The Bull Valley Advisor
06/30/2021 BVA Valu Momentum Portfolio Performance and Market Commentary
BVA Value Momentum Portfolio Strategy YTD Performance as of 02/28/21 with general market and economic commentary.
This episode covers the YTD performance of the BVA Value Momentum Portfolio Strategy as of 12/31/2020. It also discusses global market performance across asset classes as well as US Sector Valuations.
This episode discusses global stock market, commodity, bond and currency returns for the week ending July 31st 2020, as well as for year-to-date 2020. It also reports on current relavent economic data.
In this episode I will discuss the communique from the G20 meeting in Saudi Arabia addressing the coronavirus
In this episode I will be discussing my BVA Value Momentum Portfolio Strategy Year-to-Date performance as of January 31, 2020, as well as general market commentary
This special report will discuss the People's Bank of China's announcement today that it will inject $174 billion of liquidity into reverse repo agreements on Monday
In this episode I will be discussing the troubling significant rise in the VIX this past week as well as the troubling and significant drop in the Baltic Dry Index.
In this episode I will discuss the Federal Reserve and its response to the freeze up in the repo Market on September 16th and 17th of 2019 when interest rates jumped from 2% to 10% in one day.
In this episode, Len Martinez, President of Bull Valley Advisors, reviews 2019 performance for his BVA Value Momentum Portfolio Strategy. He also discusses Market Performance for various Global asset classes in 2019. Finally he takes a look at what he is watching for in Global Markets in 2020.