338
AEA is close to trgt 1, but holding longer, 3.55% roi atm
328
lowering stop on AMZN to 159.40 for now
306
BAC is making new daily highs finally
302
yest spy vol was huge,,,it was highest vol since may 21, 2010...
252
GPS has had a v quiet day, not moved much at all, still holding long
246
cancelled UPRO lim order, see other better opps,,tho fact that it wasnt filled is bullish for spx, as it didnt test that low down
243
BAC has same pattern, TEVA too
242
TBT has same pattern
232
the UPRO lim order (unfilled) is designed to enter on a deeper test of the gap support, if it gets lower today
231
spy gapped up, held gap supp, and has been consoldating near central 60min Boll Band which is also just so happens to be its resist line too,,, up likely into close to me as long as gapp supp holds
149
lim long UPRO 68.93 if filled
115
cancelled order to short SLV, never filled
106
160.40 stop on amzn for now
103
Long AMZN swing here 164.27
1236
took 5% profit, see higher but dont want to get caught in downdraft,,can always re-enter,,, UNG can move v fast down or up
1235
exited 75% shrs UNG here to lock profits and will look to reenter later,,,will keep 25% of shares for higher
1206
MSFT long may be a better scalp than es long,, but no entries for me on scalps
1143
11.33 ung will lim sell, changing order
1134
NG 424 next trgt if this 410 breaks,,,testing now, bias is to break higher
1127
heres the expecte PB on ES to 1269ish but i'm not scalping here
1122
an interim trgt would be NG 4.24, the 1183 UNG is approx NG 4.47 equiv atm, last 409 NG, and NG is curr at resist now so here is another alt to take 4.65% profits, i'll wait
1117am
lim sell UNG 11.83 if hits that trgt, last 1089, from 10.44 entry
1102
i will lim short SLV 34.23, last 33.78,,, or one could use the 2x ZSL for more leverage, i prefer SLV due to much higher volume on slv
1040
es may want to test 1283, last is 1272
1039
PB to 1270, 1268 ES might present buy dip scalp,,, would be normal intraday corr imo
1032
already jumed 3% today, but needs to break 4.12 on NG
1031
NG natural gas trying its breakout,,,may take a few more tries or could happen now,, /NG and UNG
1021
still waiting patiently on AEA swing long to breakout, at 2% roi atm, still see it higher 10-20% trgts
1010
i have a scalp long on dips setup for next 2 hours at least on ES, no setup yet for entry tho,, maybe a long setup won't come and instead a short scalp will present later instead
* 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, March 17, 2011
Wednesday, March 16, 2011
Charts
BAC vs XLF
(double click to view full size)
BAC vs SPY SPX
(double click to view full size)
* 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".
(double click to view full size)
BAC vs SPY SPX
(double click to view full size)
* 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".
Wedn ramblings
800
interesting that Afterhours Time And Sales is not accurate,,,i covered at 3297 and 3299 but the 3299 never printed tho it was executed
753 PM
I'm covering 75% of shares of my silver shorts and will keep 25%,,,,of swing piece, will try to re-enter. Silver has moved down 8% in 2 days (16% on zsl) and while i expect it to go lower i dont know if it will bounce or not. no complaints on this move down, so taking profit before they evaporate.
slv silver moved down quite a bit since the close afterhours and hit swing trgt #1 at 33.00
313
so suggests higher, both upside and downside limited atm
312
60min spx has rsi bull diverg and macd hist diverg but no macd line diverg, suggests rally
307
SLV has banged on the 3300ish area several times last few days,,,watching reaction and expecting break lower eventually, but thus far that supp has held
150
taking last 4.3% profit on remaining zsl scalp,, zsl should go higher but want to lock profit esp since its scalp, still have the swing zsl from 26.35 now at 8% roi,,,will hold that
128
2300 2600 2700ish trgts for GPS
127
2056 stop on GPS
127
Long in GPS 2158 ,
115
VXX calls at 4.20 now, from 2.07 post, more than doubled (Apr 33 calls)
1109
2900 3100ish trgts zsl, last 2801
1107
25% of shares of scalp taking prof now zsl for 3.6%, holding last 25%
1057
taking half of zsl off here and holding other half scalp, for quick 0.77% prof
1053
zsl 2730 scalp,,,will hold slv /zsl short swings,,this is additional scalp sep trade
1046
zsl 2730 scalp
1033
TBT 60m forming a bull diverg, bullish for tbt, bearish for tlt if it triggers
1031
considering long entries in DFT Dupont Fabros, and GPS, but no new entries yet,
1029
NG UNG nat gas cont to consolidate near prior daily highs, still see breakout higher in coming hours days, poss today
1001
Good morning
* 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".
