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We can see that since the open of yesterday, the S&P500 has barely moved, while the stocks bought yesterday at the open are doing rather well on...
I took a long ADS position with a stop at 230. The EV pattern looks strong enough and we are at a support level that combines the 200MA to the...
FARO (3D tech) has pulled back to the $56 support level. Pascal
Market moving higher after early day selling. Most is due to energy, but biotech/drugs are the real leading group. Pascal
This weekend's report is attached.
We had a valid 20DMF Buy signal issued at the close. The overall volume today was not impressive, but the MF itself was very strong. Normally, we...
We might expect a pull-back from these levels Pascal
Interesting to see the algo's "preparation" before the FOMC announcement. Pascal
I took a long position in TBT, because the T-bonds are under pressure (slightly). The trade will be exited if we break above the resistance line...
Due to a techical problem, the database update will be delayed by 4 to 5 hours. Pascal
The dotted line represents the 50MA. This level will be on everyone's screen and will be furiously defended. Pascal
If you think that we are going lower then this is the place to short. We need to close higher than the 5MA with a low of tomorrow higher than the...
The chart is self explanatory.
There is some slight accumulation detected by the 20DMF today. A lot more going on in the gold miners and gold itself. Pascal
The 20DMF is weak today, while commodities based stocks attract money. This is another proof of the pair trade situation that most funds are in. ...
I prepared some notes yesterday and thought I would share them with the group. Please keep in mind that these are first and foremost observations not...
The market is not showing signs of weakness today. Better not short unless weakness is evident. I only have LOW as a short trade. If we look...
Small Portfolio XLF & IAU 6.75% Position Date Return Days CSGS 10/3/2011 40.19% 292 NLY 10/25/2011 14.90% 270 KBR 10/27/2011 -19.10% 268...
Small Portfolio XLF & IAU 20.16% Position Date Return Days DECK 6/15/2012 1.94% 92 CVX 7/5/2012 10.07% 72 RIMM 7/16/2012 4.28% 61...
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