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Combining the fields of finance, economics & geopolitics to gain market analysis and insight.

My blog focuses on FINANCIAL MARKET ANALYSIS & INSIGHT from a macro as well as a micro – level point of view. The information is straight forward, honest, simplifies complex matters, questions some oversimplified matters, all while being as easy as possible for readers to understand.

I primarily focus on capital and currency markets by combining insights, analysis & ideas from the broad field of finance, in addition to combining ideas and insight from the fields of neuroscience and geopolitics.

Blog … GOOGLE SEARCH RESULTS AS OF 8/29/11

CURRENTLY RANKED #1 BLOG FOR ” INTERNATIONAL FINANCIAL MARKETS ” KEYWORD PHRASE OUT OF OVER 33 MILLION GOOGLE SEARCH ITEMS

BLOG COMMENTS :

Mr. W. Nelson, former Risk Manager at Robert W. Baird & Co.

” I found your blog to be quite informative and interesting. You have some salient insights into the current state of financial markets… ”

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In this current ” Information Age ” it is now more important than ever for ideas and views to be openly discussed within reason. Please read ‘ disclaimer ‘ below. Any constructive criticism, feedback or comments of any kind are always welcome and appreciated.

By reading any posts from this blog or any information recommended or referred from this blog, the reader is required to read and agree to the “DISCLAIMER PAGE.”

BECOME PART OF THE CONVERSATION !!

Other relevant insight and analysis can be found on http://www.LinkedIn.com. Please see other group discussion participation ( posts ) of mine. I also make a point to answer relevant  LinkedIn Answers. Some have included being categorized as : ‘good answers’ in Economics, Wealth Management and Commodities Markets … and ‘best answers’ in Supply Chain Management, Retirement & Estate Planning as well as Currency Markets.

Popular Content in this blog:

DOMESTIC, MUNICIPAL BONDS & V E R Y SELECTIVE FOREIGN BONDSRated 5/5 (1 Vote)

PHARMACEUTICALS … Trends To Look ForRated 5/5 (1 Vote)

New REAL-TIME Financial Blog Post ( PART 1 of 2 ) SOVEREIGN DEBT … Global
Financial Markets and the European UnionRated 5/5 (1 Vote)

NEW IDEAS IN FINANCIAL MODELING FOR EQUITY MARKET VOLATILITY GLOBAL EQUITY MARKET VOLATILITY IN RESPONSE TO EFFECTS OF BOTH CYCLES AND ELEMENTS OF VARIOUS DOMESTIC CONGRESSIONAL AND ECONOMIC EVENTS AND ISSUES          JULY 1, 2010           (2 Votes)

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About Neven's Blog

My blog focuses on FINANCIAL MARKET ANALYSIS & INSIGHT from a macro as well as a micro - level point of view. The information is straight forward, honest, simplifies complex matters, questions some oversimplified matters, all while being as easy as possible for readers to understand. I primarily focus on capital and currency markets by combining insights, analysis & ideas from the fields of finance, economics and geopolitics.

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