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I started the day wondering if the market was going to put in a double top. The jury is still out but so far the market is behaving normally. I never...
Yesterday was a stall day on the NASDAQ. Stalling occurs when buying meets heavier selling. The NASDAQ went up a small amount on volume higher than...
As Jerry pointed out leading stocks were leading yesterday. I find this encouraging. Prior comments about possible double tops still stand, the...
I don't know if it means anything that few canslimers can find anything to put on a watch list right now, but that is the situation. Everything that...
The market sold off on higher volume today creating a distribution day on all major indices. The NASDAQ and S&P distribution count is now 3....
The market looks a little more dangerous to me. The distribution count on the S&P500 and NYSE Composite is now 5 after yesterday's stall event....
Today the NASDAQ closed more than the 0.2% porosity threshold below the 21-day ema giving us an S5 market sell signal. The exposure count is still...
The close yesterday below the 50-day on the NASDAQ gave us an S9 sell signal. This reset and turned the power trend off. When the power trend is off...
IBD has the market in correction but the Market School model is still hanging in there with a +3 count (75% invested.) We have had three recent...
The links below point to a two-part presentation on CANSLIM investing called Getting a Quick Start in CANSLIM Investing. It is designed for new...
AAPL seems to be forming a head and shoulders pattern. I computed in 2009 (first stage base) a 98% P/E expansion price target of $718. This technique...
Lately, I have not wanted to make comments. The market by most measures needs to correct, but it doesn't. By correction, I mean a major bear market....
I updated watch lists just before the open. Possibly because of the market pullback the long watch list is longer than usual; this doesn't imply we...
Watch lists are updated. I will be on travel all of next week, so I will not be trading. I took small profits in AYI because I held it for eight...
Early last month I reported on a system that buys stocks with good fundamentals breaking out of a base on at least 100% above average volume. Since...
Watchlists have been posted. In a model portfolio based on 100% above average volume breakouts, the longest held position is EBIX, up 23.7% over 16...
Everyone has commented on Brexit, nothing new here. I updated the Watch lists in the High Growth Stocks area. I only have one stock on the long list...
Yesterday, IBD posted a day-3 follow-through day. These are very rare, and the historical sample size is too little to create an absolute rule. If...
I wanted to update the long-term buying strategy that buys strong fundamental stocks that breakout of basing patterns with volume greater than 100%...
I find Pascal's comments about the Central Bank NIRP policy outweighing the drop in US earnings and reduction of margin debt particularly compelling....
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