Financial Forecasting, Econometrics, and Investment
Publications of Robert A. Freitas Jr.
Articles and Reports
Investment and forecasting articles by Robert A. Freitas Jr., Editor
and Publisher, Value Forecaster newsletter, during November 1988 - June 1997:
1. “Stocks, the Future, and a Personal Note,” VF 10(June 1997):14-20.
2. “Growth Portfolio,” VF 10(June 1997):12-13.
3. “Stocks and the Economy,” VF 10(June 1997):2-5.
4. “Investment-Related Information on the Internet,” VF 10(May 1997):14-16.
5. “Aggressive/Shorts Portfolio,” VF 10(May 1997):12-13.
6. “Gold and Inflation,” VF 10(May 1997):2-5.
7. “Stocks Are Still Overpriced,” VF 10(April 1997):14-16.
8. “Conservative Portfolio,” VF 10(April 1997):12-13.
9. “Bonds and Interest Rates,” VF 10(April 1997):2-5.
10. “Deficit Reduction? What Deficit Reduction?” VF 10(March 1997):16-18.
11. “Targets and Trading Ranges for Recommended Stocks,” VF 10(March
1997):14-16.
12. “Growth Portfolio,” VF 10(March 1997):12-13.
13. “Stocks and the Economy,” VF 10(March 1997):2-5.
14. “Oil and Oil-Related Stocks,” VF 10(February 1997):16-18.
15. “1997 Gold Mining Stock Review,” VF 10(February 1997):14-15.
16. “Aggressive/Shorts Portfolio,” VF 10(February 1997):12-13.
17. “Gold and Inflation,” VF 10(February 1997):2-5.
18. “Political Seasonality in Interest Rates: 1997 Update,” VF 10(January
1997):16-18.
19. “Continue Selling Into Strength,” VF 10(January 1997):14-15.
20. “Conservative Portfolio,” VF 10(January 1997):12-13.
21. “Bonds and Interest Rates,” VF 10(January 1997):2-5.
22. “Special Feature: Stock Market Crashology,” VF 9(December 1996):14-18.
23. “Growth Portfolio,” VF 9(December 1996):12-13.
24. “Stocks and the Economy,” VF 9(December 1996):2-5.
25. “Federal Deficits and Exploding Debt: Whodunnit?” VF 9(November
1996):16-18.
26. “The Other Precious Metals,” VF 9(November 1996):14-15.
27. “Aggressive/Shorts Portfolio,” VF 9(November 1996):12-13.
28. “Gold and Inflation,” VF 9(November 1996):2-5.
29. “A Bubble In Search Of A Pin,” VF 9(October 1996):16-18.
30. “Value Strategy Applied to the Dow Industrials: 1996 Survey,”
VF 9(October 1996):14-15.
31. “Conservative Portfolio,” VF 9(October 1996):12-13.
32. “Bonds and Interest Rates,” VF 9(October 1996):2-5.
33. “Political Economics and Election Forecasting: 1996,” VF 9(September
1996):16-18.
34. “Targets and Trading Ranges for Recommended Stocks,” VF 9(September
1996):14-15.
35. “Growth Portfolio,” VF 9(September 1996):12-13.
36. “Stocks and the Economy,” VF 9(September 1996):2-5.
37. “Money/Yield Models for Foreign Stock Markets: 1996,” VF 9(August
1996):16-18.
38. “Sell Stocks, Buy Houses!” VF 9(August 1996):14-15.
39. “Aggressive/Shorts Portfolio,” VF 9(August 1996):12-13.
40. “Gold and Inflation,” VF 9(August 1996):2-5.
41. “Your Grandkids May Be Rich,” VF 9(July 1996):16-18.
42. “The Utilities: Still Too Early To Buy,” VF 9(July 1996):14-15.
43. “Conservative Portfolio,” VF 9(July 1996):12-13.
44. “Bonds and Interest Rates,” VF 9(July 1996):2-5.
45. “The Stock Market Is Still Overpriced,” VF 9(June 1996):16-18.
