Monday, April 30, 2012

Monday thoughts


433
lloking at daily charts from april 3rd, looks like resist was tested friday and today, and that a pb away from resist has started, and looks like it needs to go lower more, on ES and TF IWM

406
i see gap down 76%, and lower overall coming hours days

354
from a swing perspect not intraday

354
[15:54:00] in general, when this "dull day" behavior exhibits itself over and over again, like we are starting to see,,,a break lower or higher usually occurs in the (support or resist) direction furthest from current price
[15:54:13] if support is farther than resist, the break usually goes lower
[15:54:23] in order to get participation and movement


248
IBM looks good rite now, shortted it

239
[14:39:32] FITB putting in a bearish daily candle, still shortable at this price swing imo
[14:39:46] may get the 2% trgt today


225
watching sco for entry, as vehicle to swing short oil, no entry yet,,oil still moving higher

1234
tookk 4% gain on aapl short, quick swing, ,,,,multimonth hold aapl short still red, will look to reshort again later aapl,,,see lower but taking it off here since i'm a bit busy today

1229
out of slv, small port scalp, will look later again

1224
slv will sell 3017, adjusted order, and actively trade it, perhaps buying back later if sell order triggers
i have other related positions in swing, so actively trading the slv for now


1113
i have order to sell SLV 30.47 if it gets there

1054
60min chart on aapl quick swing short suggests holding another 1--4 hours, so may take profits on that if it moves lower, will re-eval later.  AAPL long term short i'm holding regardless,,, aapl long term hold (wekks months) is red atm,, aapl quick swing at 3% gain

1030
aapl is down 2% today

1022
previously mentioned stop on AU was hit, out for now, tho still have the related GDX

1014
FITB looks vulnerable here, shortable imo, profit targets are 2%, 4.5%, 7% and 9% lower from here, 2% poss today

945
[09:44:52] still holding swing shorts in de ftib intc pcln spxu, longs in au gdx dba slv spxu[09:45:09] all short swings still shortable at curr prices imo, swing

938
went long SLV 29.90


Trades can be viewed at the links below.


http://www.marketwatch.com/game/christopherstockguy-public-1/portfolio/Holdings
http://www.marketwatch.com/game/christopherstockguy-public-1


For details on the portfolio see this posting:
http://christopherstockguy.blogspot.com/2012/04/link-to-trading-portfolio-of-posted.html

* 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".

Friday, April 27, 2012

Friday thoughts


401
ES hit the 1396.50, near 1396, b4 4:15pm

354
1396 es trgt by 415pm if setup works,not trading it

351
[15:51:02] GAP analysis evaluates to gap down on monday, using method i use
  15:51:21] only 1 indicator, i dont base trades on the gap analysis


340
1398 and 1394 es mini supports

331
some stocks are up on really low volume, ex intc appears lower ratio than spy

330
this resis break higher imo has converted ES from a daily downtrend to neutral sideways, not to an uptrend, if u look back at candels to march 13

329
"technically" ES has broken OVER RESISTANCE but imo this kind of breakout isnt buyable long, the pb may be buyable if its not too intense and then gets smaller candles,,,maybe know more next week

324
intc is moving lower now a bit,weaker than es spy on 3min charts

247
AAPL keeps testing this support area, at the 1.3% gain level (quick swing not multimonth swing, 2 diff trades),,,, it looks breakable. one could lock profits here, tighten stop, or let it ride. on the remaining shares (25% large port, 100% small port) i am letting it ride for now, with no set stop atm.

1115
its taking awhile, but still think DBA swing long is buyable here, poss 10% move higher

1111
first 15min red candle intc, bounced, trying to short this second 15min red candle, also part of the strat

1109
will see,,,intc at gap resist now, gap down from earning,,lookiung for retest of those earning lows, tho this is a bit early and retest sometimes comes days weeks later

1104
shorted intc here, added to existing positino

1040
new long gdx, will exit today if it moves higher, else may swing

1030
as of yest, out of CHRW short,,,looking to re-enter again sometime, not yet,,,traded short several times swing, for transport sector

1013
[10:12:18] i reset stops back to same as yest: AU 33.88, AGQ 49.93... same price, but i often cancel the stop orders at the open and then re-eval, so as not to be prematurely stopped, tho today they didnt come close to stops, one never knows
[10:12:57] those are hard stops, for now, i might exit sooner, at a diff price, hard stops in place in case of sudden move, both the miners and the metals phys can make v fast moves


1005
other day, someone asked what dark cloud cover was: if daily DE closes today around 82 or lower, would be dc cover...gap up, red candle, close halfwayish prior day

957
[09:57:20] larger positions in quick swing aapl, could take half off here again, after doing so yest then re-shorting yest to full position, same place, 1.25% small gain
 [09:57:36] small port---i'm holding the aapl quick swing thru this, for lower


PCLN, my ill timed short there is stinging now, but i'm holding it for now, and will look at exiting later

932
 aapl has actualy gapped down, despite ES and NQ up

921 am
 it could be choppy from 930--1000-1030am, and we may have a livlier friday than usualy today. ES SPY may see a move lower and then quickly higher again as it chops around


Trades can be viewed at the links below.


http://www.marketwatch.com/game/christopherstockguy-public-1/portfolio/Holdings
http://www.marketwatch.com/game/christopherstockguy-public-1


For details on the portfolio see this posting:
http://christopherstockguy.blogspot.com/2012/04/link-to-trading-portfolio-of-posted.html

* 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".

Thursday, April 26, 2012

Thurs thoughts


541
if SI futures can stay over 3050--3100 overnite, may pop higher and give a gap up on SLV  AGQ in the morning, think higher atm for silver swings

448
i still have the agq silver swing long, only exited scalp slv

448
exited the SLV scalp afterhours 30.24, breakeven (2 cents profit LOL), in the vse port i had to exit at 3:56pmish since it does not allow afterhours

330
3040 and 3060 slv trgts, trying for 3060,, agq has higher trgt since its swing not scalp

329
long slv for scalp 30.22

1258
the wild VHC gapped over the 26.47 lim order to sell remaining half today, out for now with 17% gain on second half, large port

1230
AU may not make a higher high today, but i would not be surprised if it gets a higher hi today, given the 60min chart,, again, it could go lower instead of course

1229
[12:28:39] AU can work now imo, scalp or swing,would only scalp if willing to hold swing if it doesnt move,,,lower au would not wreck the swing long setup imo
[12:28:50] stops remain the same for now, on existing position


last 3420 au

1219
oops, correction it would be a loss in small port if stopped out,,,still keeping that stop nonetheless,,,looked at price in wrong port, sorry

1219
AGQ silver i am placing a stop at 49.93,,if stopped out will be near breakeven,,,stop is at 2nd level of support lower, looking for it to hold first level support else may exit silver b4 stopped out to get a better profit on it,,,,silver can move v fast, so i want to have the stop in place lower, in case of sudden move

1214
if stopped out of AU with mini profit, i intend to reenter again, poss today, at lower level,, new entries makes sense to wait and not buy here yet, AU, imo

1209
PCLN putting in a nice bear daily candle, shoot star, unless it rallies b4 close

1200
slv 60min still on "hold swing another 4 - 8 hours",,,so giving it some room, with stops in place of course

I have a diff chart setup for "60min is tired but dont exit yet, but exit on the next move higher on the 15min chart",,, however that setup is NOT yet showing weakness and "warning" for slv, atm anyways

1144
large port ung had 1640 trgt, it hit 1643, its happy,,,,smaller port didnt get this advantage as it took profit yest

1114
[11:13:40] larger ports could take some profit on aapl quick swing about 1%, smaller port i'm holding it in the simulator for now
 [11:13:57] aapl may backtest 606 area, then lower, unsure


1058
so "mental stops" 3400 and 3417, hard 33.88, small port

1058
[10:58:13] small port: i have raised my stop in AU to 33.88, last is 3460,,,it really should stay over 3420 or 3400,,,if stopped out will take only a small profit, but want to protect from loss. large port, titer stop or taking some off here makes sense
[10:58:32] AU is at 2.6% gain atm, but trying to hold it for higher trgts


1046
AAPL 3min chart bearish compared to SPY:  v diff intraday,

1028
imo, short term,,lower aapl, then higher for reverse quick long after short cover, then sideways,,,,long term aapl 444

1019
shorted DE, swing

954
interesting: CVX up 1.6% yet XOM down 1.4%,,the disparity is not usually THAT big, something may be going on, may be worth investigating

947
AU is doing ok this morn, nice gap up
[09:45:57] its still on a "hold 4-8 more hours long" even for quick swing, so i'm letting it settle to see what it does
[09:46:54] also its NOT yet on my "is getting weaker, dont sell the long yet, but sell it on next bounce"

Trades can be viewed at the links below.


http://www.marketwatch.com/game/christopherstockguy-public-1/portfolio/Holdings
http://www.marketwatch.com/game/christopherstockguy-public-1


For details on the portfolio see this posting:
http://christopherstockguy.blogspot.com/2012/04/link-to-trading-portfolio-of-posted.html

* 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".

