Master the market with Kōya Hiro's market mastery and enjoy trading|Episode 6 [Kōya Hiro]
Profile of Hiroshi Kōya
After joining Nippon Kan'yō Kakugaku Securities (now Mizuho Securities) in 1971, he engaged in analyst work in the research department. After a stint in the United States, he consistently conducted information and market analysis on Japanese stocks. In 1996, he transferred to an asset management company (now Asset Management One), serving as head of the research department, head of the investment department, and then as a managing director and head of the Investment Trust Operations Headquarters. He retired in 2012. Since then, he has appeared on TV and radio, among other activities. His experience in market analysis focusing on Japanese stocks spans nearly half a century.
Newsletter:https://www.gogojungle.co.jp/finance/salons/8812/
※This article is a reproduction/rewriting of an article from FX攻略.com August 2020 issue. The market information described in the text may differ from the current market, so please note that.
※Data is current as of the end of May
The current market features can be summarized as “continuous selling by overseas investors,” “unprecedentedly high level of short interest in arbitrage trading,” and “high volatility that does not fully drop.” First, I would like to focus on these three topics.