46. “Think Value,” VF 9(June 1996):14-15.
47. “Growth Portfolio,” VF 9(June 1996):12-13.
48. “Stocks and the Economy,” VF 9(June 1996):2-5.
49. “Sizing Up Silver: A New Perspective,” VF 9(May 1996):16-18.
50. “The Platinum Group Metals: Buy or Sell?” VF 9(May 1996):14-15.
51. “Aggressive/Shorts Portfolio,” VF 9(May 1996):12-13.
52. “Gold and Inflation,” VF 9(May 1996):2-5.
53. “Snapshot of U.S. Regional Economies,” VF 9(April 1996):16-18.
54. “Bear Market in Bonds Signals New Buying Opportunity,” VF 9(April
1996):14-15.
55. “Conservative Portfolio,” VF 9(April 1996):12-13.
56. “Bonds and Interest Rates,” VF 9(April 1996):2-5.
57. “Is Wall Street in the Grip of Mad Bull Disease?” VF 9(March
1996):16-18.
58. “Targets and Trading Ranges for Recommended Stocks,” VF 9(March
1996):14-15.
59. “Growth Portfolio,” VF 9(March 1996):12-13.
60. “Stocks and the Economy,” VF 9(March 1996):2-5.
61. “Have High-Tech Stocks Fallen Far Enough?” VF 9(February 1996):16-18.
62. “1996 Gold Mining Stock Review,” VF 9(February 1996):14-15.
63. “Aggressive/Shorts Portfolio,” VF 9(February 1996):12-13.
64. “Gold and Inflation,” VF 9(February 1996):2-5.
65. “Debt and Taxes,” VF 9(January 1996):16-18.
66. “Financial Abstinence,” VF 9(January 1996):14-15.
67. “Conservative Portfolio,” VF 9(January 1996):12-13.
68. “Bonds and Interest Rates,” VF 9(January 1996):2-5.
69. “Boom Times Boost Crimes,” VF 8(December 1995):16-18.
70. “1995 Price/Book Value Bargain Hunt,” VF 8(December 1995):14-15.
71. “Growth Portfolio,” VF 8(December 1995):12-13.
72. “Stocks and the Economy,” VF 8(December 1995):2-5.
73. “Money/Yield Models for Foreign Stock Markets: 1995,” VF 8(November
1995):16-18.
74. “1995 High Yield Survey, Part II. Non-Utility Stocks,” VF 8(November
1995):14-15.
75. “Aggressive/Shorts Portfolio,” VF 8(November 1995):12-13.
76. “Gold and Inflation,” VF 8(November 1995):2-5.
77. “Standard of Living in the Top Ten Countries,” VF 8(October
1995):16-18.
78. “1995 High Yield Survey, Part II. Non-Utility Stocks,” VF 8(October
1995):14-15.
79. “Conservative Portfolio,” VF 8(October 1995):12-13.
80. “Bonds and Interest Rates,” VF 8(October 1995):2-5.
81. “Anatomy of a Buying Panic,” VF 8(September 1995):16-18.
82. “Value Strategy Applied to the Dow Industrials: 1995 Survey,”
VF 8(September 1995):14-15.
83. “Growth Portfolio,” VF 8(September 1995):12-13.
84. “Stocks and the Economy,” VF 8(September 1995):2-5.
85. “More Bad News for Stocks,” VF 8(August 1995):16-18.
86. “Patience: The Best Strategy,” VF 8(August 1995):14-15.
87. “Aggressive/Shorts Portfolio,” VF 8(August 1995):12-13.
88. “Gold and Inflation,” VF 8(August 1995):2-5.
89. “Sell Now!” VF 8(July 1995):16-18.
90. “Interest-Sensitive Stocks,” VF 8(July 1995):14-15.
91. “Conservative Portfolio,” VF 8(July 1995):12-13.
92. “Bonds and Interest Rates,” VF 8(July 1995):2-5.
93. “Special Feature: The Case for a Flat Income Tax,” VF 8(June
1995):14-18.
