Topley’s Top 10 – January 27, 2021

1.Low Volatility Stocks vs. MSCI USA Index is at Widest Level Since 1999.

The return differential between the MSCI USA Minimum Volatility Index, which owns a portfolio of low-volatility stocks, and the MSCI USA Index is now at its widest level since 1999, says John Kolovos, chief technical strategist at Macro Risk Advisors. Owning some of these left-behind companies could be the way to add some ballast to a portfolio in case of a drop, Kolovos says.

Big Tech Stocks Are Back. What’s Behind the Nasdaq’s 4% Rally. By  Ben Levisohn https://www.barrons.com/articles/big-tech-stocks-are-back-whats-behind-the-nasdaqs-4-rally-51611364722?mod=past_editions

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