interesting that Afterhours Time And Sales is not accurate,,,i covered at 3297 and 3299 but the 3299 never printed tho it was executed
753 PM
I'm covering 75% of shares of my silver shorts and will keep 25%,,,,of swing piece, will try to re-enter. Silver has moved down 8% in 2 days (16% on zsl) and while i expect it to go lower i dont know if it will bounce or not. no complaints on this move down, so taking profit before they evaporate.
slv silver moved down quite a bit since the close afterhours and hit swing trgt #1 at 33.00
313
so suggests higher, both upside and downside limited atm
312
60min spx has rsi bull diverg and macd hist diverg but no macd line diverg, suggests rally
307
SLV has banged on the 3300ish area several times last few days,,,watching reaction and expecting break lower eventually, but thus far that supp has held
150
taking last 4.3% profit on remaining zsl scalp,, zsl should go higher but want to lock profit esp since its scalp, still have the swing zsl from 26.35 now at 8% roi,,,will hold that
128
2300 2600 2700ish trgts for GPS
127
2056 stop on GPS
127
Long in GPS 2158 ,
115
VXX calls at 4.20 now, from 2.07 post, more than doubled (Apr 33 calls)
1109
2900 3100ish trgts zsl, last 2801
1107
25% of shares of scalp taking prof now zsl for 3.6%, holding last 25%
1057
taking half of zsl off here and holding other half scalp, for quick 0.77% prof
1053
zsl 2730 scalp,,,will hold slv /zsl short swings,,this is additional scalp sep trade
1046
zsl 2730 scalp
1033
TBT 60m forming a bull diverg, bullish for tbt, bearish for tlt if it triggers
1031
considering long entries in DFT Dupont Fabros, and GPS, but no new entries yet,
1029
NG UNG nat gas cont to consolidate near prior daily highs, still see breakout higher in coming hours days, poss today
1001
Good morning
* 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, March 15, 2011
Tuesday's ramblings
400
For silver futures /SI, the 15min volume bars pre-market at 800am 815 and 830am were all higher than any volume bar from 930--400pm....
331
reshorting slv 3375 now makes sense, for shares covered lower
312
back in TBT again 3708
228
exiting HSY short here for small 0.5% profit,,,it rebounded to strongly so i'm out,,,poss new high,, will eval reentry later ,,this one didnt work as planned as the bounce was much stronger off today's gap down
210
natural gas,,,,if /NG and UNG break resist higher, it can shoot up 10% quickly, as oil and silver did b4,
133
taking ZSL off here makes sense,, 9% profit on ZSL from yest entry in 1 day here makes sense, with plan to reenter later after settling...or alt is to sell half and keep half
113
DBA puts have recovered nicely, not given the expected ROI but at least at small profit now,,,,is at sell target since they expire in 4 days, at 30 cents now vs 20 cent entry for a 50% profit,, could easily double but conserv would exit now,,,i'll exit and consider the move down a gift
1217
100.20 CAT --took off and will look to reenter, taking quick profit from this AM
1139
UNG continues its daily sideways pattern, still long UNG swing up about 1% now from entry post
1118
CAT sell trgt is 102.00 from 99 entry, last 100.21 up 1.26% from entry this morn
1021
DOUBLED ROI: VXX is in profit zone here now, vxx calls now at 4.60 vs 2.07 posting, more than double
1012
Silver SLV has gapped down, good for silver shorts or ZSL, the ZSL is at 9% roi since yest idea posting
,,,,,,,,,,,,,,,,,,,,SSO is down 4.80 roi loss atm
1011
in CAT here at 99.00
* 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".
For silver futures /SI, the 15min volume bars pre-market at 800am 815 and 830am were all higher than any volume bar from 930--400pm....
