Barclays Sees S&P 500 at 1,975 in 2014; 2,100 in 2015
August 13, 2014 at 16:17 PM EDT
The torrid rise in margin debt has everyone talking these days. Why? Bears take it as a sign that the the stock market is ripe for a correction. Barclays U.S. Equity Strategist Jonathan Glionna isn’t waving a red flag. In our opinion, a sharp increase in the use of margin debt in relation to the [...]