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Small Portfolio XLF & IAU 12.07% Position Date Return Days CSGS 10/3/2011 55.46% 311 VG 10/27/2011 -38.91% 287 BT 1/4/2012 11.09% 218...
Sector Model XLB 0.67% Large Portfolio Date Return Days ABX 4/11/2013 -32.03% 231 QCOM 9/3/2013 10.98% 86 NEM 9/30/2013 -12.01% 59...
The 20DMF is slightly down today. The issue is probably around XLF, which is under pressure. XLK is doing OK because of speculation around the AAPL...
Style Model Mid Blend Sector Model XLU 0.00% Large Portfolio Date Return Days ABX 4/11/2013 -21.19% 307 NEM 9/30/2013 -18.88% 135...
Sector Model XLU & XLB 0.66% Style Model Small Value Large Portfolio Date Return Days CAJ 9/25/2012 -8.60% 311 ABX 4/11/2013 -30.54% 113...
The main characteristics of this market can be found in exchange rates: a strong Euro and a strong Yen (compared to the US$) point to a reversal of...
The 20DMF Shows that the "buy the dips" mentality is still present. I did not press the short side and preferred to book the three days profits. ...
Suddenly, market is becoming heavier than usual. I guess that Jackson Hole fear has something to do with that move Pascal
SCTY might be reversing at its 50MA. Pascal
The 20DMF is a little weak today. I bought a long SDS position at 31.10 and will cover if the S&P500 breaks today's high of 1812. This position...
Nothing catastrophic today. No selling even for a Friday. This means that we should probably buy the late afternoon weakness. Pascal
We can see that the general market is rather quiet today. However, IBB is bouncing while XLE is pulling back: the sector that was "down too much"...
I was expecting a retrace of the morning bounce to at least the 50% level, but nothing seems to be coming. Is everybody waiting for some POMO...
I am still holding a short position on this stock, hoping to increase it on a bounce to 73.5 Pascal
This is a buy signal. Stop below the LOD. Pascal
With the rates differentials down, it is strange to see equities up this morning. This could be a tactical "ahead of Yellen spêech of today" type...
The spike early in the day was not bought and now, the MF indicates that the fish wants to swim lower. I am watching ETP/TGP, which are attracting...
Small Portfolio XLF & IAU 17.84% Position Date Return Days DECK 6/15/2012 -3.90% 85 CVX 7/5/2012 7.02% 65 RIMM 7/16/2012 -0.83% 54...
Technically, this support level must hold. You will note that early this morning, both the 10Y and the 20Y Treasuries were attracting money.
Today, the gold miners are bouncing, while gold is still going nowhere. This looks strange to say the least. BVN and AEM seem to have better...
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