could have on the investment … Continue reading My thoughts on Brexit – and its implications