Tag Archives: CME Group Futures

A.M. Look 9/12/14…W/ Trade Alerts

Stocks… GS…177.25 was last years close. A close today above 182 puts in an ORH week, targeting 192 short term. Semi Annual resistance starts @ 189. By remaining above 177 GS should retest the 215 level it broke from in … Continue reading

A.M. Look 7/12/13

Stocks.. Everybody is all in long. Look for names that have not had big moves with RSI in the High 70’s or 80’s. Bonds… 30 yr. is right at resistance @ 135.00. The level has not changed. Bunds…143.75 is closing … Continue reading

A.M. Look 5/24/13

Oil…94.60 is resistance Euro…buy stops are 130.15. We’re only looking at this in relation ship to EUR/AUD as to which currency leads the cross higher. We’re looking for another couple of figures to go before running into resistance. Nikkei…has failed. … Continue reading

A.M. Look 1/3/12

Euro…130.60-30 is first near term support. “131.66” is the key level to focus on. Closing below this level Friday puts in an ORL week. USD/CHF…has the same pattern with 91.84 being the cash level to close over. GBP/JPY…below 140.56 this … Continue reading

A.M. look 12/20/12…W/Trade Alert!

Oil…91.45– 92 is the next significant resistance area. 30 yr. Bonds…we are going to sell the Bonds “which = buying TBT” with a tight stop…at the 147.14-20 level. We want to start small with a 25% position. Euro…held macro pivots … Continue reading

A.M. Look 8/9/12

Spu…1402 is the macro closing upside pivot. Nasd 100…2715 ish is the macro closing pivot. 30 yr. Bonds…148.12 is the closing downside pivot. SPU/BONDS…94.40-50 is near term resistance AUD/USD…105.72 is the macro closing upside pivot. AUD/JPY….83.25 is resistance…82.50 ish is … Continue reading

AUD/USD | Trade Alert! Order Adjustment!!

We’re going to leave our first Sells @ the cash level of 101.55, however we are going to scale into this trade by selling 25% @ that level and the rest @ 102.00-20 with a closing stop over 102.60. Futures … Continue reading

AUD/USD | Trade Alert!!

The markets went risk on last night and risk off through London into early New York. We need another small “Risk On” wiggle up to get filled on this trade. This trade is a very defined look at a “Risk … Continue reading

Aussie Futures…Trade Alert…Pros Only!

Punt of the Month…. Buy the May Puts In the Aussie Futures..  These expire tomorrow! So you’re either right or wrong. My options window shows the 102 trading around 11 ticks.. The 101.50 strike app 5 ticks…Not sure if my … Continue reading

A.M. Look 5/2/12

EUR/JPY…105.50 is the 200 day and the closing level for an ORL day. Spu’s & Nasd….the support levels have not changed since Friday, and we still need an S&P close over 1402 to confirm higher. Oil…106.80 is a level that … Continue reading