1. Ugly year for geopolitical tensions with the US presidency up for grabs. Crude will soar above $150 per barrel with an ever increasing presence in the Middle East.
2. Alernative energy, UCF, wind, wind, solar, sequestration, tertiary plays in the oil sector will become an ever increasing respectable fund proposition.
3. Cyclical fluctuations in the US dollar will further strengthen ythe POI & the POG.
4. Copper, zinc and lead will drop by 15% after the Beijing Olympics. Conversely, nickel will do quite well.
5. The overhang of contracts will throw up more opportunities in the overall resource sector.
I'd be close to shorting RIO by June.
6. The telecommunications sectors will shine with mergers and takeovers ever present.
7. Short Garuda Airlines, any union and FMG before Twiggy goes to court on the charge of insider trading.
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