I think what we could see in the next few months a rebound of the U.S. Dollar, weakness in asset markets, correction in commodities, and maybe a rebound in U.S. bonds. We live in very volatile times; a correction could be 10%, 20%. I would on any weakness accumulate gold. - in WallStreetPit
Related: SPDR Gold ETF (GLD), United States Oil fund (USO), IShares Silver ETF (SLV), SPDR S&P 500 ETF (SPY)
Marc Faber is an international investor known for his uncanny predictions of the stock market and futures markets around the world.