An American Financier’s No Good, Very Bad British Adventure
Background on Boaz Weinstein: Former Deutsche Bank trader Boaz Weinstein created hedge fund Saba Capital after suffering losses during the financial crisis and is known for significant market predictions, including his role in the downfall of a JPMorgan trader and anticipating Covid-19 market impacts.
Current Challenges: Weinstein is currently facing one of his toughest challenges yet, which is reportedly not going well.
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Analyst Views on EWI

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U.S. Market Performance: The S&P 500 has gained 15% year-to-date, primarily driven by large-cap technology stocks, but U.S. equities have underperformed compared to several international markets.
International Market Gains: Countries like South Korea and Peru have seen equity returns exceeding 80%, with strong performances in Southern Europe and resource-rich economies due to rising commodity prices and improved growth expectations.
Investment Outlook: J.P. Morgan Asset Management suggests that investors should diversify away from U.S. tech stocks, as future global equity performance may favor markets with strong earnings growth and attractive valuations.
Regional Diversification Benefits: The report emphasizes that diversifying investments can mitigate risk and enhance returns, particularly if enthusiasm for U.S. artificial intelligence themes diminishes.
Infrastructure Project Approval: Italy has approved a €13.5 billion suspension bridge project connecting Sicily to the mainland, which will be the world's longest of its kind and is expected to enhance economic development and national security.
Political and Economic Implications: The government argues the bridge will improve military logistics as part of NATO obligations, despite ongoing criticism regarding costs, environmental concerns, and the potential for corruption.
US Stock Market Performance: The S&P 500 and Nasdaq Composite are nearing record highs, with sectors like communication services, tech, and industrials showing strong performance, while foreign markets, particularly in Central Europe, have significantly outperformed US equities this year.
Cryptocurrency and Commodities Update: Bitcoin has seen a substantial rally, breaking past $110,000, while Ethereum also shows signs of growth. Additionally, metals like platinum and silver are experiencing breakouts to multi-year highs, indicating strength in the commodities market despite a stable dollar.
Market Trends: This year has seen a reversal in stock market performance, with undervalued markets beginning to outperform overvalued ones, despite U.S. investors' reluctance to diversify their portfolios internationally.
Poland's Stock Market: Poland's stock market is highlighted as an attractive investment opportunity, featuring a low CAPE ratio of 9.22, indicating potential for strong future returns according to valuation measures popularized by Robert Shiller.

Eurozone Manufacturing and Services PMI: The HCOB Flash Eurozone manufacturing PMI rose to a 26-month high of 48.70 in March, while the composite PMI reached a 7-month high of 50.40, indicating growth in both manufacturing and services despite a slight decrease in services activity.
Economic Outlook and Challenges: Business expectations remain low in the services sector due to ongoing challenges such as tariffs and geopolitical tensions, although there is potential for Europe to unify on reforms and defense spending amidst these uncertainties.
Market Performance: European markets showed positive movement with the UK, Germany, and France indices rising, while Germany's manufacturing PMI indicated an upturn, contrasting with a decline in France's private sector output.
Economic Indicators: The U.S. 10-year Treasury yield increased, while Germany's yield also rose slightly; traders are optimistic about upcoming U.S. tariffs being less severe than expected, as they await flash PMI readings from Europe and the UK.








