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The 20DMF is weak today, but the probability that we will reach the short level before the end of the day is still lower than 20%. Pascal
MHK Reports on Thursday, after the FOMC announcement of Wednesday. It is a floor covering products company. EV looks fine, but price is testing...
YOKU, QIHU, SOHU and NQ are all down today as they have been hit by some Chinese flu virus. The 20DMF is also weak today, but these two facts are...
Sector Model XLK 4.00% Large Portfolio Date Return Days ABX 4/11/2013 -16.57% 198 TTM 5/6/2013 16.60% 173 QCOM 9/3/2013 3.00% 53...
It is clear that insiders have been discussing the company's prospects for many days. Today's announcement was well-known and traded by insiders. I...
Market is somewhat weak today, which is normal for a Friday. I have some pending orders on a few stocks if ever they pull-back into the buy zone,...
We just upgraded the Supply tool, in order to separate the loss cutting selling activity from the profit taking selling activity. Loss cutting...
TSLA is now close to its Lower Boundary and well in the high supply zone. We can see that on average shareholders are losing 10% (10% below the NB.)...
This is the typical negative divergence pattern that would indicate to enter a long SDS position (short SPY) in order to hedge the new long trade in...
Both the 10 Years and the 20 Years are attracting sellers right now. I increased by long TBT position. Pascal
Our EV web site provider has had server problems for the past two hours. Hopefully, this will not happen again. Anyway, we need to plan a migration...
From: http://market-mousetrap.blogspot.com/2013/10/how-to-maximize-federal-revenue.html Here we go again in Washington D.C. The next fight, so...
When trying to keep a neutral portfolio, it is sometimes useful to look at possible pair trades. The objective of pair trades is to find stocks that...
The Supply tool calculates the probability that a given shareholder will sell his shares at some point. This probability depends on the current price...
Sector Model XLK 3.20% Large Portfolio Date Return Days ABX 4/11/2013 -23.28% 192 TTM 5/6/2013 17.62% 167 VAR 8/2/2013 7.43% 79...
It is interesting to see that the VIX Futures are showing a positive divergence (protection is bought,) while this does not seem to show on the VXX...
The 10 Years Treasuries start to be under selling pressure. Maybe a reversal for next week? Pascal
Sector Model XLK 0.75% Large Portfolio Date Return Days ABX 4/11/2013 -28.62% 184 TTM 5/6/2013 22.24% 159 BTI 7/1/2013 1.79% 103...
This has been an incredible run up by the market. The major indices are at all time highs.
I am still abroad with poor temporary internet connection. I can hardly write comments that could "add value" to understanding the choppy market...
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