Wednesday, April 25, 2012

Wedn thoughts

322
i am NOT adding to that multimonth hold, keeping it at 2 entries for now

322
shorted aapl here in small portfolio, diff trade than multimonth hold from b4a

315
60min bear harami on FITB, still shortable swing imo

313
[15:13:06] today looks impressive, but where is ES still after all of this? below resist 1390 on daily
[15:13:18] imo, looking at daily chart ,,,ES is still bearish here


309
i've been waiting for a few days for intc to rally ,,,,shorted intc here

300
exited UNG before getting stopped out here, 9.5% gain,,,may go higher but ung may get tired after 6% in 1 day

250
raised stop again, 1556 ung, 9% now

238
closed long in mind, 1.3% gain,,,just getting to iffy here now in the mkt to hold these, can always buy bak

233
raised ung stop to 15.47 to protect 8.5% gain

229
1579 interim UNG trgt ,,,last 1555

227
UNG is now up 5% in one day, its getting to the point where it might make senes to take it off today and look to buy again later, not taking off now but may at next resist level, below trgt

215
out of UTIW for now, breakeven after having been profitable earlier today, oh well,,, i will look to rebuy it later

201
72% sell signal ES

159
ung overshot its first trgt 1527 at 1533, but holding for higher trgts stillto 16.47 or another 8% higher

131
LOL the price of PCLN is so high, it causes intraday gaps on the 3min charts, even with 1.3million avg daily volume

131
675 and 655 trgts on PCLN short, last 709

122
shorted PCLN here, swing

110
UNG can pop higher in coming days, there are a LOT of shorts in that sector, at 5.5% gain atm but letting it ride,

105
[13:03:45] i think i made a mistake on my gain on vhc, checking record,,sorry,,i know it was a profit cuz the broker screen was green, but i exited per the chart not per what the gain screen says
[13:03:57] its less i think


101
my gain on vhc was less, only 2% gain, but it was red 5% at one point, so took the gift to exit it here

1258
i'm out of VHC for now and will look to re-enter later, i think it has higher but its at resist and made a big move already 6%, so stepping aside from this volatile stock for now

1249
if one looks beyond spy qqq ,,,,there is always something to trade in the market, some stocks up 6% today, others down 5%

1248
CAT now down to103, huge red candle and decline from 109 AH yest

1223
70% ES sell signal for short scalp, but i'm not trading it, since already have other shorts

1216
VHC on the move up 5% now 2375 last, but still see 2650 vhc later, with stops along the way,,,holding for now, may exit later on stall and reenter

1209
silver slv aqg is forming a nice bull diverg on 60min chart, might add to silver long swing, currently agq 2x is red 9% but it moves fast,,,not adding for now

1208
if FITB moves lower today, will exit the short, else will hold swing

1135
shorted FITB

1058
still keeping UTIW and MIND longs for awhile, they are partly based on earnings UTIW march 23rd candle, MIND april 4 candle

1042
new stocks added to focus list for swing shorts: CRM LULU PCLN FL TDC VMW CF NKE CNC CHS HUN CTXS RAI CFN BIG DLPH FRAN FO WFM

They need more analysis, and may or may not be ready now or later for shorts, but looking at them now.

959
CHRW transports down 6%, CAT down 2.6%, not good for industirals

953
took 6.2% profits on IMGN, still think it goes higher later, and will look for re-entry later

940
close enough, took profits on CAT 105.75 from 109.20--109.80 entries yest

936
CAT approaching the 105.55 trgt now

932
VHC is up 5% this morn

825
will take advantage of the gap up to sell the longs, even if they go higher, for some positions at least

824
I have long positions in IMGN,  MIND,  UTIW,  VHC,  that i may take profits on at the open, unsure, and also longs in AGQ,  AU,  DBA, UNG

817
ES now at the 1380 short area posted yest, so took some spxu 3x spx bear here at 9.43

812
Caterpillar profit jumps 29%, firm ups FY outlook
but stock is trading lower premarket

8:02 AM
Will cover CAT short from yest 109.10--109.80 for 105.55 if able, pre-market, may decide to cover at 106 or 107 instead. Trading at 106.80 right now


Trades can be viewed at the links below.


http://www.marketwatch.com/game/christopherstockguy-public-1/portfolio/Holdings
http://www.marketwatch.com/game/christopherstockguy-public-1


For details on the portfolio see this posting:
http://christopherstockguy.blogspot.com/2012/04/link-to-trading-portfolio-of-posted.html

* 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".

Tuesday, April 24, 2012

Tuesday thoughts


511
i shorted some CAT here afterhours, may add more tomorrow, instead of DOW or SPY short

400

small port sim: last 3 days (since inception): closed trades profit $994, account value increase (including unrealized gains losses) = $746 on 30,000 investment,,,,the experiment continues for now

http://www.marketwatch.com/game/christopherstockguy-public-1/portfolio/Holdings
http://www.marketwatch.com/game/christopherstockguy-public-1



out small port tna, took small profit

251
 70% buy es signal

238
small ports in ANN puts, taking it all off here, did not get target but will take the 60% gain,,,target was more but sideways can decay the puts, will look to re-enter later,,,short the underlying makes sense to hold longer halfa

235
trying TNA here

229
ANN remains on "stay short in options puts"

228
60% buy long scalp signal on es just rang, not actionable imo but suggests tighter stops if short

226
went long MIND, swing, has nothing to do with expecting spx to go higher

215
took half qid off on large port, and took all shares off in small port, will look to re-enter later maybe, 1.47% gain on QID in a few hours hold time, may also look for CHRW short or something else

159
intraday ES approaching 1364 trgt from noontime, reaction here could be impt, if it holds or breaks, "should hold" first test but looking breakable esp under the 1368 and the harsh reject on 1358 first test

158
QQQ testing the daily lows, and looks breakable for lower lows

119
ann stopped out, 1.5%ish gain scalp

113
2858 new ann stop
102
bbl, set stop 2869 v v tuite on ANN to protext 1.2%ish profits, letting qid ride

1254
large port i'll tighten qid stops on half of position, to protect 1%ish profit from trade earlier today,,,small port looser stop,,,same for ANN

1252
under 1368 intraday is now v bearish imo,,,bulls MUST get over that, its not that far away but needs to get over imo

1241
QQQ just broke the 3min chart support
nice for QID

1239
74% on es,,,,,may see its prev posted intraday trgts soon

1232
KFT and INTC are still on my focus list of dow stocks to short but they dont look ready yet, may need another 1-3 days, and may not setup at all

1226
3min chart bear desc triangles qqq es spya

1223
QQQ now breaking 3min chart support ever so slightly,,,,

1214
qqq 15min chart support looks breakable lower

1159
es 1366 and 1364ish initial trgts lower, more later poss

1157
72% sell on ES short scalp sig intraday, could bounce but getting weaker, remaining short in ann and qid for now

1144
exited TMV 2x short of tlt at 2% gain, will look to reenter lower

1134
chose QID because QQQ weaker than spy iwm dia, shorter the weaker indice instead of runup in iwm

1133
went long QID which is 2x short qqq

1128
ANN has a stoch bear dbl top on 15min, with a bear price diverg ,,macd hist still over 0 but starting to tick lower

1127
agressive short setup scalp here at 1371
[11:26:38] would need to have a loose stop,wide...OR be willing to hold overnite,, OR be willing to set a tite stop and not fearful of re-entering again
[11:26:51] could work, i'm not taking it,


1124
es 60% sell signal now, 

1121
took profits on all of BIIB in small port, 128.70,,,into strength,,,i'm getting warning bells for poss move lower, can always buy back, about 2.5% gain

1113
 still waiting for more market maker reports thru the day, but they may be pushing aapl higher b4 earnings, for a move lower in days weeks after earnings on aapl, needs more detail

1108
reshorted ANN 29.01 using the underlying not options, still have half options, if ANN moves today will take some of it off, else hold swing short, may see 2950 b4 lower but this looks good imo 2901

why short ANN when ES is not yet on an intraday sell signal? because i don't mind holding the ANN overnite swing if it does not move lower.

