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Please use this thread for posting interesting links with your comments. I am seldom attracted by sheer links without at least some summary of its...
I would like to be a member of this VIT group
Interesting article regarding PMI & GDP projections
Hi Pascal, 20DMF charts for 2-23 hasn't been updated yet. Can you update it when you get a chance? Thanks.
The EV method description states the following weakness: "A second weakness is that the Effective Volume method does not take into account...
Reportedly, use of ETFs by big money is on the rise. If this trend continues, would you expect it to have impact on the accuracy/reliability of the...
Hi Pascal, I'm wondering how you keep track of the inevitable ticker changes within the 96 sectors comprising the 20DMF sectors/stocks population....
I have the Tradestation plug in for Effective Volume and it works well however one must use a 1 minute chart and so it takes a lot of scrolling to...
Pascal first of all Great job excellent tool . i've testing it during this trial week and today i took advantage and i initiate a trade Short on...
Big Data Approach to Analyzing Market Volatility: http://papers.ssrn.com/sol3/papers.cfm?abstract_id=2274991
Do you have any EV stock datasets available to work with for backtesting? For example, historical data for the Pascal file over several years?
Condition Bear Market S&P Target 940 Hedge XLE 9.96% Closed Hedge XLF -2.85% Position Date Return Days Call AWR...
Condition Bear Market S&P Target 940 Hedge XLE 9.96% Closed Hedge XLF -9.53% Position Date Return Days Call Hedge AWR...
Condition Bear Market Rally S&P Target 940 Hedge XLE 9.96% Closed Hedge XLF -14.14% Position Date Return Days Call AWR...
Small Portfolio XLF & IAU 9.91% Position Date Return Days CSGS 10/3/2011 40.19% 307 KBR 10/27/2011 -8.28% 283 VG 10/27/2011 -40.43% 283...
Small Portfolio XLF & IAU 12.07% Position Date Return Days CSGS 10/3/2011 55.46% 311 VG 10/27/2011 -38.91% 287 BT 1/4/2012 11.09% 218...
Small Portfolio XLF & IAU 10.95% Position Date Return Days VG 10/27/2011 -35.87% 289 BT 1/4/2012 13.03% 220 SAI 5/30/2012 10.12% 73...
Small Portfolio XLF & IAU 10.60% Position Date Return Days VG 10/27/2011 -34.65% 297 BT 1/4/2012 13.29% 228 SAI 5/30/2012 9.12% 81...
Sector Model XLU 38.96% Large Portfolio Date Return Days BBRY 7/16/2012 81.79% 223 SEAC 9/25/2012 41.86% 152 CAJ 9/25/2012 4.36% 152...
Sector Model XLU 36.82% Large Portfolio Date Return Days BBRY 7/16/2012 82.76% 227 SEAC 9/25/2012 39.29% 156 CAJ 9/25/2012 3.69% 156...
Sector Model XLU & XLB -0.97% Style Model Small Value Large Portfolio Date Return Days CAJ 9/25/2012 -8.78% 327 ABX 4/11/2013 -20.12% 129...
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