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Due to an overnight power failure, the EV database update will be delayed by five hours, which brings us about two to three hours before market...
The market is weak today. This is the last non-POMO day. I think that weakness can be cautiousely bought when you see that money moves back in. ...
Small Portfolio XLF & IAU 20.28% Position Date Return Days DECK 6/15/2012 -19.34% 100 CVX 7/5/2012 10.59% 80 RIMM 7/16/2012 -10.90% 69...
These pullbacks in gold and silver have been attracting buyers. Pascal
If I had to find an explanation, I would say that Russia is selling Euro and buying gold/US$ as a revenge against the bad deal with the Cyprus...
We can see below that we have a rotation back into materials/PM/Retail out of health/momo stocks. This is why IWM is realtively weaker today...
It seems that large players are genuinely buying today and try to manufacture a bounce here. Pascal
I has been wondering these past days why large players were not buying IAG, which was largely participating in the gold miners bounce. The...
This is a screenshot of the EV pattern for WLT, which I featured today in the daily comments. That sort of very large moves up and down are...
The title says all. Pascal
Still no buyer here. Pascal
TSLA might me going ahead of itself for now. His has been pushed up by a very heavy shorts covering rally. It reached the Upper Boundary and then...
Really strange to see the market draw a very strong engulfing candle an probably make a bottom here on the comments of the FED made two weeks ago. ...
We continue to see 20DMF weakness together with CTick trending up. pascal
I am briefly wading out of my summer break to report warning signs from the IWM correlation indicators. The highest correlated and most reliable...
Dear Reader, Your copy of the BSI Report (for US Equities) is attached. As mentioned with the message accompanying the Nov. 9th BSI Report,...
Difficult to trade the swings. For example, I had a NEM short that I covered at the very top today, just seconds before a swing down that came...
Condition Bear Market Rally S&P Target 1240 Small Portfolio IAU & XLF 7.72% Margin (short) XLK 5.44% Position Date Return Days...
The USD is heavily sold. Is this telling us that we have a political agreement to do nothing that could have any impact on the US budget? ...
Maybe time to short oil here (Buy SCO), but the trade must be exited if we break above today's high. Pascal
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