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spy under accumulation>
http://screencast.com/t/WvF7qTKmu
i also have the rsi-2 codes for buy and sell signals>it shows we are very near a bottom reversal today>
http://screencast.com/t/T0ulv6PK7FV
have indicator that measures the difference between the real buy and sell volume on any time frame> here is chart of the >you can see at 122.10 it was a sell at the 11-18 close> and it will become a buy when the yellow line which is that difference crosses up thru the ma(5)>
http://screencast.com/t/I2pYbATc
Hi Roger
Maybe you're interested in the in- and outflow of the ETF's recently. Just have a read through: http://finance.yahoo.com/news/ETF-Fund-Flows-GLD-Tops-indexuniverse-2511712580.html?x=0&l=1
green buy signal flashing on the spy iwm qqqq and dia at todays premarket open the daily rsi-2 is lower than it was at the bottom at 107.53> 50% retracement would be near 119.75(at 120.05 right now)
http://screencast.com/t/Xjapbr9g
bottoming reversal on spy futures with pos divergene on shgi to price >the yelloe line above the light blue line is a buy> best reco buy soxl at the 0800 prmarket price should be 26-27$
http://screencast.com/t/WzJSL0juHN
spy update for 11-21-2011>
spy pointed to gapping down from friday to monday near the ma(50)on the option calculator on vix and superholy grail indictor were pointing to a gap >on shgi i use 15-30 minutes to get the most accurate reading>the spy futures have gapped down below 50ma and the daily rsi 2 is @2% and the 15 min shgi is showing a buy signal>
http://screencast.com/t/p02T9tKH3JuT
http://screencast.com/t/c2z19xfqyo
http://screencast.com/t/HHvSsnNu
http://screencast.com/t/cx6ZG0Cbg
wouldnt go long until spy futures crosses above their ma 50 at 1203> it is at 1194 right now at 530 am
http://screencast.com/t/okjgkgZs3
lerogee. Came by & marked your new board. GLTY. Poem.
graph predicting gmcr earnings> at 67.50 got the 50 puts for 0.55 sold them while it was near 42$ for 9.70$ then you can see where the yellow line crosses above the green line at 42$.here is got the 46 calls for 0.18 and when it hit near 51$ i sold it for 5.90$>
http://screencast.com/t/9oRqXwonoPo
here is it predicting move up on spy on monday. and also you see the sell signal at .126 and the buy at nrear 122
http://screencast.com/t/gypJFEhtpY9Y
predicting bad earning for adbe>
http://screencast.com/t/hzfWnrz7u
good earninghs on bcsi.
http://screencast.com/t/Jf4MLRQo
buying tvix at 51 and selling it near 63 in 3 days.
http://screencast.com/t/QMV4xUTk8lS
ment good earnings.
http://screencast.com/t/DM8z7a6jf91h
mtor bad earnings>
http://screencast.com/t/NxoSApHUy
http://screencast.com/t/LIQXO752U4
crm bad earnings
http://screencast.com/t/6dcNMXbvy16y
guranteed >5% gains every week of the year
with my new trading system back testing it for the last 5 yrs gave 99% winners with an average holding period of 5 days and an average gain of 18% and you will be in a trade 100% of the time> i know where every single to and bottom of the spy is>today was the next bottom or close to it.i only trade the fastest moving etfs with this system> my back testing gave average roe% of 1900% and a reward to risk of 1 to >10. her is the back testing from the top at 126 a 3 day trade>going with my best short etfs> if you would like to know more about this e mail me at alife4love@aol.com> you will have to copy and paste to see my back testing chart>
http://screencast.com/t/VXFzxerAw
here is my back test fot the last 3 days>
Performance results for your filter covering the dates:
Friday November 11, 2011 to Thursday November 17, 2011
Change Offset
<< Week · Day Previous Next Day · Week >>
Results For Next... Overall Adv(%) Dec(%) Adv vs Dec Unch IXIC(%) DJIA(%)