1058
ES is only on a 40% scalp sell short signal, not even close to the min 70% actionable and 74--85% "it moves" (intraday signal for scalps, not relev to swings)

1048
part of reason for UTIW (in addition to tech charts daily and 60min) is earnings green candle on March 22, again these earnings trades sometimes come weeks later, tho this is the third entry in UTIW long (3 roundtrip buy-sells, not scaling)

1047
i am back in UTIW long here, near 16.75ish, it may see 1650 or lower but looks good for swing imo,,,i've traded this one a few times b4

1034
BIIB hit trgt1 , up 2.1% vs es up 0.5%
small port strategy would hold longer, larger port would take some profit here at 2.4% gain

1026
 BIIB on fire now, up 2% vs ES up 0.4%

1019
imo for swings, ES still in the resist zone. this looks impressive but i'm bearish for swings while under resist

1012
BIIB outperforming mkt: BIIB is up 1.7% vs es up 0.5%

1011
many individ stocks rite now are on "hold long swing 4-8 more trading hours at least" setups

1010
1370 is bottom of the 1370--1390 ES resist zone, may stall here and pb, or continue higher into zone,,,short swing opps may present later but early now imo

1009
AU is still buyable here imo, similar to gdx or nem

1005
needs more time to be of value, but rite now AAPL is being accumulated not sold, at this price

958
CHRW up here at near 66 from 6530 short cover earlier, still waiting to re-short CHRW, too soon atm imo, for transport sect trade

952
DBA has gapped up but is still buyabvle for new entries swing here, imo, is only at beginning stage of its rally if one comes

951
TLT moving lower nicnely, good for TMV now at 1.5% gain,
still holding ANN puts

946
an excellent way to play earnings is AFTER not before, sometimes WEEKS after,,,
ex: my WMT short 2 days ago was based on WMT earnings reactino all the way back to Feb 22,, stocks tend to retest those reactions whether it was a high or low for long short

942
BIIB trgts: 128.50, 130.00, 134.00, 138.00 approx, last 127.20

939
wish i had kept a full position of BIIB yest instead of selling half, up over yesterdays high now, hindsight is 20:20 vision

933
DBA and SLV have both gapped up nicely, BIIB surgin 1% higher candle off to a great start also, i remain long in them all.
924
This may be a volatile choppy open imo, 930--1000--1030am

8:47 AM
I am cancelling the order to sell UNG placed yesterday. The order was not filled, and UNG looks like it will gap higher this morning. WIll watch action of UNG at the open and then decide if i want to exit or not.
Trades can be viewed at the links below.


http://www.marketwatch.com/game/christopherstockguy-public-1/portfolio/Holdings
http://www.marketwatch.com/game/christopherstockguy-public-1


For details on the portfolio see this posting:
http://christopherstockguy.blogspot.com/2012/04/link-to-trading-portfolio-of-posted.html

* 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".

Monday, April 23, 2012

Link to trading portfolio of posted trades


Trades can be viewed at the links below. The sample portfolio is designed for smaller starting accounts of $30 instead of the typical starting size of 100,000.

http://www.marketwatch.com/game/christopherstockguy-public-1/portfolio/Holdings

OR

http://www.marketwatch.com/game/christopherstockguy-public-1


The link above is designed for trading games.  The purpose of my game is to test the feasibility of having about 10 open positions in a trading account of 30k. The game is set up for 100k cash but only 30k is used at any given time. I chose to use 100k because the game does not always properly assign margin, especially on intraday trades. So the game says it's 100k of cash but only 30k plus margin is actually used. If you look at the position sizes and orders, you will notice that most swing positions are $2,000-- $5,000 each while intraday scalps have a wider range, sometimes between $10--20k using margin.


The portfolio does not necessarily represent the same number of shares that I purchase in my own personal real money account(s). I may purchase additional stocks in my personal account, or may elect to not personally purchase some of the simulated trades.


* 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".

Monday thoughts


414
[16:13:52] techincially imo the 60min spx chart is on a sideways / lower bias , with limited upside if it comes,,but too risky for new spy short,

spx is close to setting up a quick swing trade long, but 60min chart suggests waiting 1-4 more trading hours (or until tomorrow)

357
out of half of BIIB in small port, small profit/breakeven after comm

340
strat change: took profits in small port in ABMD, may or may not hold BIIB half overnite, reduced exposure by exiting ABMD,,, 4% gain from entry this morn is a big move in 1 day,,,will look to buy ABMD back lower may be tomorrow

332
Huge green daily candle in ABMD

332
ES hit the 1363 intraday trigger, watching to see how close to 1370 it can get by 415pm, tho its late in day now


[15:22:30] UNG at 5.25% gain atm,,,larger ports would take some off here, i'm leaving it for now in small port,no action unless trgt hit today, UNG may gap higher tomorro

318
small port will exit half of BIIB long today and keep other half, since balanced with other positinos want to reduce exposure, no action yet in BIIBa

307
large port ABMD long from this morn, titening stops at 3.65% gain atm,,,smaller port letting it ride longer for now

301
ung nearing its trgt 1520 or 6%, may sell today at 358pm if its close to trgt


257
bears must push under 1358 intraday imo


254
if ES sees 1363,,will prob go over 65 toward 70

[14:53:48] thus far just a bull backtest on 3min charts ES imo, still over intradaya support

247
looking for opp to reshort CHRW transports, having take profit this morn, not ready yet, prob wont short until tomorrow or later

[14:40:16] over 1359 is bullish intraday es, imo
[14:40:32] scalp only not swing,,,1--12 week swing still on "stay short spx"
[14:40:51] not good spot to add shorts , or new ones here tho, imo


229
large port BIIB is at trgt for 25% shares, smaller port not at ttrgt and holding longer biib

219
 i'm still watchinhg 1362 reaction,,,impt intraday # imo,,,looks breakable higher
[14:19:49] 1370 ES might be shortable if it gets there

218
still see silver slv filling gap, and later 31,,32,,,33a

216
BIIB was bought at support today since its in uptrend from March 1,, es is at support too but its sideways from March 1 and downtrend from march 28...why imo BIIB better buy

211
I'll take off half BIIB longs if it gets to 126.70 ,,small port and larger port both

203
small port, took 1% daytrade gain on stx, being conservative, holding the other swings for now long and short

153
stx 15m and 60m charts have bull adams eve ,also bull asc triangle

137
it looks like ES still wants to try to dribble higher intraday here tho, last 3min pb was bouvht, still see 1362 impt # intradaya

1252
ES trying for inv HS on 15min charts

1240
ES starting to get sell short signals here,,,too weak to take actino imo,,,but i'm considering the 1362 trgt as hit, made 1361,, es still looks breakable higher

1227
es 1362 is new intraday resist, but not shortable imo, looks like wants higher, scalp

1223
1362 es key # imo,,,esp if it gets over it

1209
ABMD has managed to break over friday's high, should continue higher now

1205
the ES rose prematurely b4 the 10 candles, suggests poss test of the 1362 scalp trgt

1159
small port adding more stx here to give ebough shares to scalp it

 1148
ES next pb may present opp for long scalp too,,,but needs more time..maybe 5--10 or more candles on 3min charts

 1139
slv looks like it wants to break higher to fill gap, scalps swings there could work too tho i'm not scalping it, swing only

1362 still es mini trgt, failure to get that by 2pm would poss be v bearish for swings imo
[11:38:07] would suggest poss lower low intraday
[11:38:20] but atm, looks like it will try for 1362 higher


1133
If UNG can get to 15.20 i'll take 6-7% gains there, 100% all for small port, 25-50% for large port, and will look for poss reentry

1121
ANN is NOT participating in the ES rally here, ann she may be in troublea

1113
stx broke 2930, watchin for 2950 test, larger positions would take off some at 2950, smaller port would hold longer for 3100

1111
1362 es mini trgt, 1358 last

1109
IMGN up 1.5% from this morn entry, small port would hold it longer, larger positions would take 25-50% off

1107
stx trying to wake up but needs over 2930 to get 2950 and 3100 trgts, 2930 resist , last 2920a

1055
2950, 3100, and 3150 stx trgts, trying for 3100 if possible today

1048
agressive could scalp long here spy tna qqq etc but im not taking it, using individ stocks

1046
long STX 2908, to scalp if it moves today, or swing if not...
buying strength not weakness, diff strat on STX

1036
 aapl multiweek months short is at a 7%ish loss atm, still see 444 aapl later, not adding to the position here, this may take awhile to reach target, with stops along the way

1026
From Jan 1 charts to present, i'd rather be long BIIB than SPY, much diff charts

1026
 traded this one b4, exited awhile ago, now back in, long swing

1023
this UNG stuff is at 3% gain but the position is so small, not taking it off here,,,,strat on this UNG is diff,,,looking for 10-20% gain on it

1012
bakc in ABMD long 21.40,  traded this one b4, exited awhile ago, now back in, long swing

1006
SJM shorts are now at support, active swings would exit and reenter, passive swing would hold thru the chop,,,a

1005
long IMGN 12.17 for a trip bak up to 14 and 26, traded this one b4, exited awhile ago, now back in, long swing

1000
took 2.5% profit on CHRW transport shorts for now, will look to reenter,,,it did not meet its target but getting out for poss bounce, still short ANN

954
finally shorted trreasuries here via TMV 68.20, after being long several times in TLT  TMF, this is an early entry since Friday's post said to wait 1-3 days to short TLT,

940
took 7% profit in ERY bear shorts,,,will look to reenter,,,would hold longer but have shorts in ANN and CHRW still so remaing short in those stocksa

913
4% WMT profit taken pre-market.

907
Silver is also lower this morning, bad for remaining silver position in AGQ but holding that still for now swing,,,also will be looking to take profits this morn in shorts in CHRW  ANN and ERY, tho may let some of them ride a bit longer

906
simulator does not allow trading pre-mmarkte, so will just cover at market open WMT in sim, but real acct i closed them premarket

905
WMT down sharply this morn at 59.50--59.60, so took a quick profit on the WMT short from friday from 62.10


900
ES futures are down this morning, which is good for shorts.

Right now, have order to take profit in ERY 11.47 if able, might take it at a lower price in the first 5 to 60 minutes today.

* 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".