331
reshorting slv 3375 now makes sense, for shares covered lower
312
back in TBT again 3708
228
exiting HSY short here for small 0.5% profit,,,it rebounded to strongly so i'm out,,,poss new high,, will eval reentry later ,,this one didnt work as planned as the bounce was much stronger off today's gap down
210
natural gas,,,,if /NG and UNG break resist higher, it can shoot up 10% quickly, as oil and silver did b4,
133
taking ZSL off here makes sense,, 9% profit on ZSL from yest entry in 1 day here makes sense, with plan to reenter later after settling...or alt is to sell half and keep half
113
DBA puts have recovered nicely, not given the expected ROI but at least at small profit now,,,,is at sell target since they expire in 4 days, at 30 cents now vs 20 cent entry for a 50% profit,, could easily double but conserv would exit now,,,i'll exit and consider the move down a gift
1217
100.20 CAT --took off and will look to reenter, taking quick profit from this AM
1139
UNG continues its daily sideways pattern, still long UNG swing up about 1% now from entry post
1118
CAT sell trgt is 102.00 from 99 entry, last 100.21 up 1.26% from entry this morn
1021
DOUBLED ROI: VXX is in profit zone here now, vxx calls now at 4.60 vs 2.07 posting, more than double
1012
Silver SLV has gapped down, good for silver shorts or ZSL, the ZSL is at 9% roi since yest idea posting
,,,,,,,,,,,,,,,,,,,,SSO is down 4.80 roi loss atm
1011
in CAT here at 99.00
* 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, March 14, 2011
Monday ramblings
359
watching last 2 days for TBT re-entry,,,still waiting another 4-28 trading hours
348
TEVA just hits it .30 trgt higher,,,still see much higher in coming days weeks, holding long.
it has a bull harami daily candle, almost the more bullish engulfing candle, needs confirmation with close tomorrow or later over todays high
347
BAC up about 0.8% off its lows
346
spx could rally to 1314 and still be bearsish,,,may look to swing short up there in coming days ,,,depending on charts
342
MSFT rallying nicely here from 3540, last is 3572
342
HSY is not rallying with spx here, good for shorts hsy
234
............................
UNG volatil continues, with a harsh selloff, tho still higher lows on 60min chart fo now, and a higher hi,,i'm holding the multi week swing thru this
230
also the 60min spy chart is forming a bull diverg on 60min charts that could sugg rally: lower lows on price but equiv (or higher) lows on macd hist, macd, and rsi,,,with the 60min macd hist close to crossing 0
230
ES daily candle looks v bearish, BUT the SPY daily candle is actually an indecisive doji atm, and could suggest a rally in coming days
219
15min R is at 1295
218
i have resist trgt trendline drawn on 60min chart spx 1332, 1325, 1321 i'm also watching, curr trendline R is 1314 spx, with Boll Band R 1308
216
stoch up to 82, then down to 70ish, then up again to 82 is common pattern on 15min i'm looking to see if it does that
114
testing 1291 R now in spx,
100pm
intraday,teva testing 60min resis on this move up here, then trgt test 4930 if breaks here, 4910 last
1242
long MSFT 25.39
1147
TEVA in daily bull falling wedge,,,holding ok imo given spx decline today,,, TEVA trgt 52.50ish then 5500 5700,, last 48.91
1140
added more TEVA long
1140
taking profits in shorts in DDS and WLP,,,holding HSY shorts,,,spx bounce poss now,,will look to reenter short swings
1135
BAC long 14.11
1111
spx now touching the 60min support line, watching reaction,, usually it will stall or bounce, tho violation lower can happn first
1033
1290 spx is 60min trendline support, watching reaction if it gets there, 1294 last, usualy holds first test for a bounce to near upper channel resist line
1025
think may take a bit for a short setup imo for swing (not scalp),,,60min suggests bounce still poss,,,bull diverg forming in 3min spx even for short term scalp, last spx 1296
1024
think may take a bit for a short setup imo for swing (not scalp),,,60min suggests bounce still poss,,,bull diverg forming in 3min spx even for short term scalp
1019
trade idea: silver swing short setup, ZSL here 2635 or short slv 35.12
1015
spx swing charts still have same pattern as thurs fri,,,shortable entries swing may present later, still see waiting 3-8 more hours
1009
UNG continues to go higher, still holding that as swing awhile longer
1005
AEA from friday new entry is approaching Friday's target of 5.09, but i will not sell there but will hold for higher targets. curr at 4.5% roi, will sell 5.80 at 18% profit if filled
* 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".
