HDQ
Vol. 1  ·  No. 502
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81 articles
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Behavioural
The Missile Off Oman Is Testing Every Client Who Decided the Crisis Was Over
Gold fell 16 percent from its April peak as the market priced a durable calm in the Strait of Hormuz. Monday night's tanker attack is a live test of recency bias, and it will play out in client phone calls before it plays out in prices.
Jul 7, 2026 6 min
Behavioural
Gold's Worst Quarter Since 2013 Just Reversed in Five Days, and the Same Bias Explains Both Moves
The metal's June capitulation and its July rebound were driven by the same behavioural pattern, just pointed in opposite directions.
Jul 6, 2026 6 min
Behavioural
The Participation Rate Panic: Reading the Wrong Signal
When the June jobs report landed Thursday, investors focused on the 57K headline. The more dangerous number is the one nobody is talking about: the 0.3-point drop in participation that made the unemployment rate fall. Kahneman called this exactly.
Jul 3, 2026 7 min
Behavioural
The Weak Jobs Report Wall Street Was Hoping For
June payrolls missed badly and the Dow hit a record the same morning. The gap comes down to which reference point the market was actually using.
Jul 2, 2026 6 min
Behavioural
Gold Is Having Its Worst Quarter on Record While the Strait of Hormuz Is Still Live
Investors are abandoning the asset built for exactly this moment, and the research explains why.
Jun 30, 2026 6 min
Behavioural
Why Gold Fell While Oil Rose on the Same Weekend of Hormuz Headlines
Iran struck two more tankers. The U.S. struck back twice. Oil recovered to $70.53 and gold fell to a four month low, because the two assets are pricing different parts of the same story.
Jun 29, 2026 6 min
Behavioural
The Disposition Effect Is Quietly Reshaping Portfolios Built During the Iran War
Gold and energy positions opened near the war's peak are now underwater as the Strait of Hormuz reopens, and the instinct to hold rather than sell has a name and a cost.
Jun 26, 2026 6 min
Behavioural
Gold Just Fell on the Same Fear That Should Have Made It Rise
Investors are treating a Fed rate scare and a geopolitical de-escalation as the same emotional signal, and selling gold into both.
Jun 25, 2026 6 min
Behavioural
Why Clients Keep Pricing In a War Premium That Is Already Gone
Gold has fallen more than 10 percent from its June peak and WTI has slid to levels last seen before the conflict began. The anchoring bias explains why many investors still cannot see it.
Jun 24, 2026 6 min
Behavioural
The Anchor at $5,595 Is Distorting How Investors See Gold's Drawdown
Gold has fallen 25% from January's record high, and the research on anchoring and loss aversion explains why that decline feels worse than the metal's underlying case.
Jun 23, 2026 6 min
Behavioural
The Availability Heuristic Is Turning Every Iran Headline Into a Trading Signal
Crude has moved more than 3 percent in a single session eleven times this month. The research on why the most recent headline always feels like the most important one.
Jun 22, 2026 5 min
Behavioural
Energy and Gold Just Reversed in the Same Week, for Opposite Reasons
The disposition effect predicts how clients will misread both moves, and it is not the same mistake twice.
Jun 19, 2026 6 min
Behavioural
The Two-Shock Week Is Setting an Anchoring Trap for Energy-Heavy Portfolios
WTI has fallen from a war-era anchor above $100 to the mid-$70s in days, while a hawkish Fed surprise hit equities on the same week. Clients are processing two opposite shocks as one signal, and that confusion has a name.
Jun 18, 2026 6 min
Behavioural
The TSX Hit a Record High This Morning. That Is Exactly When Overconfidence Peaks.
The composite touched a fresh intraday record near midday, minutes before the Fed delivered a tone investors were not positioned for. The research on what happens between the high and the headline is specific and well documented.
Jun 17, 2026 6 min
Behavioural
When the Thesis Reverses: Energy Investors and the Disposition Trap
WTI crude has fallen more than 23% from its 2026 peak in two weeks. Clients who rode Canadian energy stocks from February to June are now facing a decision the research says they will almost certainly get wrong.
Jun 16, 2026 6 min
Behavioural
The Peace Dividend Trap
When geopolitical relief arrives, investors don't exhale. They reach for yield. Research on the overreaction cycle explains why the most dangerous moment is right now.
Jun 15, 2026 7 min
Showing 33–48 of 81 articles

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