George Putnam
The Turnaround Letter
John Reese
Validea
Elliott Gue
Personal Finance
Nicholas Vardy
Bull Market Alert

Keith Fitz-Gerald


Bookmark and Share


What’s going to happen next in global markets?

If you ask Keith Fitz-Gerald, he’ll tell you “a lot, but not what most investors will expect.” That’s because developed economies like the US, Europe and Japan are likely to have fiscal hangovers that will haunt them for years to come.

Keith Fitz-GeraldMeanwhile, the center of power is shifting to emerging economies led by China and India that will undergo a “golden era of expansion” that will dwarf anything the world’s seen to date. He believes that if investors do not take this into consideration will get left far behind.

Advertisement
Banner

When Keith speaks, savvy investors listen. He is one of the few to correctly call the dot.bomb collapse in 2000, the cyclical recovery in 2003 and the credit crisis in 2007 – a full year in advance. He’s got one of the best documented (and most accurate) predictive records in the business.

Keith is the Chief Investment Strategist for Money Map Press and Money Morning, is read by more than 500,000 subscribers each day in 30 countries. It’s free just in case you’re wondering. He also writes the following paid publications: The New China Trader, The Money Map Report, The Geiger Index and The Time Trader Pro – each of which is also read by customers around the world.

A former professional trade advisor, Keith has provided analysis, trading direction, and performance measurement to institutions and qualified individuals over a 20+ year career. He is regarded as one of the world’s leading experts on global investing and is a popular, highly sought after speaker at financial conferences around the world – especially when it comes to Asia.

Keith’s new book, Fiscal Hangover, is being well received and hit the #1 slot on Amazon.com’s investing & finance list shortly after it debuted in November, 2009. A frequent traveler who lives part-time each year in Asia, he believes in boots on the ground when it comes to identifying opportunities that will profit.

Keith is also a founding Fellow of the Kenos Circle, a Vienna, Austria-based think tank whose members work with institutional, corporate, and government clients worldwide to predict future economic and financial events.

When not writing or travelling the world in search of investment opportunities others don’t see or yet recognize, Keith is a competitive triathlete and martial artist. He enjoys all manner of outdoor activities with his wife and two boys. He and his family split their time between the United States and Japan.

Keith has appeared on Fox, Reuters, and CBS Marketwatch and numerous radio programs. In addition, his comments have been featured in such diverse publications as Barron’s, Minyanville, AOLFinance, and Bloomberg.



News Flash

Taseko Mines: Copper gains
by Brien Lundin, editor Gold Newsletter

Taseko Mines Limited (TGB) began January by announcing its fourth quarter and year-end production results for 2011 at its 75%-owned Gibraltar Mine in British Columbia.


Read more...

 

Select Dividend for equity income
by Benjamin Shepherd, editor Wall Street

For just the second time since 1947, the dividend yield on the S&P 500 exceeds the yield on 10-year US Treasury notes. The S&P 500 currently yields 2.2 percent, while 10-year Treasuries yield just 1.85 percent.


Read more...


   

Goldcorp: 'My favorite major'
by Curtis Hesler, editor Professional Timing Service

The secular bull in gold and the commodity sector is not over. However, it is not at the ground floor any longer either; as such, stock selection must be more carefully considered.


Read more...

 

Money manager's small cap buys
by Jim Oberweis Jr., editor The Oberweis Report

Small-cap growth stock valuations are cheap, and like most things in life, economies are cyclical, even if this is a long and painful one. For the rare, brave contrarian with a reasonably long time horizon, that spells opportunity.


Read more...

 

Opportunities in homebuilding?
by Bernie Schaeffer, editor Schaeffer's Investment Research

Based on our "expectational analysis" strategy -- which  combines fundamental, sentiment and technical metrics -- I initiated long positions in two homebuilding stocks: Lennar Corporation (LEN) and Toll Brothers (TOL).


Read more...

 

Cliffs Natural: A DRIP favorite
by Vita Nelson, editor MoneyPaper

Our latest featured dividend reinvestment stock is Cliffs Natural Resources (CLF). Founded in 1847, the former Cleveland-Cliffs is the largest producer of iron ore pellets in North America.


Read more...

 

S&P's trio of info tech ETFS
by Dylan Cathers, S&P Capital IQ Equity Analyst, S&P The Outlook

Information technology is one of four sectors that S&P Capital IQ’s Sector Strategy Group currently recommends investors overweight in their portfolios.


Read more...

 

Crescent Point: Bakken bet
by Brian Hicks, editor Wealth Advisory

Master Limited Partnerships (MLPs) are unique investments that combine the tax benefits of a limited partnership (LP) with the liquidity of common stock.


Read more...

 

Natural gas: A bottom?
by Jason Cimpl, editor Daily Profit

Natural gas has collapsed for the past four years and has been on a gradual decline for almost a decade. Prices topped near $16 in 2005 and then declined to $2. So did natural gas just bottom?


Read more...

 

FBR Focus bests 99% of peers
by Walter Frank, editor MoneyLetter

Funds that invest in a relatively few stocks or sectors are less diversified than broadly invested funds and their volatility can be much higher. But the team at FBR Focus (FBRVX) seems to be getting it right.


Read more...