Friday, April 20, 2012

Friday thoughts

401
interesting that ERY bear 3x ended up 0.65% today vs tza 3x down 1.59%

341
imo ES should have seen 1371 on the 1376 break, intraday bullish that it didnt ,,,
swing bearish

338
agressive could scalp long ES into close, i'm not taking it but setup there, with a tite stop
need to accept poss of loss, stop 1372 oe 1370

i dont usually like to scalp trades that i'm not willing to hold as a swing

334
ES now 60% buy, too low for action imo, but enough to get me out of scalp

332
1916 stop on my tza scalp (second half) ,,,and will hold ery swing

330
under 1918, tza could drop

313
taking half tza off now, 1924

311
will sell half tza at es 1371 probably, or all tza if a small positon

301
es is testing near low, and still not on heavy volume on this test, sellers not exhausted yet,,,see if bulls show up, but no vol diverg still

259
third try at es mini supp test here now, watching reactions

258
74% short scalp ES now

255
for scalps, still no bull vol diverg on es 3min chart, see lower poss

243
tza 1900 long trying

230
no bull vol diverg on es 3min yet, often it retests lower first when like this, 1378

225
AU looks bad here but i'll hold it still as swing, its red atm 2%,,,last 5 60min candles are down but dribble, wedgelike, should bounce next week

220
short swings in WMT and CHRW still near entry prices, still tradeable imo at these levels

219
1378 holding mini resist so far, watching it on es

147
if 1376 does not stall, then bearish, to 1371 next trgt,,,just simple horizon supports

146
if scalping from 1380, 1376ish trgt to take off half of it,,will likely stall there,,,i'm not trading it, cuz have other shorts

145
if appl breaks under 569 then 550 trgt

125
short here could work 1380 aggress

124
next bounce up on ES 3min may present short daytrade opp, unsure if it will move or not today

119
KFT and INTC short setups still baking,,on sidelines for now,,,KFT wont go down and bounce (to give setup), and INTC wont go up (for setup_), ,,will wait till next week maybe

117
es scalp short signal at 72% at es 1381.50,,usually takes 78-85% to move

115
ANN looks like it wants interim trgt 2820 or 2800, coming hours days

104
dba filled the gap, 15min bull harami on it now

1259
re-shorted CHRW half that exited this morn

1117
shorted WMT swing 62.11,, may see 6250 or higher first but i like this area, was on focus list

1112
TLT may finally be swing shortable in 1-5 days, or TBT 2x TMV 3x,,

1039
1386 es short could work if it gets there, but for now waiting for 1390 or smaller candles

1032
may be able to re-short half of the CHRW if it gets high enough

1029
instead of shorting dow or ES, or spxu ddm tza, one could also create their own custom etf by shorting WMT  INTC  and KFT to start (3 of dow comp),, i'm giving it time but plan to short those later

1020
if es gets 1390 i will short that, may not get that high, would consider shorts at lower levels but only after some smaller candles form

1002
still have half of chrw short, took half off as planned on yest post at 2.5% profit area, holding rest for now

940
VHC wildness continues, up2% from yest, now near breakeven entry price, holding that long still,,,its v volatile as mentioned b4

938
dba alkso gapped up this morn, charts suggest holding another 4-12 trading hours

933
and CHRW quicly filled the gap LOL

some wildness in ANN and CHRW, ann 2921 drop to 2861 in 3 minutes

930
CHRW has gapped down nicely about 1% this morn

* 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".

Thursday, April 19, 2012

thurs thoughts

425
interesting: if you only look from Mar 12--today,,,the AAPL and SPY charts actually look v similar. this does not bode well for either aapl or spx, imo... aapl had a huge run up since jan of course, but its now no longer acting "like apple"

415
imo, anything under 32.20 msft afterhours is unimpressive (earnings)

402
vhc red 2.5% but its v volatile, holding it

402
kept the chrw, wasnt worth taking the 1.3% profit, holding swing

402
es trgts 1366, or could manually trail stop for more all nite

358
es may pb here again,,,same #, 1373

357
could let it run with stop 1376--1379

354
taking 2 points on half of 1373 scalp makes sense and hold other half with looser stop, for 5-8 points profit trgt
 i am not in it

352
1373 es short could work but i'm not taking it, into afterhours lower

344
uh oh,,, es sell signal just jumped to 74% from 69%, at 1372 es

338
lots of resist on the way up to 1390 es

338
1375 ES is the new resist imo,,,under that, bearish, 1372-1376

334
some instutional selling today, not a lot, in chrw,,,,so it may bounce into the close before revisiting lower,,,, like ANN did yest

331
tho 6570 is next trgt chrw

331
trying for 65 chrw exit, last 66

328
may take half of the CHRW short off today, it may bounce tomorrow and be able to reshort higher,,,unless it surges higher, i'll take off half CHRW, around 1.5-2.5% gain depedning on price

318
so next few days may be crucial, interesting

317
inability of the market to rise a little, after institut selling and Market Maker reports from yesterday,,,it could cause a severe move lower. this is because the MM may need to take a loss if they cannot push up price to recover from servicing the instutitions. if they cannot push it higher to exit, they will block sell to exit, and there are no market makers there to buy, only retail there to buy

308
if es cannot get to 1374--1376 bounce, would be bearish imo, into close and longer
it should bnc there

302
if vix can get over 21 or 22 in coming days, then options premiums should start to accelerate and value increase faster on puts

301
if ann closes below yesterdays low (its well below it now), then it will have confirmed yesterdays bearish shoot star candle

258
ES 1374-1376 should stall any rally attempt today

257
if CHRW closes near here or lower, it will have a bear reversal day bar, with a higher hi and a lower low with a close near the low, tho the uptrend is short, only 8 days

252
long silver 5420 agq trgt, from 5212 entry (todays silver at higher price, not yest slv positino)

241
AGQ in 52.12 for scalp if moves or hold if stalls, silver

224
short in CHRW at 1% gain from entry earlier today, but waiting for lower to cover half of it, larger position i'd cover 25-50% now, but dont have enough shares since its supposed to be a swing

219
i've been trading ERY in add to tza sds, because ERY is at near or over its Jan 31 price, where as SDS is far below it,,imo energy weaker

214
watching to see if ERY catches up to sds, rotation

209
SLV should pb one more time, and may give an opp to scalp long (diff than curr swing),,pb may be to higher low over .70

207
SLV waking up now, on the move higher after intraday pb

148
at current velocity, looking to exit slv long in 1-3 days, may change if its velocity increases or decreases

146
1-5 day hold time on chrw atm for swing piece, may take half off as scalp or quick trade if it moves to around 2% gain, only 0.7% now

144
for now, CHRW is putting in a nice bear shoot star on daily candle, will hold the swing short entered today

1245
1 to 5 days expected hold for swing part of VHC, if it moves sooner then will take off half for scalp

1243
long VHC 23.70 for scalp swing, this is very volatile stock so sized accordingly

1238
later ann trgt 25.50, so the trgts are about 7% and 16% lower

1226
UNG 14.30 long. bought a small position in UNG for a multiweek multimonth hold, or will exit on a surge higher if it comes sooner. Small position in this, basically i'm using the etf like i would options, but the etf does not expire like options do. UNG has been in a multiyear decline, but I think natural gas will go higher over time.  It's also in a bull falling wedge daily, with divergences. Elected to use UNG instead of the 2x BOIL since the 2x may decay more over time than 1x UNG.

1145
from prior idea for short setup:  that was the "down" on es 3min chart move, now looking for it to bounce, and this bounce might be shortable when done, only halfway thru the setup, 15min candles still not small enough but may get smaller after next bounce on 3min

1116
also CHRW, notice daily stoch 14,3,3 over 90 but price is near resist, not the sole reason, but that illustrates prior comment on watching ES stoch

1114
part of reason for CHRW short,,look back to daily chart in february

1109
shorting CHRW again, been awhile, as a proxy for IYT transports play, at 67.00

1059
ES short setup likely will require a trip down on the 3min charts, then a trip back up, and short that bounce,,,will take some time to form


1058
imo, its too early for "limit orders at support" for scalps, may be valid for swings, but i'll wait for the smaller candles for new entries, keeping the existing ERY etc swings

1055
for scalps on ANN     ES, es 15min chart is "starting" to form the smaller candles, tho more up or sideways may come,,no setup yet, but it looks like it will be a short setup, if it presents

1039
another short scalp may present in ANN today like yest,,,watching that one, might be easier shorting ANN than spx, but no setup yet

1035
simple method: in coming days, watch ES stoch 14,3,3: if its near 80, and ES is still under or in its resist zone, v bearish for SPX  ES swings

not that we rely on a single indicator, and stoch is often useless, but on this chart pattern the stoch has merit imo, and is worth watching

1033
will watch reactions at 1382 if it gets there, just under 1383

1032
1383 ES is resistance, again, then more R above, #s same as yest

1026
we certainly got the chop and wild action during the first hour, as expected.
for ES TF IWM  scalps, waiting for multiple smaller candles on 15min makes sense, imo, then see if its a long or short setup, it will likely be a contratrend setup scalp if it presents

1021
from a swing perspective, ERY (bear energy, similar to a short on CVX or XOM tho CVX weaker) is on a "hold long 4-8 more hours at least" signal, imo, despite this expected chop

1019
sometimes the early entries take off rite away, other times they take more time (or could result in a loss too)

1017
DBA agriculture has gapped up this morning, and this possibly signals the end of its recent multiweek downtrend, tho i am red a half percent on dba for now (due to early entry hit), still buyable imo, swing

1015
but prob better opps for longs in BIIB  WWW  VTNC  VHC   IMGN  ABMD  MIND   ,, to re-enter (had all those long b4), swing

1013
1370--1375 is es support zone,,,likely stall sideways here
 it may present a long scalp opp tho not yet,
 maybe another 5 pts lower, watching

1003
if using options then NEM or GDX would prob have better spread and volume

1002
long AU 3367,,,,instead of adding to slv, i'm doing the related gold miner AU, similar but not same,, one could also use NEM GDX or NUGT 3x instead, i think that AU will "catch up" to NEM, and AUY looks a bit weaker tho it may also catch up

951
slv trgt 31.48, i will sell all or half of slv  agq position there if it hits 31.48

948
silver up 1.3%, agq 2.5% but giving it time to consolod, rise more, swing,,,if i had a larger position i would take some profit here, but i only have the "early entry" size so holding for now

908
also have long positino in dba.

