Search results

  1. D

    Portfolios (S&P500, Nasdaq100, DAX, US Stocks)

    Buy alert: I'll start buying tomorrow. ETFs: ISHARES DAX (DE) (EXS1) ETF with stop at 62,0.
  2. D

    Portfolios (S&P500, Nasdaq100, DAX, US Stocks)

    The overall market direction is up since the beginning of June. The overall market fall a few days but now went back up and breakout has happened. The breakout suggests that the market direction continues upward. I'm still afraid to be buying in the worst month for the markets, but I also...
  3. D

    Portfolios (S&P500, Nasdaq100, DAX, US Stocks)

    The months of September and October are statistically the two worst months of the year for the market but there are no signs that the overall market will decline, but I also have doubts that it will continue to rise.
  4. D

    Portfolios (S&P500, Nasdaq100, DAX, US Stocks)

    Emergency stop The emergency stop that I use is activated if the price moves downwards too far. Because of the high volatility of the US Stocks and 300% leveraged ETFs, the stop is placed farther away from the current price, implies that the portfolios that use these assets have higher risk...
  5. D

    Portfolios (S&P500, Nasdaq100, DAX, US Stocks)

    Error: There is a duplicate symbol. Nasdaq 100 Leveraged 200 ETF Portfolio uses ProSharesUltra QQQ Fund (QLD) ETF and ProShares Ultra Short QQQ (QID) ETF
  6. D

    Portfolios (S&P500, Nasdaq100, DAX, US Stocks)

    I consider 5 USD or 5 EUR per buy and sell order. Broker example http://www.interactivebrokers.com The monetary value of each position is 4000 USD or 3200 EUR. Rule: All entries and emergency stops must be sent to this " thread " , with a minimum of 5 minutes before the...
  7. D

    Portfolios (S&P500, Nasdaq100, DAX, US Stocks)

    I'm going to have 8 independent portfolios, of which the first 7 are long/short trend-following with ETFs of different leverage, and the eighth, is a long trend-following with US stocks. Plus: I have separate stop-loss limits for each ETF/stock, which is influenced by portfolio...
  8. D

    Portfolios (S&P500, Nasdaq100, DAX, US Stocks)

    I pick stocks to buy based on a careful analysis of the historical charts. I also consider other factors, such as net cash from operating activities, volume and beta.
  9. D

    Portfolios (S&P500, Nasdaq100, DAX, US Stocks)

    I determine my market posture through a careful analysis of the charts. I observe the market direction - up, down or sideways – with the S&P 500 index, Nasdaq 100 index, Dow Jones index, MSCI ACWI index, Dax index or other leader index where the stock acts. Acting in concert with the market...
  10. D

    Portfolios (S&P500, Nasdaq100, DAX, US Stocks)

    Before I talk about my portfolios, I will talk about my goals. My first goal is to try to respond as best as possible to what the market is doing and act appropriately. I am talking about trend-following discipline. When i expect the market will go up, my market posture is bullish. That...
Back
Top