94. “Growth Portfolio,” VF 8(June 1995):12-13.
95. “Stocks and the Economy,” VF 8(June 1995):2-5.
96. “The Federal Budget Deficit Debate,” VF 8(May 1995):16-18.
97. “Aluminum and Copper: Cheap or Dear?” VF 8(May 1995):14-15.
98. “Aggressive/Shorts Portfolio,” VF 8(May 1995):12-13.
99. “Gold and Inflation,” VF 8(May 1995):2-5.
100. “The Impact of a Falling Dollar,” VF 8(April 1995):16-18.
101. “1995 Survey of Closed-End International Stock Funds,” VF 8(April
1995):14-15.
102. “Conservative Portfolio,” VF 8(April 1995):12-13.
103. “Bonds and Interest Rates,” VF 8(April 1995):2-5.
104. “Are Stocks Dangerously Overpriced?” VF 8(March 1995):16-18.
105. “Targets and Trading Ranges for Recommended Stocks,” VF 8(March
1995):14-15.
106. “Growth Portfolio,” VF 8(March 1995):12-13.
107. “Stocks and the Economy,” VF 8(March 1995):2-5.
108. “National and Regional Home Prices,” VF 8(February 1995):16-18.
109. “Rhodium: The Most Precious Metal,” VF 8(February 1995):14-15.
110. “Aggressive/Shorts Portfolio,” VF 8(February 1995):12-13.
111. “Gold and Inflation,” VF 8(February 1995):2-5.
112. “Special Feature: Political Election Cycles in International Stock
Prices,” VF 8(January 1995):14-20.
113. “Conservative Portfolio,” VF 8(January 1995):12-13.
114. “Bonds and Interest Rates,” VF 8(January 1995):2-5.
115. “Money/Yield Models for Foreign Stock Markets: 1994,” VF 7(December
1994):16-18.
116. “1994 Price/Book Value Bargain Hunt,” VF 7(December 1994):14-15.
117. “Growth Portfolio,” VF 7(December 1994):12-13.
118. “Stocks and the Economy,” VF 7(December 1994):2-5.
119. “A Revised Model for the Consumer Price Index,” VF 7(November
1994):16-18.
120. “High-Beta Bull-Market Strategy for Stocks: 1994,” VF 7(November
1994):14-15.
121. “Aggressive/Shorts Portfolio,” VF 7(November 1994):12-13.
122. “Gold and Inflation,” VF 7(November 1994):2-5.
123. “The Picture of Wealth,” VF 7(October 1994):16-18.
124. “High-Yield Stocks NOT to Buy Now,” VF 7(October 1994):14-15.
125. “Conservative Portfolio,” VF 7(October 1994):12-13.
126. “Bonds and Interest Rates,” VF 7(October 1994):2-5.
127. “Political Parties: An Economic Report Card,” VF 7(September
1994):16-18.
128. “Cyclical and Defensive Stocks,” VF 7(September 1994):14-15.
129. “Growth Portfolio,” VF 7(September 1994):12-13.
130. “Stocks and the Economy,” VF 7(September 1994):2-5.
131. “Collectibles, Part II: Coins and Precious Gemstones,” VF 7(August
1994):16-18.
132. “Venture Capital Investing,” VF 7(August 1994):14-15.
133. “Aggressive/Shorts Portfolio,” VF 7(August 1994):12-13.
134. “Gold and Inflation,” VF 7(August 1994):2-5.
135. “The Current Inflation ‘Long Wave’ and Interest Rates,”
VF 7(July 1994):16-18.
136. “Collectibles, Part I: Cars, Coins and Stamps,” VF 7(July 1994):14-15.
137. “Conservative Portfolio,” VF 7(July 1994):12-13.
138. “Bonds and Interest Rates,” VF 7(July 1994):2-5.
139. “Demographic Economics I: The Real Economy Through 2050,” VF
7(June 1994):16-18.
140. “Biotechnology Stocks: 1994 Survey,” VF 7(June 1994):14-15.
