Tag Archives: VIX

A.M. Look 5/12/15

Stocks… UVXY…I’m going to Cancel my resting order to Sell @ 10.38. I want to give this some room to work. Price action over 10.50 can see this gain upside momentum. I’ll monitor the price action this A.M. and place … Continue reading

UVXY…Trade Alert!

BUY UVXY @ the Market! It’s currently trading @ 9.64 This is an Opening position with a 5% portfolio weighting.

The Late Show

DAX & Euro Stoxx have the most abysmal chart patterns with ORL’s. SAP…needs to hold 74.15 on a closing basis to help out Europe. As of now it’s showing a 6 day Island top. A 75.47 print is needed over … Continue reading

A.M. Look 4/30/15

Stocks… Equities will be all about the sectors and the individual names within. Spu’s…sell stops are below 2090 support. Nikkei…19,400 is a level that needs to hold over the next day or so to prevent a deeper correction.   SLB…broke … Continue reading

UVXY…Trade Alert!

SELL UVXY @ 10.48 ! This is a closing trade. I’m placing a price order to take another 7% out of the trade. This needs a close over 10.85 to confirm a bigger move up in VIX. DAX is weakening … Continue reading

A.M. Look 4/29/15

Stocks… Every instrument is an Island unto itself. Bonds … Bunds…159.00 is the qtrly pivot. A close under the 50 DMA @ 158.84 is needed to confirm lower. 159.85 is resistance,yesterday’s breakdown level. 30 Yr. …is getting oversold. We’re getting … Continue reading

A.M. Look 4/28/15

Stocks… IBB…347 +- a couple has to hold to avoid a deeper correction. XLK…43.46 needs to be monitored for a potential monthly double top. Bonds … Bunds…159.00 is the qtrly pivot. A close under the 50 DMA @ 158.84 is … Continue reading

Spu/Bonds…the Late Show

Focus on 2 places the rest of the day. IBB…346 ish is the 50 DMA and the top of the cloud. price action and a close below will weigh on the Nasd 100 Future. Nasd 100…the pit ORL stops are … Continue reading

UVXY…Trade Alert!

Place a price order for today​ SELL UVXY @ 10.68! This is a closing trade.

UVXY…Trade Alert!

BUY UVXY @ the Market! This is an Opening position with a 5% portfolio weighting. The risk is maybe 20 cents to buy some downside protection. Options traders…it cost app $1.40 to buy the 14 5/20 Calls. A call spread … Continue reading