The articles posted on this platform aim to explain and analyze the relevant market information based on the cross-asset analysis: interest rates, forex, commodities, and equities.
Our research and editorials focus on the two key global-macro variables: 1) the probability of a US recession, 2) the long term US Dollar cycle.
The articles are written by the authors that have an academic background and significant practical experience.
The Editor is Damir Tokic, Ph.D. (the University of Texas RGV), Editor-in-Chief of the Journal of Corporate Accounting and Finance (Wiley), and a Series 3 registered Commodity Trading Advisor (CTA).