141. “Growth Portfolio,” VF 7(June 1994):12-13.
142. “Stocks and the Economy,” VF 7(June 1994):2-5.
143. “A Review of Several Popular Inflation Indicators,” VF 7(May
1994):16-18.
144. “Gold Stocks Are Still Overpriced,” VF 7(May 1994):14-15.
145. “Aggressive/Shorts Portfolio,” VF 7(May 1994):12-13.
146. “Gold and Inflation,” VF 7(May 1994):2-5.
147. “More Evidence for Politics in Interest Rates,” VF 7(April
1994):16-18.
148. “High-Yield Value Bargains in 1994,” VF 7(April 1994):14-15.
149. “Conservative Portfolio,” VF 7(April 1994):12-13.
150. “Bonds and Interest Rates,” VF 7(April 1994):2-5.
151. “Do High Taxes Impede Economic Growth?” VF 7(March 1994):16-18.
152. “Targets and Trading Ranges for Recommended Stocks,” VF 7(March
1994):14-15.
153. “Growth Portfolio,” VF 7(March 1994):12-13.
154. “Stocks and the Economy,” VF 7(March 1994):2-5.
155. “Value Strategy Applied to the Dow Industrials: 1993 Survey,”
VF 6(November 1993):12-13.
156. “Aggressive/Shorts Portfolio,” VF 6(November 1993):10-11.
157. “Gold and Inflation,” VF 6(November 1993):2-5.
158. “Building Your Own Home, Part III: Optimal Bidding Strategy,”
VF 6(October 1993):12-13.
159. “Conservative Portfolio,” VF 6(October 1993):10-11.
160. “Bonds and Interest Rates,” VF 6(October 1993):2-5.
161. “Money/Yield Strategy in Foreign Stock Markets,” VF 6(September
1993):12-13.
162. “Growth Portfolio,” VF 6(September 1993):10-11.
163. “Stocks and the Economy,” VF 6(September 1993):2-5.
164. “Cycles and Seasonals in the Precious Metals,” VF 6(August
1993):12-13.
165. “Aggressive/Shorts Portfolio,” VF 6(August 1993):10-11.
166. “Gold and Inflation,” VF 6(August 1993):2-5.
167. “Today’s High-Yield Stocks: The Pharmaceutical Utilities,”
VF 6(July 1993):12-13.
168. “Conservative Portfolio,” VF 9(July 1993):10-11.
169. “Bonds and Interest Rates,” VF 6(July 1993):2-5.
170. “Only Buy Stocks That Go Up: 1993 Survey,” VF 6(June 1993):12-13.
171. “Growth Portfolio,” VF 6(June 1993):10-11.
172. “Stocks and the Economy,” VF 6(June 1993):2-5.
173. “Are Gold Stocks Near Their Peak?” VF 6(May 1993):12-13.
174. “Aggressive/Shorts Portfolio,” VF 6(May 1993):10-11.
175. “Gold and Inflation,” VF 6(May 1993):2-5.
176. “Snapshot of U.S. Regional Economies,” VF 6(April 1993):14-16.
177. “50th Issue: Our Record of Superior Performance,” VF 6(April
1993):12-13.
178. “Conservative Portfolio,” VF 6(April 1993):10-11.
179. “Bonds and Interest Rates,” VF 6(April 1993):2-5.
180. “The Very Long Term Trend for Stocks,” VF 6(March 1993):14-16.
181. “Targets and Trading Ranges for Recommended Stocks,” VF 6(March
1993):12-13.
182. “Growth Portfolio,” VF 6(March 1993):10-11.
183. “Stocks and the Economy,” VF 6(March 1993):2-5.
184. “What Debt Crisis?” VF 6(February 1993):14-16.
185. “Building Your Own Home, Part II: Lumber Price Seasonality,”
VF 6(February 1993):12-13.
186. “Aggressive/Shorts Portfolio,” VF 6(February 1993):10-11.
187. “Gold and Inflation,” VF 6(February 1993):2-5.