watching last 2 days for TBT re-entry,,,still waiting another 4-28 trading hours
348
TEVA just hits it .30 trgt higher,,,still see much higher in coming days weeks, holding long.
it has a bull harami daily candle, almost the more bullish engulfing candle, needs confirmation with close tomorrow or later over todays high
347
BAC up about 0.8% off its lows
346
spx could rally to 1314 and still be bearsish,,,may look to swing short up there in coming days ,,,depending on charts
342
MSFT rallying nicely here from 3540, last is 3572
342
HSY is not rallying with spx here, good for shorts hsy
234
............................
UNG volatil continues, with a harsh selloff, tho still higher lows on 60min chart fo now, and a higher hi,,i'm holding the multi week swing thru this
230
also the 60min spy chart is forming a bull diverg on 60min charts that could sugg rally: lower lows on price but equiv (or higher) lows on macd hist, macd, and rsi,,,with the 60min macd hist close to crossing 0
230
ES daily candle looks v bearish, BUT the SPY daily candle is actually an indecisive doji atm, and could suggest a rally in coming days
219
15min R is at 1295
218
i have resist trgt trendline drawn on 60min chart spx 1332, 1325, 1321 i'm also watching, curr trendline R is 1314 spx, with Boll Band R 1308
216
stoch up to 82, then down to 70ish, then up again to 82 is common pattern on 15min i'm looking to see if it does that
114
testing 1291 R now in spx,
100pm
intraday,teva testing 60min resis on this move up here, then trgt test 4930 if breaks here, 4910 last
1242
long MSFT 25.39
1147
TEVA in daily bull falling wedge,,,holding ok imo given spx decline today,,, TEVA trgt 52.50ish then 5500 5700,, last 48.91
1140
added more TEVA long
1140
taking profits in shorts in DDS and WLP,,,holding HSY shorts,,,spx bounce poss now,,will look to reenter short swings
1135
BAC long 14.11
1111
spx now touching the 60min support line, watching reaction,, usually it will stall or bounce, tho violation lower can happn first
1033
1290 spx is 60min trendline support, watching reaction if it gets there, 1294 last, usualy holds first test for a bounce to near upper channel resist line
1025
think may take a bit for a short setup imo for swing (not scalp),,,60min suggests bounce still poss,,,bull diverg forming in 3min spx even for short term scalp, last spx 1296
1024
think may take a bit for a short setup imo for swing (not scalp),,,60min suggests bounce still poss,,,bull diverg forming in 3min spx even for short term scalp
1019
trade idea: silver swing short setup, ZSL here 2635 or short slv 35.12
1015
spx swing charts still have same pattern as thurs fri,,,shortable entries swing may present later, still see waiting 3-8 more hours
1009
UNG continues to go higher, still holding that as swing awhile longer
1005
AEA from friday new entry is approaching Friday's target of 5.09, but i will not sell there but will hold for higher targets. curr at 4.5% roi, will sell 5.80 at 18% profit if filled
* 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, March 11, 2011
Friday ramblings / Thurs eve futures
349
to me 60min and daily chart suggest upside might not be done, with chop poss
332
will sell my sso 5227 5223 if able, last 5202, from yest 5128 entry
328
if u look at spy u can see it,,,cannot see on spx or es,,,,,spx is a bull harami
324
if spy closes near here then it has a bull engulfing candle that would need confirmation next week with a dialy close over todays hi
319
509 AEA today would surprise me but will still sell there if it hits today and try to reenter next week, 502 last
310
if gets there today, i'd maybe short 1316 spx, 1312 spx trgt might be shortable,, 1316 not likely today
306
1307 trgt es last 1302
145
long TEVA 49.12 for swing
119
here is the spx expected pb here, but still over 1296
1252
if AEA hits 5.09 today i'll exit to take profit 4%ish and re-enter later
1251
AEA up 1.7% from entry this morning, still holding for higher trgts,
1244
spx may pb to 1296 but over 1296 bullish to me on curr chart,,then may get a nice short signal
1243
spx hit its first trgt 1303, or one pt under 1304 trgt,,,watching reaction but still see higher poss
1237