1 Day +4.29% 5 (+4.29%) 0 (n/a)
0 -0.80% +0.00%
2 Days +2.44% 4 (+3.22%) 1 (-0.69%)
0 +0.28% +0.00%
3 Days +8.53% 5 (+8.53%) 0 (n/a)
0 -1.46% +0.00%
4 Days +17.43% 5 (+17.43%) 0 (n/a)
0 -3.39% +0.00%
Current +17.43% 5 (+17.43%) 0 (n/a)
0 -3.39% +0.00%
5 matching stocks
Rating :
predicting earnings
adbe>
2011/11/09 Sell to Close ADBE Nov 11 28.00 Put ADBE -24.0 $1.27 $3.60 $3,044.40
2011/11/09 Sell to Close ADBE Nov 11 28.00 Put ADBE -25.0 $1.27 $3.75 $3,171.25
2011/11/09 Sell to Close ADBE Nov 11 28.00 Put ADBE -77.0 $1.27 $11.55 $9,767.45
2011/11/09 Sell to Close ADBE Nov 11 28.00 Put ADBE -112.0 $1.27 $25.30 $14,198.70
2011/11/08 Buy to Open ADBE Nov 11 28.00 Put ADBE 1.0 $0.20 $0.15 -$20.15
2011/11/08 Buy to Open ADBE Nov 11 28.00 Put ADBE 1.0 $0.20 $0.15 -$20.15
2011/11/08 Buy to Open ADBE Nov 11 28.00 Put ADBE 7.0 $0.20 $1.05 -$141.05
2011/11/08 Buy to Open ADBE Nov 11 28.00 Put ADBE 5.0 $0.20 $0.75 -$100.75
2011/11/08 Buy to Open ADBE Nov 11 28.00 Put ADBE 20.0 $0.20 $3.00 -$403.00
2011/11/08 Buy to Open ADBE Nov 11 28.00 Put ADBE 4.0 $0.20 $0.60 -$80.60
2011/11/08 Buy to Open ADBE Nov 11 28.00 Put ADBE 10.0 $0.20 $1.50 -$201.50
2011/11/08 Buy to Open ADBE Nov 11 28.00 Put ADBE 60.0 $0.20 $9.00 -$1,209.00
2011/11/08 Buy to Open ADBE Nov 11 28.00 Put ADBE 135.0 $0.20 $28.75 -$2,728.75
use the 4 hour 2 period rsi> this will pick every top and bottom> topa are usauall 90-99% and bottoms <10%>graph>the last 5 tops have been 91-98% and the last 5 bottoms 1-7%
http://screencast.com/t/6TdyYCG71vXI
http://screencast.com/t/haHnDki14
here is my back testing using the weekly rsi-2 bottom on 10-3-2011 on all thr long ets>
erformance results for your filter covering the dates:
Monday October 3, 2011 to Friday November 18, 2011
Change Offset
<< Week · Day Previous Next Day · Week >>
Results For Next... Overall Adv(%) Dec(%) Adv vs Dec Unch IXIC(%) DJIA(%)
1 Day +2.00% 155 (+3.17%) 55 (-1.30%)
0 +2.95% +0.00%
2 Days +4.26% 185 (+4.93%) 24 (-0.78%)
1 +5.34% +0.00%
3 Days +6.97% 200 (+7.33%) 7 (-0.32%)
3 +7.32% +0.00%
4 Days +5.61% 196 (+6.06%) 12 (-0.89%)
2 +6.14% +0.00%
1 Week +9.83% 204 (+10.14%) 6 (-0.67%)
0 +9.86% +0.00%
1 Month +18.13% 206 (+18.50%) 2 (-1.14%)
2 +15.50% +0.00%
Current +12.27% 198 (+13.15%) 11 (-2.29%)
short etfs going down>erformance results for your filter covering the dates:
Monday October 3, 2011 to Friday November 18, 2011
Change Offset
<< Week · Day Previous Next Day · Week >>
Results For Next... Overall Adv(%) Dec(%) Adv vs Dec Unch IXIC(%) DJIA(%)
1 Day -4.97% 1 (+6.87%) 14 (-5.81%)
0 +2.95% +0.00%
2 Days -8.16% 0 (n/a) 15 (-8.16%)
0 +5.34% +0.00%
3 Days -12.15% 0 (n/a) 15 (-12.15%)
0 +7.32% +0.00%
4 Days -10.08% 0 (n/a) 15 (-10.08%)
0 +6.14% +0.00%
1 Week -16.46% 0 (n/a) 15 (-16.46%)
0 +9.86% +0.00%
1 Month -28.93% 0 (n/a) 15 (-28.93%)
0 +15.50% +0.00%
Current -23.98% 0 (n/a) 15 (-23.98%)
0 +10.13% +0.00%
15 matching stocks
here are the long etfs if you said weekly rsi(2) below 10
after 1 month you had 145 winners and 1 loser>
Performance results for your filter covering the dates:
Monday October 3, 2011 to Friday November 18, 2011
Change Offset
<< Week · Day Previous Next Day · Week >>
Results For Next... Overall Adv(%) Dec(%) Adv vs Dec Unch IXIC(%) DJIA(%)
1 Day +1.86% 105 (+3.14%) 42 (-1.34%)
0 +2.95% +0.00%
2 Days +4.13% 126 (+4.95%) 20 (-0.77%)
1 +5.34% +0.00%
3 Days +6.87% 139 (+7.27%) 6 (-0.29%)
2 +7.32% +0.00%
4 Days +5.52% 137 (+5.98%) 9 (-0.84%)
1 +6.14% +0.00%
1 Week +9.74% 142 (+10.10%) 5 (-0.64%)
0 +9.86% +0.00%
1 Month +18.65% 145 (+18.92%) 1 (-1.92%)
1 +15.50% +0.00%
Current +12.74% 137 (+13.85%) 10 (-2.48%)
0 +10.13% +0.00%
147 matching stocks
here is back testing with my new system>
erformance results for your filter covering the dates:
Friday November 11, 2011 to Friday November 18, 2011
Change Offset
<< Week · Day Previous Next Day · Week >>
Results For Next... Overall Adv(%) Dec(%) Adv vs Dec Unch IXIC(%) DJIA(%)
1 Day +4.72% 3 (+4.72%) 0 (n/a)
0 -0.80% +0.00%
2 Days +2.10% 2 (+3.49%) 1 (-0.69%)
0 +0.28% +0.00%
3 Days +8.38% 3 (+8.38%) 0 (n/a)
0 -1.46% +0.00%
4 Days +17.70% 3 (+17.70%) 0 (n/a)
0 -3.39% +0.00%
1 Week +15.65% 3 (+15.65%) 0 (n/a)
0 -3.97% +0.00%
Current +15.65% 3 (+15.65%) 0 (n/a)
0 -3.97% +0.00%
3 matching stocks
here is the back testing on my new system that will give you a gain of>5% every single week of the year >eis what i use>
http://screencast.com/t/7CBVaqFW
10:43 optionman: 4 day trade>58.30/50.57= +15.5% and had i waited til 1500 on 11-17 it would of been> 63.50/50.57=+25.5%> my previous week trade was soxl>34.10/29.62=+15% in 5 days> the trade before that was tvix>60/47=+28% in 1 day> next trade was soxl>34.70/29.20=+19% in 5 days next tvix>61/37=+65% gain.the soxl 35.25/29=+22%> in 3 days> this is all in the last 5 weeks> we have gains of 15%,25%,15%,28%,19%,65% and 22%> now since i know where every single top and bottom of the market is i double down on each trade> compinded that is a +430% gain 24 trading days> i have actually been doing this for the last 10 months and im up 3800%
the buy for 11-21 is soxl>
i got in at 28.32 and the low was 28.17> my superholygrail graph gave me a buy at 28.32>
you can see the last sell was at 34$ and you can see we got 3 strong pos divergences at the bottom <28.50>the part of the chart showing showing the yellow and green line is my super holy grail indicator> when the green line crosses below the yellow line it is a sell as was the case on soxl at 34$ and a buy on it at <28.40 where you see the green line crosses above the yellow line> the green line is the difference between the buy volume and the sell volume and the yellow line is a moving average> it has a 98% predictive ability to tell you whether the spy is going to gap up or down and by how much either way the next dat and it has 95% predictive power for earnings>you can see on the following chart the spy was a sell>126 and a buy<122
http://screencast.com/t/G0efvCHEEu0s
for monday 11-21>the spy put its next bottom in at 121.5>we should go to near 126 again this week>graph
http://screencast.com/t/iKs9wrrsdzWW
i have a color coded marketwatch screen that display buys and sells>
you can see when the spy was near 121.89 it was green and the short etfs were red>
http://screencast.com/t/NSqD2WYt
and then we so the exact opposite when the spy was above 126>sell the longs and buy the short etfs
http://screencast.com/t/2DmHr9aVM3U
market top on 10-27 spy at 129>
http://screencast.com/t/2QYx0kdxzyHl
market bottom on 11-17
http://screencast.com/t/wNXvuam55St
here is the graph predicting gmcr earnings> at 67.50 got the 50 puts for 0.55 sold them while it was near 42$ for 9.70$ then you can see where the yellow line crosses above the green line at 42$.here is got the 46 calls for 0.18 and when it hit near 51$ i sold it for 5.90$>
http://screencast.com/t/9oRqXwonoPo
here is it predicting move up on spy on monday. and also you see the sell signal at .126 and the buy at nrear 122
http://screencast.com/t/gypJFEhtpY9Y
predicting bad earning for adbe>
http://screencast.com/t/hzfWnrz7u
good earninghs on bcsi.
http://screencast.com/t/Jf4MLRQo
buying tvix at 51 and selling it near 63 in 3 days.
http://screencast.com/t/QMV4xUTk8lS
ment good earnings.
http://screencast.com/t/DM8z7a6jf91h
mtor bad earnings>
http://screencast.com/t/NxoSApHUy
http://screencast.com/t/LIQXO752U4
crm bad earnings
http://screencast.com/t/6dcNMXbvy16y
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