10-17-2011, 01:49 PM | #2223 |
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what I said early last week was few days premature...I am short with small position now...downside target 1150-1175...then I see a push to 1250 to cap "this" rally...so down for now but then back up.
That rally on Friday was on very small volume and I wasnt falling for that trick...this means it was a short covering rally and also meant that significant buyers were not stepping up to the plate. IMHO, Bernanke isnt going to announce QE3 until we are officially back in a recession and the SPX is down near 900. for now the news to watch out for is europe...their piddly 400B bank fund isnt enough...soon enough they will have to come in with 2T I am guessing...this could cause a rally...perhaps within next wk or so??? Last edited by mact3333; 10-17-2011 at 01:55 PM.. |
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10-18-2011, 01:36 PM | #2225 |
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baby got BAC? sheesh
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10-18-2011, 03:17 PM | #2226 |
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smoke this mutherfuckin bar bears
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10-18-2011, 04:48 PM | #2227 |
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Rich you are a funny guy...angry mofo....
But what I have been thinking to myself all day is this, why is AAPL only up 1.00 entire day while mkt rallies huge?....hmmm. We are still range bound but at top of range now...I still see eventual rally to 1250 level but after that I am not seeing good things. Not impressed with todays volume bar at all. |
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10-18-2011, 07:00 PM | #2228 | |
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Quote:
http://www.cnbc.com/id/44908357
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10-19-2011, 02:27 PM | #2230 |
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well, ooooh, mmm , ... pullback, its a pullback ... dont nobody worry
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There was me, that is Alex, and my three droogs, that is Pete, Georgie, and Dim, and we sat in the Korova Milkbar trying to make up our rassoodocks what to do with the evening. The Korova milkbar sold milk-plus, milk plus vellocet or synthemesc or drencrom, which is what we were drinking. This would sharpen you up and make you ready for a bit of the old ultra-violence.
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10-19-2011, 04:43 PM | #2231 |
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Nothing today was going to drive the market out of negative territory. All the news had been released and digested. Jumped into FAZ today and rode the uptrend for a bit before jumping out at the end of the day. Money, money, money! Hope everyone on here is making some good calls on this stuff!
Mact how is your portfolio fairing these days?
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10-19-2011, 05:27 PM | #2232 | |
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small positions only during this choppy ride "up"...only bet big when odds stacked for you and were are ready for big int to long term trend change...this isnt the time for big positions.
Anyone noticed what caused the rally yesterday though...400B--->2T eurotrash help...like clockwork. Quote:
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10-20-2011, 12:12 AM | #2233 |
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dont believe in the fear or selloff...still think we clear 1230 soon...then bears will capitulate...nothing like news this weekend trapping bears like the good old days...few more bailouts should do the trick.......if 1175-85 doesnt hold, then I am wrong.
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10-20-2011, 11:35 AM | #2234 |
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Jumped into TVIX in the morning to make profit of irresolution and volatility. It's doing well for me right now, let's hope the day goes down further
What are you guys holding during these times? Edit: TVIX went up as high as 11% today. Got out before it got too ugly today.
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10-21-2011, 09:48 AM | #2235 | |
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On the cusp...think we clear 1230 soon and floodgate should open up as bears capitulate...final push up imho. |
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10-21-2011, 01:20 PM | #2237 |
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Woo, been an interesting week. Spx hitting 1230 just on the last day! Bought some more BAC yesterday when the markets were down. Sold right in the morning after that 200 point opening, and sitting comfy on the green
Won't be taking a position in anything until I see what happens in Europe Sunday night! So far so good. Hope you guys ride this thing up for the last little bit before we circulate down (fingers crossed). Will be getting into some big short positions once market trend goes down.
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10-24-2011, 09:59 AM | #2238 |
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as noted last week, bears are ready to capitulate...move shoud be fast to 1250-1260, the target I have been spewing for wks now....ya see, even when bears were quite giddy early last week you have to trust the charts and not fall for their traps.
1250-60 will be key, if mkts reject(mkts cant hold 1215-20), we will be heading below 1100 again...if mkts accept prices above, were headed towards 1320-1350. 1250 area is key...watch this area very very closely as it will define the action for next few months. Last edited by mact3333; 10-24-2011 at 10:14 AM.. |
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10-24-2011, 12:31 PM | #2240 | |
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10-24-2011, 12:45 PM | #2241 |
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Sold all TNA, TYH, SPY calls...holding AGQ small position only now...gotta see what mkt wants to do at this point....should see a reaction now from 1250-60 from profit taking...we saw large selling on strength friday and I bet we see large selling on strength again today.
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10-24-2011, 04:23 PM | #2242 | |
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Greek write downs nearing 60% in some discussions, this will hitFrance hard and will undoubtedly get them another downgrade. Contagion is still very much possible. I'm a bit brave and holding on some FAS atm, but will be watching the markets like a hawk and prepared to pull out ASAP. I still have a good cushion so I will see how things ride. Hope everyone is investing accordingly!
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10-25-2011, 04:12 AM | #2244 |
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Shieeeeettttt! I knew this thing was never going back to 1300 levels!
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