imo,,,,15 and 60min spx charts suggest a pb here, then up to prob higher intraday hi, then down hard,,,down hard maynot get today,, if correct, its a pattern that can take 16 spx trading hours (not es hours)
1140
aixg, i believe will outperform INTC and SMH
1102
its very volatile and can move fast
1102
/NG nat gas up 3% today, and if resist breaks next trgt about 4% higher for 7% up, pushing on R now
1054
SPX is flat today atm, DDS is up 1% and WLP is down 1%,,, just an illustration of how trading individ stocks patterns vs spx can work
1035
AEA has 4x bull diverg 60min macd line:price and rsi:price, and the daily macd hist is almost ready to cross above 0
1028
swing Long AEA here 4.88
1014
for about 4% profit in DBA
1014
exiting DBA now and will look to reenter,
1010
UNG mid term position trade to hold for weeks, still see a 10-24% move up
1009
swing DDS and WLP shorts are much more volatile, and UNG long
1009
swing HSY shorts are soooo slow, but still se 4900ish HSY, 5373 last, near entry
1002
spx can go as high as 1318 as still be bearish in its 60min down channel
1002
think a bounce to 1304 spx to start trgt, then will see reaction there
954
DBA is down nicely this morn, good for short,,,i'm lowering my cover price to 32.77 from 33.29 to try to get a larger profit on it if able, may take profits sooner, watching reactions now,,, 4.05% roi atm, if the lower trgt is hit then roi will be 7%
929
GM
* 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".
to me 60min and daily chart suggest upside might not be done, with chop poss
332
will sell my sso 5227 5223 if able, last 5202, from yest 5128 entry
328
if u look at spy u can see it,,,cannot see on spx or es,,,,,spx is a bull harami
324
if spy closes near here then it has a bull engulfing candle that would need confirmation next week with a dialy close over todays hi
319
509 AEA today would surprise me but will still sell there if it hits today and try to reenter next week, 502 last
310
if gets there today, i'd maybe short 1316 spx, 1312 spx trgt might be shortable,, 1316 not likely today
306
1307 trgt es last 1302
145
long TEVA 49.12 for swing
119
here is the spx expected pb here, but still over 1296
1252
if AEA hits 5.09 today i'll exit to take profit 4%ish and re-enter later
1251
AEA up 1.7% from entry this morning, still holding for higher trgts,
1244
spx may pb to 1296 but over 1296 bullish to me on curr chart,,then may get a nice short signal
1243
spx hit its first trgt 1303, or one pt under 1304 trgt,,,watching reaction but still see higher poss
1237
imo,,,,15 and 60min spx charts suggest a pb here, then up to prob higher intraday hi, then down hard,,,down hard maynot get today,, if correct, its a pattern that can take 16 spx trading hours (not es hours)
1140
aixg, i believe will outperform INTC and SMH
1102
its very volatile and can move fast
1102
/NG nat gas up 3% today, and if resist breaks next trgt about 4% higher for 7% up, pushing on R now
1054
SPX is flat today atm, DDS is up 1% and WLP is down 1%,,, just an illustration of how trading individ stocks patterns vs spx can work
1035
AEA has 4x bull diverg 60min macd line:price and rsi:price, and the daily macd hist is almost ready to cross above 0
1028
swing Long AEA here 4.88
1014
for about 4% profit in DBA
1014
exiting DBA now and will look to reenter,
1010
UNG mid term position trade to hold for weeks, still see a 10-24% move up
1009
swing DDS and WLP shorts are much more volatile, and UNG long
1009
swing HSY shorts are soooo slow, but still se 4900ish HSY, 5373 last, near entry
1002
spx can go as high as 1318 as still be bearish in its 60min down channel
1002
think a bounce to 1304 spx to start trgt, then will see reaction there
954
DBA is down nicely this morn, good for short,,,i'm lowering my cover price to 32.77 from 33.29 to try to get a larger profit on it if able, may take profits sooner, watching reactions now,,, 4.05% roi atm, if the lower trgt is hit then roi will be 7%
929
GM
* 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, March 10, 2011
Thurs ramblings
348
exiting shorts on RSX russian ,,,taking profit, will look to reenter
342
ES could still bounce 10 points and still be within the 60min downtrend