907
SPX  ES  QQQ may see choppy action from 9:30--10:00--11:00, futures traded in a wide range overnight from 1377 to 1390, was up to 1390 and rejected and fell to 1377. For today, it seems like shorting the rally may be trade to take if ES tries toward 1390 again. Conversely if ES were to be non-volatile, non-choppy, then perhaps a long entry ES would present. But for now, the "short rally" appears more likely.

Still have swings long in ERY   SLV  AGQ  and shorts / puts in ANN

There are many opps both long and short in individual stocks or etfs that may present opp for new swing / scalp entries.


* 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".

Wednesday, April 18, 2012

wedn thoughts

439
nice bear shoot star on ANN today, daily candle, needs confirmation with a daily close under todays low

431
i'll be looking to buy back longs again later,,, same ones as b4,,,  BIIB  VTNC  VHC  MIND   ABMD  UTIW

428
if bulls can hold 1370 ES, they may be able to mount another rally higher above 1390

427
137.82 new trgt on half of spy short, spy 138.11 on other half for now

408
if holding 1385 es shorts, taking off half here 1379 make sense, hold more for break of support to new lows

400
took off ANN short at the close, from entry today, 1.5% gain

but only half size on ANN 1.5%,,,other 1/4 0.65% and other 1/4 0.65%a


359
holding the spy to close afterhours, for further down,

353
spy 138.11 lim cover order if able

3412
back to feb 21 SPY daily, also a bear HS forming

336
 SPY bear flag, 60min, from monday april 3
 coupoled with multiweek swing short, seems worth the risk

309
SPY 139.00 shorted, using spy not spxu 3x because of its high volume afterhours, may close by 4pm or aftehours tonite

255
on 60min and daily charts, ES still in the bear resist zone,,,imo bearish until it breaks it higher

209
would like to see 3107 slv today

204
60 min SLV has no price:rsi diverg, but it has a macd signal line and macd hist bull diverg

159
15m and 60m slv both have bull harami reversal higher candles, with a confirmation on the 15min chart

159
slv 15min in a downtrend, but looks breakable higher

157
stops on slv could be at 30.17,    30.03,     29..87,,, for now i'm giving it some breathing room, no set stop, and may add if it moves lower

157
long again SLV 30.57, early entry semi aggressive, but under the 3075 where i sold it from b4

143
second half, higher stop

143
stop .42 again on ANN here to protect profits, on half position,,,,double dipped shorted b4

101
heres the 4th candle on es, watching if its red or not

1250
3min es pattern still continuing, next 4 candles bear bias

1235
ANN 3min for short scalp pos suggesting it may try to bounce, if ES were suggesting same then i'd cover the ANN here (scalp not swing), but ES suggesting lower so waiting on the ANN for now

1220
its 12:20pm and 3min chart is still following that pattern, we should now see lower ES if this pattern continues, intraday

1215
for shorts in ANN downside trgt i'm trying for 2892 ,,,the 2892 is a stop loss area if long, one reason i'm targeting it as a spot to cover shorts,, of course may need to cover before it gets there,,, the options puts trgt for ANN is lower, that target is for the short on the underlying

1212
for now, 3min charts are behaving, watching to see if it continues or not

1212
ES 3min charts moving according to the pattern, if the pattern holds, it should now do sideways with a lower bias starting, into 1220pm, then lower after that

1153
ANN still shortable swing scalp imo, 2970 last

1150
ES "should" give about 10 candles on the 3min chart, of side up bias, temp only,,,failure to do so would be v bearish,, so the 12:20pm time frame will be interesting to see where it is, what its done

1147
heres 138150 es test,,,under 1381-83 bearish intraday imo,,,watching to see if it can climb over it or not

1135
this looks bad for es,,,watching 1378 still,,will likely stall there but if that breaks lower,,,uh oh

1132
at ann 2960

1132
reshorted the half of ANN took profit on, see below 2840

1128
Market Maker reports on ANN suggest 2940 impt, that institution are selling but MM may need to push ANN higher first to recoup, unsure, but ANN "should" go much lower than 2940 later

1122
taking off half makes sense, that like a 9 point move in es

1120
if ANN can sty under 2940ish, then 2920 next trgt, at 0.64% gain from scalp entry earlier,, taking off half makes sense, that like an 8 point move in es

1114
if short from es 1383.50, makes sense to take partial profits near 1378 for 5 points gain, and hold half in case it breaks, and watch reactions now for possible early exits as its moving lower here, mindful of poss bounces

1111
corn went all the way back down to support and held and is bounceing, cotton still up a little, this action should be good for DBA etf long

1110
bulls need to hold es 1376 else risk trip to 1360 ,,,still bearish bias imo, still under the resist zone, and 1376 looks breakable lower

1106
es at 74% now from 72%, scalp short signal

1055
ANN may need another 3-4 more days before it begins its "larger" expected descent lower

1046
ANN may get over 2975 first b4 lower, but this seems like a decent entry, will possibly scalp this and exit it today

1033
72% triggered

1012
if ES hits 1381.50, it will get a 72% sell signal intradya scalp on es

1009
fwiw, ERY is out performing tza spxu intradya, ery not near its lows, as they r

1006
would be partial position on 1383.50, with poss adding higher

1006
es short 1383.50 here stop 1388.25 stop could work for those that like stops and do not mind being stopped out and reentering, i'm not taking it since still hace ERY

951
it looks like a nice short setup may present on ES  SPX  IWM today, but needs time to bake, not formed yet

948
if SLV can get 5--10 smaller basing candles on 15min chart, may present an opp long in SLV   AGQ 2x silver

940
1382 ES resist test now, watching reaction for break over it, or trip back to 1378 and lower

935
DBA agricul etf still buyable at this price imo, swing, holding that longer

931
ANN has gapped lower almost 1% thi smorn

908
premarket here, took 3.5% profit on tza from yest, holding ERY longer but may sell that in the fist 5min--1hour of the open, depending.

850
Yest at 3:30pmish, my target for an overnite low of ES 1378 was posted. target achieved. 7:30 AM candle hit 1378.25, and is retesting this now. 1378 is now confirmed as an important #, if it holds we can expect a move higher toward 1386, 1389, 1400, 1414,, a break of 1378 gives 1373, 1365, 1360. There is a poss dbl bottom on ES 60min chart pointing to 1414 area, so remaining nimble and actively managing positinos makes sense. Being open minded here, bias is lower while we are under this resist zone, but also willing to look long per above possible situations.


* 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".

Tuesday, April 17, 2012

Tues thoughts

404
heres 1384 ES test,,,will prob stall on first try, if that breaks,,,bad for bulls,,,still have 1378ish overnite trgt test

357
es may test 1384 AH too, by 415pm maybe

355
ES overnight trgt: test 1378,

348
mini breakout 3min tza

346
1388 just rejected again, bearish imo

339
changed my mind, exited 75% of ABMD to lock 1.7%ish profit under trgt, may buy back lower tomorrow,,don like this last hour action in it

332
triggered, broke 1388

330
heres the bounce,,,shortable imo, ES 1391, or move under 1388 whichever comes first

328
despite shorts via ERY  TZA,,,i will hold the long on ABMD, and small leftover pieces of others,,,sadly exited BIIB long a bit early but will perhaps buy back tomorrow or later

324
6 more minutes, may setup the scalp ES,,watching next 2 candles on ES 3min charts

322
instead of corn, u could use DBA,,i bought some near this price
,,if corn goes up, dba will do well, and dba been doing ok given what happend today in corn

320
one advantage of tza over ERY:   tza higher volume tradebale afterhours too

320
next 3min bounce on ES may be shortable also, into 415pm time for scalp, not bounced up yet, if it bounces

319
ES short 74%,,,tradeable imo scalp or swing both

318
tza added 1841, in add to existing ERY

312
MIND up 5% today from yest,,,still have a piece of it, it is right at resist,,,if this resist breaks it may pop another 2%, watching

