While early indications are risk ‘on’, I still remain in long bonds (core position) and cash. Seems Q4 GDP will be weak so until a clear trend presents itself risk capital for me is in cash.
See this link:
http://advisorperspectives.com/dshort/guest/John-Carlucci-Best-Indicator-Ever-Update.php
AND
VIX TREND see side link….
