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We have quite a lot of weakness in the sectors just now :- Short - XLB XLI XLP XLU XLY Cash - XLE XLK Bought - XLF XLV Something to...
Platinum is attracting much more interest than gold and silver. Must be the "producers cartel" effect more than real demand. No need to rush...
Oil taking a hit as everybody realizes that higher interest rates much mean higher costs everywhere and lower growth. Or simply that oil was too...
As per a request from a user, we are now able to update the 20DMF Zoom section between 30 minutes and one hour after the market closes. I have...
Hi, I thought I would share with the group some notes I prepared over the weekend after reviewing some of the various EV sectors and their...
Sector Model XLB 3.97% Large Portfolio Date Return Days BBRY 7/16/2012 99.72% 313 CAJ 9/25/2012 5.26% 242 BOKF 2/4/2013 16.60% 110...
VNQ is not under pressure for now. As far as money moves into real-estate, I believe that the stock market in general has great chances to move...
Sector Model XLB 4.33% Large Portfolio Date Return Days BBRY 7/16/2012 99.03% 312 CAJ 9/25/2012 8.26% 241 BOKF 2/4/2013 15.90% 109...
TSLA is behaving rather strong. Is quickly sold through its Lower boundary and then bounced off to be back on the Neutral Boundary. We can see that...
Oil bounced out of support. This coincided with a sell-off on the USD. Pascal
Treasury's continue to be sold, but VNQ is not breaking below its average TEV. Usually an equities sell-off should push money back into Treasury's. ...
The real issue of the day is the perception that interest rates are going to increase real soon. T-Bonds are not bought even though equities are...
AAPL bounced on a pull-back to the Neutral Boundary. We can see that there is not much supply available as the price increases. This means that the...
QSII is a short trade. We can see below that it had reached a long term resistance level, with a rather negative EV pattern. Pascal
We can see below that SLCA has been forming a base for many months but has regained the 50MA. We can also see that on a short term base (5 days),...
From: http://market-mousetrap.blogspot.com/2013/05/05172013-quantifying-bernanke.html Last week we looked at the Shiller Yield (i.e. the inverted...
Sector Model XLB 5.74% Large Portfolio Date Return Days BBRY 7/16/2012 101.66% 307 CAJ 9/25/2012 7.85% 236 BOKF 2/4/2013 17.87% 104...
T-Bonds are sold to both raise cash (strong US$) and invest a part of that cash in equities. Pascal
Everything is liquidity driven based on POMO and the JPYen. The figures below tell everything. Pascal
AAPL is again very weak today. This is not a good opportunity to open a long position. Pascal
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