188. “Can the Yield Curve Forecast Stock & Gold Prices?” VF
6(January 1993):14-16.
189. “Stock Index Funds: A Conservative Strategy for Equities,”
VF 6(January 1993):12-13.
190. “Conservative Portfolio,” VF 6(January 1993):10-11.
191. “Bonds and Interest Rates,” VF 6(January 1993):2-5.
192. “Money/Yield Models for Foreign Stock Markets,” VF 5(December
1992):14-16.
193. “1992 Price/Book Value Bargain Hunt,” VF 5(December 1992):12-13.
194. “Growth Portfolio,” VF 5(December 1992):10-11.
195. “Stocks and the Economy,” VF 5(December 1992):2-5.
196. “Update on Palladium, Platinum, and Silver,” VF 5(November
1992):14-16.
197. “Growth & Value Converge in the Drug Sector,” VF 5(November
1992):12-13.
198. “Aggressive/Shorts Portfolio,” VF 5(November 1992):10-11.
199. “Gold and Inflation,” VF 5(November 1992):2-5.
200. “Forecasting Presidential Elections,” VF 5(October 1992):14-16.
201. “Water Utilities: 1992-93 Update,” VF 5(October 1992):12-13.
202. “Conservative Portfolio,” VF 5(October 1992):10-11.
203. “Bonds and Interest Rates,” VF 5(October 1992):2-5.
204. “Are Stock Yields Dangerously Low?” VF 5(September 1992):14-16.
205. “The Endowment Portfolio,” VF 5(September 1992):12-13.
206. “Growth Portfolio,” VF 5(September 1992):10-11.
207. “Stocks and the Economy,” VF 5(September 1992):2-5.
208. “Building Your Own Home, Part I: Basic Economics,” VF 5(August
1992):14-16.
209. “Bottom-Fishing in Tokyo Bay,” VF 5(August 1992):12-13.
210. “Aggressive/Shorts Portfolio,” VF 5(August 1992):10-11.
211. “Gold and Inflation,” VF 5(August 1992):2-5.
212. “Slim Pickings for Yield Hunters,” VF 5(July 1992):14-16.
213. “Treasury Bond Laddering,” VF 5(July 1992):12-13.
214. “Conservative Portfolio,” VF 5(July 1992):10-11.
215. “Bonds and Interest Rates,” VF 5(July 1992):2-5.
216. “Price/Earnings Madness!” VF 5(June 1992):14-16.
217. “Value Strategy Applied to the Dow Industrials,” VF 5(June
1992):12-13.
218. “Growth Portfolio,” VF 5(June 1992):10-11.
219. “Stocks and the Economy,” VF 5(June 1992):2-5.
220. “Riot Cycles,” VF 5(May 1992):14-16.
221. “Oscillator Stocks,” VF 5(May 1992):12-13.
222. “Aggressive/Shorts Portfolio,” VF 5(May 1992):10-11.
223. “Gold and Inflation,” VF 5(May 1992):2-5.
224. “Distribution of Wealth in the United States,” VF 5(April 1992):14-16.
225. “Ruler Stocks,” VF 5(April 1992):12-13.
226. “Conservative Portfolio,” VF 5(April 1992):10-11.
227. “Bonds and Interest Rates,” VF 5(April 1992):2-5.
228. “Special Feature: World Economic Share and International Investing,”
VF 5(March 1992):12-18.
229. “Growth Portfolio,” VF 5(March 1992):10-11.
230. “Stocks and the Economy,” VF 5(March 1992):2-5.
231. “S&P500 Stock Market Crash Detector ALERT!” VF 5(February
1992):14-16.
232. “Targets and Trading Ranges for Recommended Stocks,” VF 5(February
1992):12-13.
233. “Aggressive/Shorts Portfolio,” VF 5(February 1992):10-11.
234. “Gold and Inflation,” VF 5(February 1992):2-5.
235. “Basic Economics of Home Mortgage Refinancing,” VF 5(January
1992):14-16.
236. “Low-Payout, High-Yield Stocks,” VF 5(January 1992):12-13.
