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      10-27-2011, 01:14 AM   #397
335i101
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      10-27-2011, 02:04 AM   #398
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Lived across from Hood River, Oregon(White Salmon) Great place to mtn. bike, hike and take advantage of the outdoors. Worked with Insitu employees.

Anyway, RIG, HES, NOV, GE, BAC, CVX on my watchlist. Also follow $SPX since I used to only trade that index.
My charts aren't giving me a buy signal yet.... so I'm still on the sidelines since late May of this year. (sold RIG, MEE before the buyout, WDC)
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      10-27-2011, 07:48 AM   #399
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Originally Posted by ejheverest View Post
Lived across from Hood River, Oregon(White Salmon) Great place to mtn. bike, hike and take advantage of the outdoors. Worked with Insitu employees.

Anyway, RIG, HES, NOV, GE, BAC, CVX on my watchlist. Also follow $SPX since I used to only trade that index.
My charts aren't giving me a buy signal yet.... so I'm still on the sidelines since late May of this year. (sold RIG, MEE before the buyout, WDC)
Lol, I still have rig, recently picked up chevron.

What's "charts" do u all use??
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      10-27-2011, 07:56 AM   #400
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      10-27-2011, 09:43 AM   #401
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as noted last week, bears are ready to capitulate...move shoud be fast to 1250-1260, the target I have been spewing for wks now....ya see, even when bears were quite giddy early last week you have to trust the charts and not fall for their traps.

1250-60 will be key, if mkts reject(mkts cant hold 1215-20), we will be heading below 1100 again...if mkts accept prices above, were headed towards 1320-1350.

1250 area is key...watch this area very very closely as it will define the action for next few months.



Initial rejection off of 1250 produced...downturn to 1220...check...reaction off of 1220...check...1250 cleared...check.

Everyone will watch 1270-75 level as 200 dma coming in there...if I was the powers that be, since people will short this level I would ram it through there and get all the bears to capitulate and when they all get on board above 1300 and 90% of the people are fully bullish, this mkt will then tank to remove funds from these same bears gone bull...but thats just me.......there will be tough times ahead, mark my words.


Were on a buy signal now for awhile...europe just sealed their fate and they will pay us a favor like we did to them with credit crisis in 2008...sovereign debt crisis will be their payback to us.
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      10-27-2011, 12:18 PM   #402
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I've finally waited long enough to be right on CSCO...nice run back from the dead. Good job Chambers. Still has room to hit $20, but I will start raising cash.

Nice bounce, but tough times could be ahead. I think we drift higher through the holidays. After that, perhaps sideways to lower.

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      10-27-2011, 03:31 PM   #403
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anyone hear nething about AERN? got a friend telling me to invest in that asap
You're kidding? The entire company is worth $8,000. Don't take stock tips from friends.
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      10-28-2011, 09:39 AM   #404
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I'm playing fantasy stock market (competing with some friends)

What is the best stock (recommendation) to invest in right now if I'm trying to just get the most gains by the end of December?
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      10-28-2011, 10:07 AM   #405
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If people knew that don't you think everyone would be invested in it and getting rich?
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      10-28-2011, 04:23 PM   #406
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Quote:
Originally Posted by coldasicex5 View Post
anyone hear nething about AERN? got a friend telling me to invest in that asap
My cousin runs a company which promotes stocks and pumps them up in exchange for cash payments.

AERN is on his list of promotions.... so it's just being pumped by newsletters and all those "investment help" websites... don't fall for it.
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      10-28-2011, 08:21 PM   #407
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Originally Posted by rallysport View Post
If people knew that don't you think everyone would be invested in it and getting rich?
Hence why I said "recommendation". Obviously (or not), people with more skill in a subject, such as stocks, will give better advice than an amateur. Agree? And yes, people do/are getting rich everyday because of the skills they have in predicting stock trends.
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      10-29-2011, 11:07 PM   #408
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SPX sitting at 1285 currently. Personally, I'm looking for what happens between the 1305-1320 levels in following days. But we should be clearing 1300's now. That should pretty much be a given for now.
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      10-31-2011, 02:37 PM   #409
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Fake sell off imho...1250-60 good place to buy imho...we are going higher...1300's here we come .......if I see anything that says otherwise I will go to defcon 3 but not seeing it.....
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      10-31-2011, 03:16 PM   #410
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Fake sell off imho...1250-60 good place to buy imho...we are going higher...1300's here we come .......if I see anything that says otherwise I will go to defcon 3 but not seeing it.....
Bernanke set to seak tomorrow and Wednesday about possible bailout. I think markets pulled a fake today to hold pressure on bernanke to pump money into the system. He can't exactly introduce QE3 after a four hundred point rally, now can he? I'm agreeing with you on the push past 1300.

