rex362
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Post by rex362 on Oct 23, 2018 10:34:47 GMT -5
for you long term people I would go with FORD
the dividend is good 7% at moment and lots of accumulation by big money at bottom levels recently
Ford @ $8.40
hey ...Its only money
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rex362
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Post by rex362 on Oct 23, 2018 10:47:47 GMT -5
also watching Railroads ,a few trucking companies and airlines for when the dust settles
......especially with oil falling
or simply the IYT Down Jones transport ETF
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rex362
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Post by rex362 on Oct 23, 2018 12:28:37 GMT -5
all major indices under their 200 day moving average .....oh oh
took 40% of my total portfolio and went with call options on China/Asian markets .....
FXI YINN JD BABA EWS
And 15% on calls on more Home builders
TOL PHM and ITB ---->etf
And 10% of portfolio on both Ford and GM call options
good luck on your 401k's
but dont be fearful ....this very red day could rebound...volatile up and down
Big money to be made by day trading as well .... bcs of the volatility
markets rebounding ...try'n
me up very good for the day .....just 42% up on Ford Calls , up on GM 38% in 4 hours
and green on all Asian plays
all my calls for the day are for expiration NOV 16th and a few in Dec
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rex362
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Post by rex362 on Oct 23, 2018 13:55:43 GMT -5
well a very bad red day and another hour to market close and markets have tremendously rebounded ...
I knew they would ....rexxy knows ...
all player's player know that when the market dumps like this and the VOLUME IS LOW ....it usually
rebounds 75% of the time...
for example the SPY volume was under 60 million at 11:00 am ...and thats low for such a down day
and day traders / swing traders make out like bandits ...free money let alone the big money players.
on all market days with low volume usually grind up higher -fact- (especially on Fridays )
markets soon toi be green in 20 minutes or less from now possibly ..so expect a green start tomorrow as well (free tip)
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rex362
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Post by rex362 on Oct 23, 2018 15:27:20 GMT -5
for the day market almost turned green at one point but still rebounded more than 75%
had a great day and still holding ....imagine how BIG money did ...
here is one tool I use for daily sentiment in the markets DIA SPY IWN etc....the first chart on the list is what I use
if the P/C Ratio from 9:00am to 11:00am -12 noon steadily increases or decreases is what I watch to get an idea if indices will rise or fall for near afternoon/afternoon plays
put/call Ratios
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Deleted
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Post by Deleted on Oct 23, 2018 17:29:25 GMT -5
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rex362
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Post by rex362 on Oct 23, 2018 17:39:19 GMT -5
sounds complicated ..35 bucks a month is cheap I dont see any info on past results
lots of other companies that do same ,
best I have seen is reading the charts /chart technicals work for me best
also other tricks and stunts of the market makers ...
when its at all time high and the big 3 give it a "strong buy" I go in and short it
or when its down 30% or more from its 6 month or yearly high and they big 3 say sell
I go long
plus I watch inside selling in huge amounts if/when a stock is at its highs or double tops
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Post by Deleted on Oct 24, 2018 12:35:59 GMT -5
sounds complicated ..35 bucks a month is cheap I dont see any info on past results
lots of other companies that do same ,
best I have seen is reading the charts /chart technicals work for me best
also other tricks and stunts of the market makers ...
when its at all time high and the big 3 give it a "strong buy" I go in and short it
or when its down 30% or more from its 6 month or yearly high and they big 3 say sell
I go long
plus I watch inside selling in huge amounts if/when a stock is at its highs or double tops
I see. I guess you're firm believer in Occam's razor principle
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rex362
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Post by rex362 on Oct 24, 2018 12:38:53 GMT -5
markets opened up green /neutral then fell gliding lower ......2 /12 hours to go seems tough to rebound like it did yesterday
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rex362
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Post by rex362 on Oct 24, 2018 17:43:11 GMT -5
Blood on the curbs ......
semi's big losses ....I predict a pop in them next 2-3 day
great for option play
I would play the SOXL -semiconuctor bull x3 - but very pricey to play /huge premium
so I would play the options on SMH -semi ETF- even the QQQ or go opposite on the SQQQ
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rex362
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Post by rex362 on Oct 25, 2018 10:53:25 GMT -5
Blood on the curbs ......
semi's big losses ....I predict a pop in them next 2-3 day
great for option play
I would play the SOXL -semiconuctor bull x3 - but very pricey to play /huge premium
so I would play the options on SMH -semi ETF- even the QQQ or go opposite on the SQQQ
...and ..BAMMM !!!!
firing on all cylinders .....up hard and holding til tomorrow ,making good bank on this play (so far)
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rex362
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Post by rex362 on Oct 25, 2018 10:56:35 GMT -5
all major indices under their 200 day moving average .....oh oh
took 40% of my total portfolio and went with call options on China/Asian markets .....
FXI YINN JD BABA EWS
And 15% on calls on more Home builders
TOL PHM and ITB ---->etf
And 10% of portfolio on both Ford and GM call options
and so far so good .....up good on all these ...very good on home-builders ..best one Ford & GM ...up over 100% & 130% profit in a few days and still holding (greed factor)
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rex362
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Post by rex362 on Oct 25, 2018 11:02:50 GMT -5
have my sights on a few oil plays including its ETF's and also Insurance companies and its ETF
its their turn next ....
its like a horse race track ....every horse gets a turn to win .../ move form sector to sector or where
the next big money will /should flow
VLO being my top oil pic /table pounding buy
TRV / MET / AIG being best insurance co. buy
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rex362
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Post by rex362 on Oct 25, 2018 11:12:15 GMT -5
also eyes on all major Chemical companies .....its also their turn very very soon ,they have been beaten up hard last few months
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rex362
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Post by rex362 on Oct 26, 2018 9:51:39 GMT -5
green all day yesterday and then after hours large sell off and continuing ,might have to sell all and sit the sidelines out
til the dust settles .....maybe by monday/Tuesday
BUT .........If SPY lows do not get taken out today, a near-term low pivot could be in..and possible recovery
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Post by Emperor AAdmin on Dec 19, 2018 12:53:48 GMT -5
Market looking weird lately.
Impending crash nearing?
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Post by Emperor AAdmin on Jan 3, 2019 22:18:19 GMT -5
Market has been falling.
Apple is market leader and starting to seriously tank.
Here comes the real pain I am afraid.
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