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  1. 20DMF_RT

    We have a reversal today. Need to see how far it will get us. Not buying anything here yet. Pascal

    Started by Pascal‎, 09-24-2014 11:37 AM
    • Replies: 0
    • Views: 2,110
    09-24-2014 11:37 AM Go to last post
  2. 09/24/2012 major rebalancing on Mousetrap

    Small Portfolio XLF & IAU 16.68% Position Date Return Days DECK 6/15/2012 -21.84% 101 CVX 7/5/2012 10.57% 81 RIMM 7/16/2012 -12.97% 70...

    Started by Timothy Clontz‎, 09-24-2012 11:45 PM
    • Replies: 1
    • Views: 2,109
    09-27-2012 06:36 AM Go to last post
  3. Mousetrap 1/1/2012 -- buying CLF

    Secular Hold IAU & XLF 0.77% Condition Bear Market S&P Target 940 Hedge XLU -5.25% Position Date Return Days Call...

    Started by Timothy Clontz‎, 01-01-2012 10:41 AM
    • Replies: 1
    • Views: 2,108
    01-03-2012 10:02 PM Go to last post
  4. GDX LEV ?

    The GDX LEV chart on the EV database does not correlate with the TS plugin (1min interval) for the previous trading session. Could this be related...

    Started by Charl‎, 12-02-2013 01:43 PM
    • Replies: 1
    • Views: 2,108
    12-02-2013 02:51 PM Go to last post
  5. Important edit

    I believe that the analysis that I published yesterday is wrong. The edited analysis can be found here. I left the old analysis but added two...

    Started by Pascal‎, 01-26-2014 06:52 AM
    • Replies: 0
    • Views: 2,107
    01-26-2014 06:52 AM Go to last post
  6. GDX

    GDX broke through its Ichimoku clouds. Still showing negative divergences. Pascal

    Started by Pascal‎, 06-21-2012 01:00 PM
    • Replies: 0
    • Views: 2,106
    06-21-2012 01:00 PM Go to last post
  7. Ichimoku

    Market is much stronger than what I could have expected yesterday. We have to see how the S&P500 deals with the Ichimoku resistance. The CTick is...

    Started by Pascal‎, 10-23-2014 11:26 AM
    • Replies: 0
    • Views: 2,105
    10-23-2014 11:26 AM Go to last post
  8. Treasuries

    The 10Y have beenunder extreme selling pressure. This is a clear message to the Fed not to do anythin bad (I let you define what bad is: keeping...

    Started by Pascal‎, 09-12-2014 03:15 PM
    • Replies: 0
    • Views: 2,104
    09-12-2014 03:15 PM Go to last post
  9. Market

    The divergence between the Cumulative Tick and the 20DMF continues today. I would say that index investors (Japanese investors?) are selling. ...

    Started by Pascal‎, 09-06-2017 02:57 PM
    • Replies: 0
    • Views: 2,104
    09-06-2017 02:57 PM Go to last post
  10. 09/30/2012 Mousetrap

    Small Portfolio XLF & IAU 18.17% Position Date Return Days DECK 6/15/2012 -23.65% 107 RIMM 7/16/2012 3.45% 76 DVN 9/7/2012 3.93% 23...

    Started by Timothy Clontz‎, 09-30-2012 01:01 AM
    • Replies: 1
    • Views: 2,103
    10-03-2012 04:10 PM Go to last post
  11. 20DMF

    Finally, we start to show some positive divergence between price and 20DMF. Maybe a POMO effect linked a tentative to end the Month on a slightly...

    Started by Pascal‎, 06-28-2013 11:48 AM
    • Replies: 0
    • Views: 2,103
    06-28-2013 11:48 AM Go to last post
  12. 20DMF

    Market still range bound... Under these conditions, the best way to kill a portfolio is to over-trade it. Pascal

    Started by Pascal‎, 06-01-2016 12:11 PM
    • Replies: 1
    • Views: 2,102
    06-01-2016 12:31 PM Go to last post
  13. Sell off on a strong AAPL earnings release

    This sell-off looks strange on paper, but in fact AAPL was the last big unknown regarding the markets. From now on we can start worrying about the...

    Started by Pascal‎, 08-02-2017 11:44 AM
    • Replies: 0
    • Views: 2,100
    08-02-2017 11:44 AM Go to last post
  14. Market bounce

    The equities markets bounced today after the sell-off of the last trading day of 2017. Everything looks fine, except maybe for the small caps...

    Started by Pascal‎, 01-02-2018 12:09 PM
    • Replies: 0
    • Views: 2,099
    01-02-2018 12:09 PM Go to last post
  15. Mousetrap 12/4/2011 (lessons learned six months in)

    Secular Hold IAU & XLF 6.25% Condition Bear Market Rally S&P Target 940 Hedge XLU -1.65% Position Date Return Days Call...

    Started by Timothy Clontz‎, 12-04-2011 10:24 AM
    • Replies: 0
    • Views: 2,095
    12-04-2011 10:24 AM Go to last post
  16. IMO

    IMO (oil sands,) has also a failing bounce. High oil prices do not help these oil producers. This means that either oil prices are too high or...

    Started by Pascal‎, 02-12-2013 03:15 PM
    • Replies: 0
    • Views: 2,095
    02-12-2013 03:15 PM Go to last post
  17. Oil

    Bounces are sold into. At least, large players are not eagerly buying oil. I target the resistance level of oil shown in yellow to buy SCO, which...

    Started by Pascal‎, 03-14-2013 11:15 AM
    • Replies: 0
    • Views: 2,094
    03-14-2013 11:15 AM Go to last post
  18. VIX

    There are buyers today as we can see with the rising 20DMF. The VXX (and the VIX Futures) do not show that volatility is bought. I will not build...

    Started by Pascal‎, 04-04-2013 10:50 AM
    • Replies: 0
    • Views: 2,093
    04-04-2013 10:50 AM Go to last post
  19. FSLR

    I am back in FSLR as the stock broke above the high of yesterday on positive EV. Pascal

    Started by Pascal‎, 01-30-2014 11:54 AM
    • Replies: 0
    • Views: 2,091
    01-30-2014 11:54 AM Go to last post
  20. Be prepared for a "scare market"

    Sector Model XLB 1.14% Large Portfolio Date Return Days ABX 4/11/2013 -31.49% 233 QCOM 9/3/2013 11.54% 88 NEM 9/30/2013 -11.26% 61...

    Started by Timothy Clontz‎, 11-30-2013 11:53 PM
    • Replies: 0
    • Views: 2,090
    11-30-2013 11:53 PM Go to last post

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