• Portfolio Management for May 28, 2014

    I did not execute any trades yesterday inasmuch as my long candidates pulled far ahead of a safe buy zone and the market was too strong for me to even think about shorting.



    From the above list, I would be mainly interested in buying SSYS and TEVA.
    TEVA is a stable pharma that is not extended. However, I will wait for a pull-back to the 5MA.

    SSYS was a trade idea from last week that I did not execute because of other activities.
    I might also buy QLD or TNA if they pull back.

    My target is to be net short during Friday's window dressing activity. Hence, in the next days, trades will mostly be tactical.