237. “Conservative Portfolio,” VF 5(January 1992):10-11.
238. “Bonds and Interest Rates,” VF 5(January 1992):2-5.
239. “Investment Style Timing: Value vs. Growth,” VF 4(December
1991):14-16.
240. “Price/Book Value Bargain Hunting,” VF 4(December 1991):12-13.
241. “Growth Portfolio,” VF 4(December 1991):10-11.
242. “Stocks and the Economy,” VF 4(December 1991):2-5.
243. “Is America Going Broke? (Part 4): Debt Service,” VF 4(November
1991):14-16.
244. “Existing Homes: Now Is the Time to Buy!” VF 4(November
1991):12-13.
245. “Aggressive/Shorts Portfolio,” VF 4(November 1991):10-11.
246. “Gold and Inflation,” VF 4(November 1991):2-5.
247. “World Economic Power: The Big Picture,” VF 4(October 1991):14-16.
248. “The Siren Song of Electric Utilities,” VF 4(October 1991):12-13.
249. “Conservative Portfolio,” VF 4(October 1991):10-11.
250. “Bonds and Interest Rates,” VF 4(October 1991):2-5.
251. “Magic Ratios and the Stock Market (Part 2),” VF 4(September
1991):14-16.
252. “A Mutual Fund-Picking Strategy to Avoid,” VF 4(September 1991):12-13.
253. “Growth Portfolio,” VF 4(September 1991):10-11.
254. “Stocks and the Economy,” VF 4(September 1991):2-5.
255. “The Fair Value of Natural Gas,” VF 4(August 1991):14-16.
256. “The Decline in Precious Metals Volatility,” VF 4(August 1991):12-13.
257. “Aggressive/Shorts Portfolio,” VF 4(August 1991):10-11.
258. “Gold and Inflation,” VF 4(August 1991):2-5.
259. “Investing in Water, Part II: Water Utilities,” VF 4(July 1991):14-16.
260. “Short-Term Global Bond Funds: A High-Yield MMF Equivalent,”
VF 4(July 1991):12-13.
261. “Conservative Portfolio,” VF 4(July 1991):10-11.
262. “Bonds and Interest Rates,” VF 4(July 1991):2-5.
263. “Summer of 1991: Are Stocks Overpriced?” VF 4(June 1991):14-16.
264. “Investing in Water, Part I: Industrial and Service Stocks,”
VF 4(June 1991):12-13.
265. “Growth Portfolio,” VF 4(June 1991):10-11.
266. “Stocks and the Economy,” VF 4(June 1991):2-5.
267. “Evolution of the Dollar Elasticity of Gold,” VF 4(May 1991):14-16.
268. “Silver and Gold Mining Shares Now At Bargain Prices,” VF 4(May
1991):12-13.
269. “Aggressive/Shorts Portfolio,” VF 4(May 1991):10-11.
270. “Gold and Inflation,” VF 4(May 1991):2-5.
271. “Saddam vs. Hitler: An Economic Comparison,” VF 4(April 1991):14-16.
272. “High-Yield, High-Reliability, High-Growth Utilities,” VF 4(April
1991):12-13.
273. “Conservative Portfolio,” VF 4(April 1991):10-11.
274. “Bonds and Interest Rates,” VF 4(April 1991):2-5.
275. “Money/Yield Models for Foreign Stock Markets,” VF 4(March
1991):14-16.
276. “Targets and Trading Ranges for Recommended Stocks,” VF 4(March
1991):12-13.
277. “Growth Portfolio,” VF 4(March 1991):10-11.
278. “Stocks and the Economy,” VF 4(March 1991):2-5.
279. “What Real Estate Collapse?” VF 4(February 1991):14-16.
280. “Investing in the Reconstruction of Kuwait,” VF 4(February
1991):12-13.
281. “Aggressive/Shorts Portfolio,” VF 4(February 1991):10-11.
282. “Gold and Inflation,” VF 4(February 1991):2-5.
283. “Is America Going Broke? (Part 3): The Banks,” VF 4(January
1991):14-16.