305
agriculture etf=dba, not oracle dba

304
long DBA swing here could work, 27.44, entry 1 of poss 4

255
 this "looks" like a day to close at highs, but some indicators are saying sell
[14:54:24] but ES short signal scalp has been moving higher from 70% to 72% last

1384 es is the impt # imo,,,and it looks breakable lower

249
72% ES short scalp signal, move just a bit from 70%, last es 1387

219
ERY continues to climb higher with the spx, this may be a concern for spx bulls

154
alt view: for past 7 days, ES has been moving sideways, and has remained BELOW its breakdown point (below resistance),,,imo, swing bearish bias, tho its been choppy,, a break OVER resistance might give a long entry after a pullback but while under resist is bearish swings imo

143
15min ERY chart is near its 15min highs, while 15min SPXU chart near its lows, ERY doing better atm

127
1386 ES is on a 70% sell short scalp signal, first time today its gotten over 69% tho its still early here and usually needs 78--85% to move,,,and early entries 74%ish

125
bear ERY appears to be moving higher here ahead of ES  SPX moving lower,

118
MIND is up 4% today, it seemed to make sense to take off half of this long position, and keep other half

1251
shorted ann via puts:  ANN May12 28 Put at .70  /  .80

1242
even ES 1400 will not stop me out of ERY for now, i'm only entering it because the multiweek swing signal gave a short alarm on april 11, else i would not do this early

1240
i'm re-enterint ERY 10.47 here, starter position, and no set stop  yet,,,its early entry and aggressive,, 60 min chart says to wait 1-6 more trading hours for swing short, but i want to dip my toe in the water a little here

1213
rasiing hard stop on MIND to 22.07, mental stops higher, last 2350 from 2279 entry

1155
wow even with a tite stop, i'm still in biib

1154
SLV hit its stop, 3083 from 3046, 1.2% gain, about 2.4% on agq

1151
still see higher BIIB but its v close to resist and trgt 2, having overshot trgt1, and other longs are further from resist so still long via those stocks, if stopped out of BIIB

1151
128.22 BIIB stop  last 128.30,,,v tite,,,

1144
still waiting to re-enter shorts again using ERY 3x,,,its been a v good instrument (bearish energy sect)

1144
imo, wait to short SPX swing until 15min goes lower, then short the bounce on 15min chart, since the daily and 60min are starting to suggest short,,,the first 15min pb with this pattern is usually bought

1140
127.72 BIIB would be a v active profit protect stop, i'll keep it for now at the slightly lower stop, last 128.17

1135
2037 stop raised on abmd

1129
 i think both slv and biib go higher, but i'll wait to buy lowr if stopped out,,,esp silver since so volatile this

1122
30.83 stop on half of reaminging SLV (25% of the whole),,,stop on second 25% breakeven for now

1119
SLV 31.40 trgt

1114
BIIB raised again stop 12743 last 127.86

1110
raised stop on BIIB to 127.22, v tite stop, last .45, from 124.88 entry yesterdya

1100
BIIB approaching 127.45 trgt, last 127.16,,, it may stall here close to the target, or overshoot the trgt,,,watching reactions,,it's close enough to consider having hit the trgt but i'll watch for now

1053
BIIB might make new highs over 130, not today, last 127ish,,,i'll actively trade it in and out

1052
slv is v volatile today: a higher daily hi, then a trip lower, now moving back up

1019
when the 15min and 60min charts get some smaller candles, then a short entry may present, waiting for now, spx es

930
from yesterdays entries, SLV up 1%, MIND up 2%, BIIB up 1%, AGQ up 2%,,,,stops tightened and will be looking to take part of position off

* 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".

Monday, April 16, 2012

Monday thoughts

337
imo,,,are better options both long and short in individ stocks tho,,,so i've entered long hedges via stocks posted b4,,, BIIB  ABMD  MIND,,, SLV

325
SPY quick swing is on "wait one more day b4 long", BUT it is starting to turn up early, tho uncomfirmed,,, if tomorrow is not lower, than the bounce may be higher than expected...partial long entries /layer could work now or at 358pm, esp is ES over 1369 at 358 PM

332
1366 1367 ES seems to have decent risk:reward for scalp or swing

331
over 1369 ES, it may accel higher into 415pm and into tomorrow

326
SI  SLV scalps may be easier than ES sscalps

310
74% es scalp long signal atm at 1367

305
i'm not taking the es 1366 scalp, just an observation,,also would make sense to wait to see how 1366 reacts b4 entering any long scalp

300
scalp system suggests ES 1366 long could work if it gets there, for move up by 415pm, last 1368

251
1887 stop on abmd

247
BIIB stop 123.67, last 125.45

205
tightening stops on part of SLV makes sense here, to scalp part of it and swng other part

135
i'm bearish on SPX mid term, the longs are from focus list, think those ones will bounce, charts on them are diff than spx charts

134
long BIIB 124.90 area

120
long MIND 22.79 swing

109
slv 3010, 3025, 3035 mental stops

108
back in slv long here 3045, or could use 2x agq, last 3044, stop 2970 for now, may exit higher stop

* 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".

Friday, April 13, 2012

Friday thoughts

343
will wait on zsl, up to 358pm on zsl, unless stopped out first

340
stops have not been hit on zsl and smn. i will keep the smn since it looks like it has more room up (lower mkt), and will take profits on most of zsl silver, since zsl upside is more limited

334
move down may not be done yet, only did a partial retrace today
,imo,,,not enough 60min smaller candles on SPY basing
,the first set of basing often breaks lower,
,the second set of smaller candles then bounces bettr

333
 poss wave 3 lower started today on SPY daily chart, with lower lows ahead
,tho i dont trade by ewaves,,,concept is similar: lower low

201
ERY tite stop 1087 on half, at 3.5% gain atm

200
1094 ZSL stop to protect profits on half of remaining shares, lower stop on second half of remaining

154
SLV has tested the 3040 support and held thus far, but if 3040 breaks then 30.25 next support, and even 30.25 looks breakable for swings lower, holding most of the zsl for now, tho taking some off here at 7.5% ish quick gain from entry yesterday

945
3050ish SLV trgt, or 11.10ish,,,i use SLV and SI futures for analysis not zsl, i just use zsl as the trading instrument,, interim targets in between,,,will watch for silver to continue lower, then poss bounce, then may take profit on second move lower after bounce,,,also watching for smaller candles to form on 15min and 60min

943
SPY got the gap down this morning (mentioned yesterday near 4pm possibility)

938
I'm not trading much today and monday. just checking in every once in awhile. Main swing positions entered yesterday in ERY  SMN  ZSL,,, took most profits on the longs yesterday.  atm SMN up 1%, ERY up 2%, ZSL up 2%

have a great day and weekend

* 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".

Thursday, April 12, 2012

Thurs thoughts

358
out at .71 ABT
358
stop .76 ABT half

356
SMN swing red, ERY at breakeven, from todays entries,k ,,holding both

355
also today, will take partial ZSL scalp profit today, and keep rest swing, 1.25%ish atm

353
if not stopped out of abt,,,will close half of short position in it today to reduce risk ,

352
prelim gap analysis: SPX vulnerable to poss gap down tomorrow, full gap analysis not completed yet

346
5983 ABT stop, last .78
on half,
335
ABT abbot continues to look weak, vulnerable

333
aapl 617 trgt, likely hold first try,,,aapl needs to break that to get downside traction


332
ES is still in its resistance zone. Its easy to see on daily ES chart that ES has run up quickly, but its now stuck at the prior breakdown level
[15:31:58] from march 15--april4, support was 1379--1390ish,,,that is now resistance
[15:32:30] so IMO, under this resist zone is bearish,,,if ES can close over it, would be bullish (not likely today)




311
added ERY swing here, 10.52   10.53

214
they are selling corn now, interesting, no entries in corn, still watching it

, tho corn support still holding
206
SMN and ZSL trades are cancelling each other out, for now

136
abbot labs ABT is up 0.32% today vs SPY up 1.18%,, when SPY pulls back, will be interesting to see if ABT falls harder

130
i just bought some ZSL to short silver, it may go higher but slv looks like a pb coming, swing

126
stocks on focus list as poss shorts, watching them, some may setup nicely:  GS   PHA   VMED   MGLN   GJM in addition to ANN   SJM   ABT   and the bear etfs ERY  SPXU  SMN 

116
this looks impressive on ES, but several factors suggest to me that a pb may start sooner rather than later

110
i will wait for 15min and or 60min charts on slv to move lower before shorting, then poss short the bounce after

1212
SLV is in a tricky spot here,  ,,,it could pb in coming hours or days
  its up nicely today slv, tho i have no positino in it
  but a short setup on SLV is forming, imo



1217
bought starter position in SMN 15.36, may add more later
[12:16:52] tho i will prob just buy ERY instead of adding to smn


1214
exited a piece of VTHC here 8.18,,,6% trgt,,,still see higher but this ES is starting to look precarious now

1206
15.06 SMN i will buy if it gets there, for swing and to scalp half if it moves fast after entry

