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Small Portfolio XLF & IAU 16.50% Sector XLF 25.08% Secular IAU 7.93% Large Portfolio Date Return Days RIMM 7/16/2012 62.21% 164...
We have a slight "sell the news" event, but algos are still under accumulation. The real issue will be if the market is going to start discounting...
The dotted line represents the 50MA. This level will be on everyone's screen and will be furiously defended. Pascal
We already have witnessed three failed bounces this morning. This is not too good, but the Fed helicopter might be around the corner. 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...
After an initial gap up, the market is now slowly moving back down. Volume is low as nobody wants to place a directional bet and I believe that most...
The chart is self explanatory.
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...
GDX reversed once again intraday at the lower boundary of the strong resistance cluster ranging from Daily R1 (54.66) up to Yearly Pivot (55.88). ...
Really, I hope we will soon be next week when the big boys will be back. Pascal
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...
The market did not react much on Trump's conference, except the Biotech sector, which plunged just as Trump started talking. The NQ100 was also...
In a down market it is always interesting to look at the LEV pattern of the very big stocks to see what stock fund consider as safe enough to buy. ...
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...
Small Portfolio XLF & IAU 16.80% Sector XLF 26.40% Secular IAU 7.20% Large Portfolio Date Return Days RIMM 7/16/2012 50.48% 160...
When gold fell in 2008, it was a sign that individual investors had to raise cash to meet margin calls elsewhere. Today' selling is different....
CROX reported today and the market took it down 20% but LEV seems to be positive today. Worth watching possibly ? Trev
We have now crossed into Overbought territory with a MF that is weakening. Pascal
The Supply Tool related improvements I have published in the link below the detailed structure of the Supply model. The only thing of importance...
Style Model Mid Blend Sector Model XLB 3.93% Large Portfolio Date Return Days ABX 4/11/2013 -21.52% 303 NEM 9/30/2013 -22.45% 131...
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