284. “‘Crash-Proof’ Stocks for Nervous Investors,” VF
4(January 1991):12-13.
285. “Conservative Portfolio,” VF 4(January 1991):10-11.
286. “Bonds and Interest Rates,” VF 4(January 1991):2-5.
287. “Do ‘Long Waves’ Predict Imminent Depression?”
VF 3(December 1990):14-16.
288. “Which Stock Groups Lead the Market?” VF 3(December 1990):12-13.
289. “Growth Portfolio,” VF 3(December 1990):10-11.
290. “Stocks and the Economy,” VF 3(December 1990):2-5.
291. “Presidential Turnover Indicator (PTI) Update,” VF 3(November
1990):16.
292. “A Currency Exchange Gold Timing Indicator,” VF 3(November
1990):14-16.
293. “Banks: The ‘Crashed Nuclear Stocks’ of 1990?”
VF 3(November 1990):12-13.
294. “Aggressive/Shorts Portfolio,” VF 3(November 1990):10-11.
295. “Gold and Inflation,” VF 3(November 1990):2-5.
296. “Conservative High-Yield Stocks,” VF 3(October 1990):14-16.
297. “Only Buy Stocks That Go Up,” VF 3(October 1990):12-13.
298. “Conservative Portfolio,” VF 3(October 1990):10-11.
299. “Bonds and Interest Rates,” VF 3(October 1990):2-5.
300. “A Stock Market ‘War Event Composite’ Indicator,”
VF 3(September 1990):14-16.
301. “Measuring Stock Cheapness: Industry Relative Strength,” VF
3(September 1990):12-13.
302. “Growth Portfolio,” VF 3(September 1990):10-11.
303. “Stocks and the Economy,” VF 3(September 1990):2-5.
304. “Silver: Still A Great Long-Term Speculation,” VF 3(August
1990):14-16.
305. “The ‘Investolator’ Bottom-Fishing Strategy for Stocks,”
VF 3(August 1990):12-13.
306. “Aggressive/Shorts Portfolio,” VF 3(August 1990):10-11.
307. “Gold and Inflation,” VF 3(August 1990):2-5.
308. “Flash Bulletin: The Oil War of 1990,” VF 3(6 August 1990):1-8.
309. “Interest Rate Seasonality and Election-year Cycles,” VF 3(July
1990):14-16.
310. “Building Up Home Equity via Mortgage Acceleration,” VF 3(July
1990):12-13.
311. “Conservative Portfolio,” VF 3(July 1990):10-11.
312. “Bonds and Interest Rates,” VF 3(July 1990):2-5.
313. “Money/Yield Models for Foreign Stock Markets,” VF 3(June 1990):14-16.
314. “Targets and Trading Ranges for Recommended Stocks,” VF 3(June
1990):12-13.
315. “Growth Portfolio,” VF 3(June 1990):10-11.
316. “Stocks and the Economy,” VF 3(June 1990):2-5.
317. “Precious Metals Ratios and Price Velocities,” VF 3(May 1990):14-16.
318. “High-Beta Bull Market Strategy for Stocks,” VF 3(May 1990):12-13.
319. “Aggressive/Shorts Portfolio,” VF 3(May 1990):10-11.
320. “Gold and Inflation,” VF 3(May 1990):2-5.
321. “Is America Going Broke? (Part 2),” VF 3(April 1990):14-16.
322. “Stock Index Funds: A Conservative Strategy for Equities,”
VF 3(April 1990):12-13.
323. “Conservative Portfolio,” VF 3(April 1990):10-11.
324. “Bonds and Interest Rates,” VF 3(April 1990):2-5.
325. “Special Feature: Soviet Hedge Investing and the Helsinki Stock Exchange,”
VF 3(March 1990):12-18.
326. “Growth Portfolio,” VF 3(March 1990):10-11.
327. “Stocks and the Economy,” VF 3(March 1990):2-5.
328. “Gold’s Declining Monetary Influence,” VF 3(February
1990):14-16.
