We are Closing ” Selling” all of these Long positions @ the market. Longer time frame traders might wish to wait for closing confirmation.
We’re not getting a lot of love from this trade, meaning that we aren’t seeing the desired price rejection off the levels in the Spu and Nasd. Bonds hit perfect resistance and are now retesting support. Spu’s Point & Figure … Continue reading
EUR/GBP…has been a big mover over the past month. This cross is getting mildly oversold on the intermediate time frames. It’s also 50% back on a 6 year swing ( a big swing). Forex players involved in this cross should … Continue reading
We’re BUYING a small position in the TLT which is a Long 30 Yr. Bond Position. We are going to Risk a close below 117 in the TLT. Futures Traders… the 30 Yr. Futures should not trade much below today’s … Continue reading
Here is what we said this A.M…… The Long TLT/ 30 Yr.Bond Futures has been working nicely. Some of you mentioned you took partial profits yesterday near the 114.40 level in the TLT. Any prints in the 30 Yr into … Continue reading
It’s Qtr end. We are not going to initiate anything new today. We have a small position, Long the QID (Short Nasd 100 Futures). For Now, we will leave the stop alone. The Long TLT/30 Yr. Bonds has been working … Continue reading
My short term Gnome “DL” has his daily matrix levels starting at 139.09 is the 30 Yr. (M) Futures.. We get anywhere close to our exit level…DON’T BE A _ _ _ _ FOR A TICK! or two. Exit 2/3rds … Continue reading
Our entry level was…app 137.22-24 (M). We’re placing a futures stop just below this # set on an all session basis GTC ( Good Till Canceled). This means you should have an OCO ( One Cancels the Other) order working … Continue reading
We’re going to be looking to add more to this position later in the day. The point & figure shows 139.16-20 (M) Futures as resistance. This is our 1st tgt area for this wiggle, which should take a couple of … Continue reading