Previous Market Predictions
March 2- June 14, 1996
Deutschemark Futures:
SELL, long and short term, weeks #1 - 14.
buy at 0.6420, week #15.
US Bond Futures:
BUY, long and short term, week #1.
STAY OUT, week #2.
SELL week #3.
STAY OUT, week #4.
SELL at 110^30, weeks #5 - 11.
BUY at 110^05, week #12.
STAY OUT, week #13-15.