This video begins with an overview of two long-term indicators that warn of a significant bear market in the foreseeable future followed by a discussion on not only how to survive, but how to prosper during the next major downtrend in equities. Going forward, the stock market is likely to continue to shift away from the buy & hold + indexing strategy that has worked unusually well in recent years towards a trading & investing environment that will likely be marked by increased sector & asset class rotation while security selection (i.e.- individual stock picking vs. index investing) & tactical asset allocation comes back in vogue.

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