155
over 1291.50 ES i am bullish into close,,,under that bearish
235
ES could move up higher here now, from 1293,, agress scalp long could work
136
3386 exited vxx from 3337, last 3392
135
covering half day short here makes sense, or 75%,,,looks v bearish but at daytrade supp #1, 1290.50 from 1297
132
129150 es now touching the supp line,watsching reacton
128
watching 1292 ES also for poss slightly higher low,,,1292 would be channel support on new 60min downtrend channel,, could go lower than 1292 esp since its a new channel and i excluded part of a tail
1241
ES and SPY 60 min, no bull rsi fail swings yet,,,suggests lower in comoing hours, tho bounces possible first
1233
flag trgt is about 1280 es
1232
ES has a 15min bear flag that has broken back down, now watching to see if it can follow thru lower or not
1212
its not clear on ES but SPY 3min has a bear dbl top on stoch,wtaching to see if follow thru down,,,also often ther first 15min chart rally attempt will fail and retest lower first
1203
ES 1299 bounce trgtr just hit, and stalling now
1141
or vxx 33.37
1141
1297 es short could work here
1101
ES approaching 1299 bounce trgt, day short may work there but no confirmed setup yet
1038
conserv swings from 1318 would exit here 1290.
1008
after SPX 60 min candles get smaller and start to base, can take swing short profits,,,then should bounce and allow another opp to re-enter short,,,should get at least one more bounce, in coming hours days not minutes
959
while RSX russia down 3.07%
958
tho thats disappointing for the HSY short position,, still short now
957
HSY down only 0.5% vs spy down 1.5%,, shows how individ stock performance is often different than the index spx
954
SLV gap down today, poss island top in
905 AM
The swing sell signal is at about 16 points for ES, or 1.25% roi now for spy, 3.75% for spxu, is at target 1 now, with lower SPY still expected tho this is a profit taking area for partial shares
* 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".
exiting shorts on RSX russian ,,,taking profit, will look to reenter
342
ES could still bounce 10 points and still be within the 60min downtrend
155
over 1291.50 ES i am bullish into close,,,under that bearish
235
ES could move up higher here now, from 1293,, agress scalp long could work
136
3386 exited vxx from 3337, last 3392
135
covering half day short here makes sense, or 75%,,,looks v bearish but at daytrade supp #1, 1290.50 from 1297
132
129150 es now touching the supp line,watsching reacton
128
watching 1292 ES also for poss slightly higher low,,,1292 would be channel support on new 60min downtrend channel,, could go lower than 1292 esp since its a new channel and i excluded part of a tail
1241
ES and SPY 60 min, no bull rsi fail swings yet,,,suggests lower in comoing hours, tho bounces possible first
1233
flag trgt is about 1280 es
1232
ES has a 15min bear flag that has broken back down, now watching to see if it can follow thru lower or not
1212
its not clear on ES but SPY 3min has a bear dbl top on stoch,wtaching to see if follow thru down,,,also often ther first 15min chart rally attempt will fail and retest lower first
1203
ES 1299 bounce trgtr just hit, and stalling now
1141
or vxx 33.37
1141
1297 es short could work here
1101
ES approaching 1299 bounce trgt, day short may work there but no confirmed setup yet
1038
conserv swings from 1318 would exit here 1290.
1008
after SPX 60 min candles get smaller and start to base, can take swing short profits,,,then should bounce and allow another opp to re-enter short,,,should get at least one more bounce, in coming hours days not minutes
959
while RSX russia down 3.07%
958
tho thats disappointing for the HSY short position,, still short now
957
HSY down only 0.5% vs spy down 1.5%,, shows how individ stock performance is often different than the index spx
954
SLV gap down today, poss island top in
905 AM
The swing sell signal is at about 16 points for ES, or 1.25% roi now for spy, 3.75% for spxu, is at target 1 now, with lower SPY still expected tho this is a profit taking area for partial shares
* 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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