Silver just hit DL’s first support @ 39.50..the point & figure shows possibly over extended 39.25 first time down. Spu just hit some resistance @ 1308 The 30 Yr. Bond High was a tick shy of Dr. Nenner’s model # … Continue reading
This type of trade can often set the tone for an early day trade or the early week bias out of Asia. It’s not a hard and fast rule, but more of a conceptual idea to trade from a side … Continue reading
AAPL …396.27 has my full attention…it was up closer to 400 in pre-market after earnings..however, price rejection here can put in a short term double top. A 20-25 dollar break would be healthy for this instrument. NASDAQ 100 Futures is … Continue reading
Futures traders…We have nibbled on the LONG SIDE OF THE EURO AND THE S&P 500 FUTURES DOWN HERE after the stops were run under 1335… We are presently Long Both
We’ve caught this trade 3 times this year from both sides. Things are over extended, particularly the Tech sector. I am pulling the chips off the table and watching for the Long term traders. Sell the SSO and TBT at the Market. … Continue reading
We have added some more Risk to our portfolio. Depending on your time horizon, Day-Traders more than likely have no position, so trade from the side of the trend (Buy breaks in the stocks and sell rallies in the Bonds … Continue reading
The whole board is about being LONG Stocks/Short Bond Futures To that end, buy some TBT equal to the amount of Long Stock exposure you have. This way you have on the spread. This is a Risk On Trade.
I thought you were going to see it back in the low 1330’s for Day traders to re-buy. As of now it’s not happening. There will be stops over 2415 NASD 100 futures. Most long term players bought the Spu … Continue reading
125.00 30 yr. Futures should have your attention the rest of the day! This is a big downside pivot today. A violation and sustained price action under this level will have the Risk On crowd simply drooling from their mouths. … Continue reading
So far the S&P and the NASDAQ are hanging in there. We want to have a long position by the close if BOTH the indices close higher on the day today. The expectation is that Europe does something to sort … Continue reading