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    My goal is 15% a year... so what strategy?

    11-30-06 01:05 PM buy with the prayer of a JAPAN rebound.... BUY---- NIS, MTU, HIT, SNE, MC, NMR, KUB, NIPNY, IX, MLEA, TMIC, WACLY, NSANY, DCM, TDK, NTT AND THIS years good ones KYO, KNM, TM, HMC, FUJIY, CAJ This is horrible advice, but I thought it would be funny for old Stock...
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    Good morning Taking a very hard look at getting back into RAIL at these levels and lower, But I may wait until ARII reports on WED.....It's been a straight line down from 58 when I sold, but this discount may not last....(The CC had it's worries with orders projected to be down in 2007 and...
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    13D vs 13G

    GENDELL JEFFREY L 13F-HR 2/9/2007 12/31/2006 TONTINE CAPITAL MANAGEMENT, L.L.C. http://myway.brand.edgar-online.com/fetchFilingFrameset.aspx?FilingID=4942729&Type=HTML More importantly.....This is what you should be concerned with..... What was he (And other masters like him)...
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    Another ugly tape today!!!! only 5 sectors in the green today followed by just utilities up on friday....Metal products (mostly because of BW and NVL), Transports were up .25%, Steel up .21%, Healthcare up .12%, and chemical with a meager .04% rise..... The permabulls are taking it...
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    Did Anyone Take My Advice With BW?...

    Actually..... It had nothing to do with you, but I did put a position back on the beryllium supplier on 1/23 after selling it on 11/17....Took a nice 9% out of my original cost and took most off the table today when I got stopped out at 40.19....Caught the whole move today, but it represented...
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    Anyone one notice the formation of a pretty clear Head and Shoulders pattern built on the QQQQ's.....Just thought I would mention considering this is the 1st leg of the right shoulder....Classic weak volume going into the head, followed by increasing downside pressure....Weak volume test of the...
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    ISE was a great call....I must say....Was averaging in with increased size on the 30th and 31st of January....Very happy with the results so far...I took some off the table today, but still a quick 16% on the whole position.... Made a bad call on REITS....I took it from my most overwieght...
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    GOOG today

    From a previous Post all pretty relavant now!!!! Stock Trader Google ties up with a monster company like Verizon and all you get is less than a 1 percent move....Your 600 call is a bit ambitious kid...Hope you got a strong stomach when the growth slows and the players decide to dump...
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    Russell at resistance point at 79.01.....MACD and STOCH to turn around in the near turn....Be careful of higher volatility names going into FED at 2:15 today..... BOUGHT FEB 79.00 puts on IWM (IOWNA) bought for $1.00 today Little protection from Lacker and company.... $COSTAverageMAN
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    01-22-07 10:59 AM Emerging MKTS can and will correct....I have a gut feeling it will be in the very early part of Febuary....BTW What about the asia bull market going on....Get on board if you already haven't, because I would be happy to thin my positions out to you... That is all that...
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    GE is a short imo

    GE 6 month chart....Goes with the above post.... $COSTAverageMAN
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    GE is a short imo

    1st today was the day to cover in my opinion..Good trading by the way, but the move has been made...Unless the market breaks down GE will not fall through 35 and would be a strong buy at 34.50 if it got there in the coming months..(Yes it will take that long to get there)...$36 was the previous...
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    Good Morning All Thanks....Most of the February airline options got closed out on Friday...With great success...Still waiting on LCC and JBLU earnings tomorrow.....I kept a few contracts open on each position, but the majority of the contracts are closed now.... Results so far...
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    Georgia Gulf

    GGC and LYO has been a good long term hold for me in the BASIC Chemical selection....GGC is trading too cheap and the housing market will eb and flow, but GGC should begin to get its act together.....HUN has also had a well run.... Cheap chemicals were a great place to be in a falling crude and...
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    Yea this whole no cold weather/supply/new strategy in the middle east/hedge fund momentum thing is hard to figure out.....All I saw was a small bottom forming on 1/11/2007 and bought into the best of breed type stocks in the sector.....Saved a little bit of cash today by selling out this...
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    I slashed my positions in the oil sector in half during the sell-off today....I'm really not sure if I made the right move, but I had 5% gains on many stocks in that sector and I only opened the positions up 7 days ago....Nice swing trade to say the least....Still holding the airliners...
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    Many tech indexes look just like this and it started on 1/18/2007 ahead of AAPL and it was all about crushing new Call options bought during the week before expiration....People never talk about how important expiration is and how the market reacts before and after.....You have to love the Perma...
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    From Vector Vest over the weekend.... TOPPING OUT. The Price of the VectorVest Composite, V V C, has gone essentially no where since mid-December. Is it time to take some money off the table? If one looks at our Market Timing Graph in the Daily mode, they would see that the Price of the V...
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    Markets Up 100% Up Room To Go!!!

    From Vector Vest over the weekend.... TOPPING OUT. The Price of the VectorVest Composite, V V C, has gone essentially no where since mid-December. Is it time to take some money off the table? If one looks at our Market Timing Graph in the Daily mode, they would see that the Price of the V...
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    Indices under pressure from a rebound in crude and continued weakness in tech

    Many tech indexes look just like this and it started on 1/18/2007 ahead of AAPL and it was all about crushing new Call options bought during the week before expiration....People never talk about how important expiration is and how the market reacts before and after.....You have to love the Perma...
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