Following up a previous post on financial voyeurism, here’s the headlines for stocks for a period of time:
- Monday: Stocks close lower on caution about economy
- Tuesday: Stocks retreat after disappointing consumer report
- Wednesday: Dow slips on Greece, domestic concerns
- Thursday: Stocks backtrack but still fall on economic fears
- Friday: Dow Rises 4 on Good GDP Data, Bad Housing News
The lesson here is: the stock market reacts to bad news in a bad way and good news in a good way. Who would have thought such a thing?
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