1156
Next rally on TLT i may short, viz TBT,,may take 1-3 days waiting time

1146
15.43 SMN looks good but i'm not entering yet,,,but i wrote it on the whiteboard,,,if it moves lower on SMN, and then back "up" to 1543, i wont feel like i'm "chasing" it, since its a price that looks good now

1129
cotton broke yesterdays high, watching for 9400ish trgt,,







1059
2443 hard stop on VHC, 25% of shres, and will hold last 25% with lower stop will buy back lower if stopped out at 2443

8% in oned day move is a lot, it may need a pullback, tho still see another 5-10% higher eventually on vhc

1057
2447 mental stop vhc, 2473 last, hard stop lower

1053
xpp still climbing, up 6%,, tightend stops make sense

1052
wow VHC now up almost 8% today,

1023
stop 23.37 on remaining half of VHC, last 2407, still have trgts 24.50, 25.50. 27.00 approx

1020
stalled,,,took 2390--2395 exit on half vnc, from 22.4,,about 6.7%

1016
2395....should get the 2403, watching here

1012
VHC at 2377, considering .80 trg thit, but waiting here for the 2403 if able, order in place in case it hits 2403

1005
vhc
raised trgt to sell at 2403 from 2380 for now in case of sudden move higher,

1001
ANN is in the shortable trgt area now 2822 last but waiting a bit to short it,,,es may be on a mission to move higher stilll, waiting

959
ES broke over yest hi

959
cotton should break yesterdays high

956
will sell VTNC at 8% trgt if able, at 4% trgt now
[09:56:19] it can get there today possibly


950
looks like ES will break yesterdays high

948
ABT short still holding, weakness still there, not up this morn with spx

942
VHC has moved quickly to 2340, where there is resist, and is also a trgt,,,a stall here would be normal, since its still early in the day i will see if it can go higher, given higher opening volume


938
will sell half VTNC at 23.80 if it gets there, last 2300, at the 5.2% gain trgt if hit



857
China XPP did not outperform SSO spx yesterday, but today XPP is up 2.5% vs flat SSO

* 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".

Wednesday, April 11, 2012

wednesday thoughts

424
there is a bull harami on spy daily, but imo its not a very good signal this time,,, candle patterns work better when the trend is longer and not so sideways-ish if we look back longer,,,this harami is a bull pattern on a multi-day decline,,,but the longer trend was up on spy not down, making it less reliable, less bulllish

422
imo 60min ES SPY are in no mans land now, but the 60min should go higher than todays high, even if lower some first,,,failure to go higher than todays high would be bearish, but might lead to narrower range days and less volatility if it doesnt get the higher hi

default view: should go higher, too early for swing shorts today

402
IMO, FACT THAT THE es BREAK OF 1366 1364 DID not TRIGGER more intense selling is more bullish than bearish, for now until tomorrow only, not mid term

355
76% buy signal on es atm

353if not stopped out, i may close the SPY afterhours,,,volume on spy is high enough AH

352
chart suggesting poss move higher 400 to 415pm es, if it is over 1362 at 400pm

347
1365.50 scalps above mkt buy stop could work if it gets there, scalp only, ES trading

346
impt support test on ES right here, 3min chart, into close. result will likely determin direction thru 400 415

340
if ES doesn not get to 1366 soon, may test 1360 lower today by 415pm,,,watching this SPY long scalp dud carefully here

321
ANN never rallied up to fill the 28.09 order to short, and i'm cancelling it for now.  will re-eval at later.

222
76% ES buy scalp long signal, 1366

219
91.30 last cotton

218
cotton is giving a decent pullbak for longs via bal, /CT futures, swing,,,i'm not addding since i bought it lower, but this area is a backtest to support

200
2783 last ANN,,,approaching the 2809 trgt area to short, will still swing short ANN if it gets there

155
if large position, nothing wrong with taking 3 pt scalp prfoti into strenght here on 25% of shares

143
136.66 hard stop on spy longs for now, may exit b4 stop but stop in place in case of sudden move

136
2380 VHC target to sell half if it gets there, 4.6% gain target 1

130
still holding the SPY scalp, at same place as entry atm
,,es longs still valid for scalp imo


125
VTNC up 3% from entry this morning, trying to hold for 5%ish trgt, on half,,,higher for second half
,, still waiting on higher BAL up 1% from this morn, trgt not hit yet

117
LOL the 2 hour range on VHC is 3.5%ish, thats like 400 dow point intraday swing,, i mentinoed that VHC stuff is volatile

110
15min high low chart on ES has a measured target of 5 points, to 1374, which"just so happens" to be near prior 1373 60min low (support turned resist),,, so a good chance of a test to 1372-74 area on ES

102
VTNC is up 2.5% and VNC is down 2% so they r cancelling each other out for now

100
137.50 and 137.80ish SPY scalp trgts,,,trying for .80 on half for now if able

1256
SPY continuing to try to break the 60min DTL,,,its pressing here higher

1226
74% es buy long scalp signal at 1366

1211
60min chart on spx es suggests waiting 3-4 hours b4 any short swings, imo

1210
SPY looks like it is going to try to break the 60min DTL higher, over 138.00 spy may find buyers/short covers

1208
 if you're patient, ANN shorts have 7%, 12% and 20% trgts lower, i'm waiting for 2810 if able to add

1206
ABT abbot labs 5780, 5850,, 5700 trgts

1203
VHC long is red now, but that thing is v volatile,,,holding that one still

1155
watching for next trg on cotton 9307, last 9240,,,no plan to sell at 9307, yet, wating for higher trgts for now

1152
bull scalp diverg forming on es 3min chart now, still baking

1135
bought 1366 es support, same # as 8am

1133
long spy 137.17
es 136675
for scalp swing combo, may be out of it quickly

1129
be interesting to see if GOOG stays under 637/638 today or now, over that it can accelerate

1044
cotton now at 9200 trgt, holding longer for higher targets

1043
i have an order to short ANN at 28.09 if it can move back up there,,, ANN is likely to follow the path that CAKE took,,,just takes awhile sometimes, last 2764

1034
cotton futures trgts approx 9200, 9307,,9370, 9430, 9600, 9800,,,last 9182 moving on high volume up 2% from yest

1025
to diversify, sometimes i buy the dip long on uptrend daily,,other times i buy long the basing patterns on stocks in downtrend,

1019
 remember CAKE? it finally hit its 8% profit trgt other day on the remaining shares,,,it just takes time sometimes

1010
went long VTNC 7.70, diff than VHC

957
VHC 2275 here long scalp or swing could work,,,it is very volatile and can make large moves quickly so size accordingly

942
1380 resist trgt on es if it breaks over 1373

941
1370--1390 lots of resist on ES, expecting a stall there, dont know how volatile it will be in the resist zone, watching reactions

940
BAL is already up 1% since this mornings pre-market entry, but waiting for higher targets on cotton still

811
1365 1366 should find buyers else 3-7 points lower poss,,if long stops near 1364.75ish make sense to protect profit

810
i just took off a piece of XPP 48.22

755
FXI XPP up 2.5% china up nicely this morn, as is ES SPY UPRO

755
Cotton here pre-market via BAL looks good swing, 54.40--54.60 buy area, stop 52.40 or 53.40.

* 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".

Tuesday, April 10, 2012

Tues thoughts

350
2775,,,2800,,2825ish poss ANN bounces that may be opp to add back shares short, last 2718

347
today alone ANN dropped 4.25%,,,if it bounces tomorrow may add back half position, still holding half size short on ANN,,lower trgts ahead

333
bought back half vhc that was stopped out of earlier today,swing long

332
poss long ideas: not entered yet but might trade these long,swing: TAST VTNC BIIB WNI UTIW

313
holding fxi   xpp china as new swings

307
will hold the shorts in the underlying since they dont decay, and half the options

304
taking a 20% profit on half of SJM MAY puts here makes senes, it could go to over 100% profit, but SJM did not move much, and I fear if it goes sideways with an spx bounce, then the options may decay,,,so exiting half for "pizza money"

1209
AAPL is getting the dark cloud cover daily candle, if it closes here or lower, that we have been watching for since failed bear eve star

1206
XPP bought swing 47.24

1158
ANN is at swing trgt 1 ,,,taking some off here makes sense

1046
2280 stop only on half,,looser stop on other half

1046
VHC is volatile and can move fast, like a 3x etf or more sometimes

1045
in VHC 23.22 stop 22.80  for scalp or second swing entry add

1036
tna scalp would be at trgt 1 here, 0.5% profit, suggests taking 25% -50%shares off, or tighten stop on it, i dont have tna

1027
added piece 2 fxi 3610

1024
5473 TNA could work for agressive scalp, i'm  not taking it,,

1022
out of rest of tza from 3pmish buy yest, 3.9% gain,,,may go higher but have other shorts, so out of the second piece on tza for now, may buy back,,, ES may bounce soon, another reason exited

1008
ANN down 2% today, may break yesterdays low, lots of room lower on ANN still,swing,,,10-30% profit targets

1004
fxi is at mental stop here, testing support, i'm holding it for now, may exit later, unsure

942
3530 hard stop (flash crash) stop on fxi, mental stops higher

941
fxi 3650 resist test expected, then break to 3690, then higher if 3690 breaks

937
stop mental 3620,,,if that violated may exit

936
went long FXI 36.40,,,or could use xpp 2x,, stop mental 3620,,,if that violated may exit

934
ANN  ABT abbot labs, same thing

933
SJM has not made its move yet,,,i still see a sharp move lower swing short on SJM,,,still shortable at this price imo,,it's moved a bit lower since entry but has more room lower, imo

927
Considering reentry again into FXI  XPP china indice possibly today or tomorrow, long

* 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".