However, tomorrow we must be cautioned for what the Bernanke meeting will result in. 3/5 of the State Fed representatives do not want a bailout. But they are largely politically clouded by Republican campaign smears against the Fed. The two other representatives plus Bernanke himself are apolitical and shouldn't be affected. Bernanke holds final decision. Most likely, tomorrow will result in another "Bernanke Boost".

Even if he introduces no monetary easing tomorrow, his tendency to be transparent with current policies in place, and his take on the economy, should be enough. He might point to the strength of the markets right now. How 75% of the earnings coming out of Wall Street this past month have shattered analyst expectations. He might argue for how we are now in a Bull Market.

Then Italy, France, and Private investor stumbles for recapitalization of Eurobanks will drive us back down. Dance till the music stops.


EDIT: about 20 million volume traded at start of trading session that made us open 150 points down. Last five minutes of trading, another 20 million volume made us fall hundred points and close at -276 for the day on the DJIA. After hour trading, and 80 million volumes logged. This is the same thing that happened last week causing the 450 point rally up. Tomorrow will be a very big day. The big boys have a vested interest now. Very big movement happening tomorrow morning. Trade accordingly.
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      11-01-2011, 03:30 AM   #411
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Pull. Your. Fking. Money. Out. Now.
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      11-01-2011, 03:33 AM   #412
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Quote:
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Pull. Your. Fking. Money. Out. Now.
So I see this right before I'm about to goto bed haha... time to open up google and see what's going on.

Might as well stay up until market open now.
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      11-01-2011, 07:17 AM   #413
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This is not a fake sell off. This is a full fledged selling across the board on all markets. We are not talking about an initial sell off causing the day to go red. I'm seeing huge waves of panic volume coming in to pull money out, all over the place. This is capitulation guys.
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      11-01-2011, 07:37 AM   #414
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-200 in pre-market
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      11-01-2011, 08:46 AM   #415
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So not sure if any of you guys got in on Pre-market dumping and shorting, but TVIX made 62% return in the first minute of trading.

FAZ returned 24% in first minute trading. Hope everyone didn't get too clobbered.
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      11-01-2011, 08:57 AM   #416
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1220 is key...needs to hold by end of day or bear prob back...if we close below 1214 very likely bear is back...short positions as hedge closed, all long positions closed...cash for now is king until we get clarity.
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      11-01-2011, 12:28 PM   #417
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Sold winners to get to 70% cash with nice returns after the run and 30% long positions down some, but willing to hold until 2050 if I have to. Agree, cash is king for now.
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      11-01-2011, 01:08 PM   #418
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Quote:
Originally Posted by Dr. G View Post
So I see this right before I'm about to goto bed haha... time to open up google and see what's going on.

Might as well stay up until market open now.
Your welcome! Hope you managed to protect your portfolio a bit. I know a lot of people everywhere today got their faces ripped off. Be lucky you weren't in Europe.... Their index lost 5%+

EDIT: Papandreou calls for emergency cabinet meeting. Greek Parliament officials are saying his vote on the bailout is "basically dead" now. Markets chopped a bit higher on that news. I feel foolish to say we are now on firmer ground. Things will be decided in last minute of trading today. Will be looking for volume changes, that will show guidance for tomorrow.

One of two things might happen tomorrow. 1) Big Swing DOWN: Markets continue to drop in panic and uncertainty. Greece may be slightly resolved, but they may bring into question Italy now whom wasn't fully solved in the summit meeting.

2) Big Swing UP: Tomorrow Sarkozy and Merkel have summoned Papandreou to Cannes to get this Bailout deal "quickly implemented" before the summit talks coming up. This might, if it happens (which they better), bring up market confidence tomorrow. Fed 2-day meeting also ends tomorrow. Italy may be forgotten for a couple days.

We will be able to make a better guess when market closes.
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