Wednesday, March 28, 2012

wedn thoughts

358
5374 exited half of silver AGQ, small profit, keeping other half swing

349
5357 new stop agq on half positoin

346
will take half of silver off with small profit b4 the close today, to reduce risk on early entry

346
taking piece of UTIW off here from entry earlier today, 1.3% profit,,holding rest swing

342
1404 resist on ES

342
broken higher, see what it does now

340
78%

339
1782 UTIW trgt 1

335
77% es, intraday only not swing

325
es still on long scalp signal

322
5340 stop on scalp piece of agq,,,lower stop for swing piece

318
Yest VHC haed green candle, and UTIW held up well near flat, despite ES drop yest

300
76% suggests poss drop to 1394 then over 1398, or poss 1398 break higher here

259
76% es

255
[14:55:04] still at 74% buy scalp on es
[14:55:16] all about 1398 resist


245
if ES can get a 3min candle close over 1398,,,then 1404 poss test

239
if UTIW surges high enough, will take half off, from entry earlier today, even tho its a swing

231
es still on the 74% buy scalp fwiw

221
i added more agq, to give more silver shares for scalp
i think it may move higher into close ,,,if so i'll take some silver off
and keep some

220
added AGQ silver, part 2

159
74% es buy scalp signal, aggress could scalp here, i'm on sidelines, 1395 es

140
ES now on a 72% scalp BUY, 1395, tho i'm not scalping es or spy, using individ stocks instead

108
looking for vhc to retest 2664, then 2700, 2775,,2900

104
long VHC , swing, another one from focus list

1248
long silver via 2x AGQ, 2x bull silver etf,, buying back the silver i sold higher the other day

1225
reducing shares on ERY to 25% positino now, dont want to give up 8%+ profit on it, if i set a tite stop it will likely be hit lower, so exited here for now

1217
in addition to other chart factors, UTIW went up on earnings on mar 22, and now has backtested, bought the backtest a bit early before it reversed higher, looking to retest prior 1792 area and later get over 18 to 19.00ish trgt, more precise trgts later

1216
long UTIW starter position 1687 swing

1203
es hit exactly the 1393 trgt from 10am

1159
possible long ideas, they may or may not be ready to enter between now and 350pm today. many of these have volume support from few days ago and may do well for bounces.  STX  VHC  ABMD  CROX  BIIB  IMGN  VLTR  SPSC  STX  WINI  UTIW  WWW  CMVT 

1159
at 350pm today,,,may be able to enter some LONGS, individ stocks not spy

1157
nice big red daily candle on TEVA

1156
i would NOT take that ES long scalp 1393 idea here, moving too fast es down

1152.
ery lol hit trgt while typing, 1013 nnear 1014 close enough

1151
ERY managed to berak the 1004, next two trgts higher likely met

1148
ERY hit 1004 trgt and backed down,,,its now re-testing the 1004 area, expecting break higher

1146
1393 es trgt still,,,aggress could go long limit buy 1393, i'm  not taking it tho

1139
still too early scalp long es imo, tho its now at support, looks breakable lower, falling wedge 3min still a possibiloity

1118
timing analysis for scalps suggests it may take another 9 to 20 candles on 3min chart for a long entry to form,  ES

1110
same targets es 1393, 1385 es trgts

1102
under es 1404 no longs imo,,,would maybe see long on break over 1404, and then buy the pullback not the break higher

1101
no scalp long setup on ES, imo

1100
inability to bounce the ES at this time of day, 11am--1pm, would be bearish imo,,,they should be able to bounce it

1059
4325 is a stop if long teva, other stop would be 4260,,,,but i think they may try to run the higher stop, hence the order to take profits if it gets down there 4326

1057
have order to take off second half of teva scalp at 4326 from 4420 if able, will hold the teva swing and possibly reshort it later scalp,, may only get 4352 teva trgt today but trying for 4326 if able

1055
corn is lower, being a bit volatile here, still see a bottom forming on it tho, last futures at 628.25

1054
ERY testing its high from 4 days, vs SDS still far below its high

1051
among other things ,,,there is NO volume diverg on ES,,,see the lower trgts still

1041
took half off on TEVA scalp side, keeping swing teva

1039
short teva is at a scalp trgt now 4273 vs 4320

1038
but if 1004 ERY breaks higher, then 1014, 1073, 1084 next interim trgts

1037
taking 25% of ERY off here, changed my mind, 998 near 1000 resist, for 7% profoit

1035
1393, 1385 es trgts

1034
79% es

1033
but i plan to hold the ERY thru any pb,,no plan to sell at 997 trgt, yet, up 6.42% atm

1031
ery trgt 997 interim, may stall there, last 989

1030
77% teva sell

1028
es 76%

1023
Maybe ABT will crack today,the 15min is testing support now, tech its still holding but looks vulnerable on 15min,, ABT shorts swing red 3%ish atm

1018
teva at 76% sell

1017
72% sell signal intraday on ES, 1405 last

1011
give the strong downtrend in CORN, the first bounce likely will stall and pullback to give a second long opp lowr

1011
CORN i have an order to sell half of position at 41.19 if it gets there, and try to buy back lower

1004
for the moment, TEVA 3min chart is ignoring the SPX 3min bounce here, teva moving lower sideways on 3min

959
ERY trgt 1370 with stalls along the way of course, last 9.69 up 5.2%

957
 i still see STX making it over 28 but have not entered long yet, tho its up 1% this morn vs flat spy,,,i may buy it on next pullback on 15min chart,,been watching STX for 3 days now waiting


951
still have teva short trgt 1 lower at 43.52, lower swing trgts under it, last 4393

948
 the gap analysis method i use does not always get the "gap" at exactly 930am....often comes between 7AM--1030AM,,tho SPY did get a small gap lower today,,,per yesterdays gap analysis at 4pm

* ChristopherStockGuy is not an investment advisory service, nor a registered investment advisor or broker-dealer and does not purport to tell or suggest which securities or currencies customers should buy or sell for themselves. For details, see the post from SATURDAY, AUGUST 15, 2009 titled "Disclaimer".

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