Monday, April 9, 2012

Monday thoughts

422
took half of TZA off for 1.6% profit in 2 hours

411
tza up nicely afterhours here

411
AAPL short scalp was a dud again, not even worth a soda, but i'll continue to short scalp aapl,,,i expect a block sell on it at some point intraday, so keep trying

401
heres the 1377 test on ES, watching what it does here now

358
tza has high enough vol to trade afterhours,,will see what es and tza do, esp 4pm--415pm

356
will sell 25% of tza at 1377 ES,,,,usually dont use ES to sell IWM but using scalp signal es

350
stopp tightend on 25% of tza here, near 1% gain from entry today

346
81% sugggests 1377 test,,,if that breaks may see more selling

345
81%a

338
if ES hits 1377 in next 5-10 mion, may see harder selling

337
might even hold some of this new tza overnite,,"IF" that tza daily breakout (IWN daily breakdown) is real and holds ,,, v bearish, for lower lows es russell, and higher tza

328
78% sell on es into 415pm timeframe

309
SJM still shortable for swings at this price, imo,, i am holding it

309
tza 19.20 bought

302
shorting ES here could work, 1382, scalp

300
72% sell on ES here 1382

1126
ES in danger of breaking support here, to lower daily lows

1113
took aapl short scalp / quick swing here 636 / 635.50,,diff than long term swing hold multiweeks months

1101
sjm  ann  abt all still shortable swing at these prices

1057
,exited first half early but still holding remaining half for now,

1057
VHC continues to show strength, up 2.52% vs ES sp500 down 1%

952
short in ANN and ABT both outperforming SJM short, but SJM may catch up to them later, holding all for now

948
took small 1% profit on half of VHC long this morning, holding other half, more to reduce risk than take profit

939
trying to cover ANN 2660 if able, last 2751,,,may need to cover shorts higher, but waiting a bit now

936
ANN moving down, VHC moving up ,,watching if that continues, seems too good to be true

587
1387 ES may present a short opp on ES, depending on what charts look like,,,,1388. 1393. 1398 are ES resist zones, watching to see if it only tests the lower ones or tries for higher

855
es down 15 points, but it is at support area here (prior breakout point higher on 3/2 and 3/13,,,so watching reactions first hour

853
if es rallys, (its down 15 points now) initially makes sense to short rally imo,,,,without any new positions first hour

843
for shorts. i may only take off half of the shorts, and let the other half ride awhile, will watch the open.

842
obviously shorts are doing well this morning, via ERY  SJM  ABT  ANN,,, for VHC long hedge, I'm removing the protective stop for now, to see what it does at the open.

* 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".

Thursday, April 5, 2012

Thurs thoughts

419
highest SPY volume came today at 139.80ish ,,,and selling ES after 4pm, that does not look good for bulls, good for shorts

408
my gap analysis method yields "inconclusive" on monday gap, tho more factors evaluate to "gap down" than "gap up", there are not enough gap down factors true, using that method

355
aapl vol may be high enough to hold and close afterhours, to 415--500pm timeframe,

352
635.8 could be aapl scalp stop if shorting scalp, or exit 4pm, for a 0.36% loss if stopped

348
heres the 1394 ES resist test, 1396 also resist,,,this time of day clearly it can break 1394 and "should be able to" higher, if not, may be a good clue,,same # as noontime

337
633.50 aapl scalp short could work, i'm not trading it, es at 1393.50

317
aapl 60 min charts, tues 9am thru today, volume bear diverg, among other things,,,60min does say it could go higher, just throwing out ideas

315
some data suggests that aapl may sell harder than ES, if anything moves by 4pm,,

314
if ES does sell,,will be interesting to see which move has bigger percent: ES from 1392 lst, or aapl from 631

301
might be easier to scalp short AAPL than SPY, tho aapl setup not baked yet either

300
imo 15 adn 60min ES charts could go either way,15min is suggesting a poss break of the 15min downtrend, but daily and 60min are opposing, and certain things in 60min say higher,, for me, that means "stay out" LOL

257
watching for poss rejection at es 1394,,,if so that would be bearish, perhaps not tradeable tho

256
the first bounce up here on ES 3min may be re-shortable scalp, after some smaller candles appear, watching reactions,,, not ready now, for that setup, the 15min trend on es is still bearish while it has lower highs

252
the aapl bear eve star mentioned yest, that candle patten was not confirmed, in fact today it was invalidated, when that happens, a common occurence is a bear harami or dark cloud cover pattern to form later instead, no sign of it today so far, just something to watch in coming hours days

250
imo, silver longs should have a tight stop, whether scalp or swing,,,60min says slv should go higher, but daily and 15min charts dont support it,,,the first move up on the 60min usually stalls and backtests lower,,,

203
if short from 1396, makes sense to take off half or all for 5 point scalp, es,,,i didnt trade it

156
nervous traders would exit VHC here 10 cents over entry,,,i intend to hold it, long hedge,,

151
3060 stop on remaining slv, can always buy back if stopped out,,,close to previous stop this morn on slv agq

140
ANN broke the 28.24 trgt,,,watching to see if this sustains lower or not,,,could see 2-2.5% lower b4 decent bounce

133
ANN continues to look vulnerable, may crack that support lower today

1246
but sjm down hard on earnings feb 17,,,those moves tend to retest lower again, after MM push the price up to get an exit,,, when insitutions dump like that, it forces the MarketMakers temporarily long

1227
XPP 60min says "hold all day today unless stopped out",,,manually trailing the stop higher,,,trailing the stop because 15min chart says "possible pullback"

1222
its still making higher intraday highs, at high of day now

1222
raised stop on XPP china to 49.8, atm 2.5% gain

1206
some stocks on focus list for re-entry swing longs (not ready yet, wtaching them):  IMGN  STX  SLV  BAL cotton CORN  TLT  TMF  ERY   (ERY is a bearish play)

shorts on list:  TEVA  SJM  BAL CORN  SLV 

commodities are being tricky, they are on both the long and short lists, depending on how they move
1205
reentry STX long may present again, needs 2-16 trading hours for setup to formalize

1157
 i exited TLT here,i see higher but will re-eval later, have other open positions and not wanting to manage this one, small profit ,,,exiting not to take profit but to reduce risk,
, it is still on "hold the swing long" tho on TLT

1147
SLV: 15min chart says pb on silver,,,60min chart says more up
,so will need to see "how much" it pb, and "how much" it goes up,,,,that should give a good clue to future swing direction on slv

1139
If ANN breaks 2824 support, it may move down another 2.5% quickly, (tho more support at 2800--2815, imo the 2824 is more impt #)

1137
may take over 18 minutes to form

1136
heres the 3min down move 1--bounce may be shortable, scalp, ES

1126
stopped out, 2%ish on that half,,,may buy back slv later, still have half

1124
silver stop on half basede on 3min chart, its v tite,,basically just under the last signif 3min low, nothing complicated

1123
stop raised on half silve AQG to 52.13,,if stopped may be abloe to buy it back lower,,last 5236

1120
75% TLT long scalp signal

1119
73% short scalp signal on ES here at 1296

1117
VHC up 2% from entry this morning, but holding it longer,,,higher trgts for swing,,might take half off later

1107
agressive could short here 1396, with stop 1402, or wait for 1398 limit fill, or wait for pb on 3min chart then short 3min bounce, i'm not trading it,,think there are other better opps

1104
i use diff strategies, some are purely chart based , others include volume and earnings
, VHC trade based partly on the mar 7 volume big green candle

1102
idea: wait for ES to break over 1400, and then pull back to a higher low, before going long,,,if u miss the move over 1400 without a pb, always other opps

1100
VHC 3 swing targets are 7%, 12% and 21% higher

1050
but if 15min chart on ES  SPY  IWM set up several smaller 15min candles, and entry using the 3min charts for timing entry could work for short

1050
a short scalp  may setup on SPY  ES as its now entering the resist zone, this would be early entry here if it moves to 1398,,,,waiting another hour or so makes sense tho,,,i'm not trading it

1044
SLV resist 3080, 3130,3150,,testing first resist now
3080 looks breakable poss on first try without stall

1042
4940ish XPP china stop

1038
imo, ES bearish intraday since it is still under the resist zone, same zone as yest

1020
TLT now at breakeven, watching that too, same stop as yest 111.37 hard stop, but higher mental stops on it , holding for now

1020
china xpp from yest at 2%ish gain, watching that for now, looser stop

1006
VHC 23.17 stop

1009
5160 stop AGQ to protect gain, 2% atm, still see higher slv, 5230 last,

1006
VHC long here 2380 stop 2320

* 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".