Forecast Friday 📈
Median forecast, next 15 days: SP500 â–²+0.8% | Bitcoin â–²+0.4% | 10Yr Treasury Yield â–²+0.5% | VIX Volatility â–²+1.8%
This week’s model is looking less confident about the direction of the markets, although it is a little more confident about the direction of the S&P. It gives a 62% chance that the S&P500 will be higher in 15 days than it is as of Friday, while the other markets are basically a toss-up.
The exciting thing is that last week’s model correctly predicted the overall direction of all 4 of the markets this week; however the model is currently designed to anticipate 15 days of trading, not just 5. Maybe that will be changed in the future.
Note: This is for informational purposes only and is not intended to be personal financial advice; be cautious — there is always risk involved with financial decisions!