329. “79% Per Year in U.S. Treasury Bonds,” VF 3(February 1990):12-13.
330. “Aggressive/Shorts Portfolio,” VF 3(February 1990):10-11.
331. “Gold and Inflation,” VF 3(February 1990):2-5.
332. “Japanese Stock Update,” VF 3(January 1990):16.
333. “High Yields, Risky Business,” VF 3(January 1990):14-16.
334. “Blue Chip Corporate Bonds: A Total Return Strategy,” VF 3(January
1990):12-13.
335. “Conservative Portfolio,” VF 3(January 1990):10-11.
336. “Bonds and Interest Rates,” VF 3(January 1990):2-5.
337. “Will Tokyo Collapse?” VF 2(December 1989):14-16.
338. “Price/Book Value Trend Analysis,” VF 2(December 1989):12-13.
339. “Growth Portfolio,” VF 2(December 1989):10-11.
340. “Stocks and the Economy,” VF 2(December 1989):2-5.
341. “Real Estate and Debt,” VF 2(November 1989):14-16.
342. “The Best Strategy for Silver,” VF 2(November 1989):12-13.
343. “Aggressive/Shorts Portfolio,” VF 2(November 1989):10-11.
344. “Gold and Inflation,” VF 2(November 1989):2-5.
345. “Is America Going Broke?” VF 2(October 1989):14-16.
346. “The Real Estate/Mortgage Rate Cycle,” VF 2(October 1989):12-13.
347. “Conservative Portfolio,” VF 2(October 1989):10-11.
348. “Bonds and Interest Rates,” VF 2(October 1989):2-5.
349. “Flash Bulletin: Friday the 13th: A Crash To Remember?” VF
2(13 October 1989):1-2.
350. “‘Magic’ Ratios and the Stock Market,” VF 2(September
1989):14-16.
351. “Biotechnology Stocks: Buy Low, Sell High,” VF 2(September
1989):12-13.
352. “Growth Portfolio,” VF 2(September 1989):10-11.
353. “Stocks and the Economy,” VF 2(September 1989):2-5.
354. “Silver: A Fine Long-Term Speculation,” VF 2(August 1989):14-16.
355. “Speculating with Zeroes,” VF 2(August 1989):12-13.
356. “Aggressive/Shorts Portfolio,” VF 2(August 1989):10-11.
357. “Gold and Inflation,” VF 2(August 1989):2-5.
358. “The Search for High Yields with Low Risk,” VF 2(July 1989):14-16.
359. “Prestige Plastic: An Arkansas Credit Card,” VF 2(July 1989):12-13.
360. “Conservative Portfolio,” VF 2(July 1989):10-11.
361. “Bonds and Interest Rates,” VF 2(July 1989):2-5.
362. “Stock Market ‘Crash Detector’ for the S&P500 Price
Index,” VF 2(June 1989):14-16.
363. “Blood in the Streets: Hong Kong Stocks,” VF 2(June 1989):12-13.
364. “Growth Portfolio,” VF 2(June 1989):10-11.
365. “Stocks and the Economy,” VF 2(June 1989):2-5.
366. “The Bullish Case for Cotton,” VF 2(May 1989):14-16.
367. “Trading the Gold/Silver Ratio: Don’t Do It!” VF 2(May
1989):12-13.
368. “Aggressive/Shorts Portfolio,” VF 2(May 1989):10-11.
369. “Gold and Inflation,” VF 2(May 1989):2-5.
370. “Nonlinear Modeling: The Next Frontier in Forecasting,” VF
2(April 1989):14-16.
371. “Stepped Maturity Investing for CDs and Bonds,” VF 2(April
1989):12-13.
372. “Conservative Portfolio,” VF 2(April 1989):10-11.
373. “Bonds and Interest Rates,” VF 2(April 1989):2-5.
374. “1988 Presidential Election Forecast,” VF 1(November 1988):4-6.
375. “Recession 1989?” VF 1(November 1988):2-3.
Last updated on 2 November 2002
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