is...itchy
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Maybe SPY is waiting for the Euro close the same way I wait for my wife to finish shoe shopping... impatiently
Yep, closed below it... if it takes out the previous 15 min candle high, then I forgive it and we go... no volume to this square dance today... I am a tad bit surprised...
exact support is 193.20 on the 15
I have a 193.19 support on the 15 min... it held it... going to test the hod again i think
Spart is moving siiiiiizzzzzzzzeeeee ;)
Imi Alert #4
final imbalance is just $150 mil to sell
Imi Alert #3
50/50
$100 mil to sell
Yes sir, spy wanna make it rain!
SPY got a lot of people short, then it took off its diaper and put on big boy underwear it seems...
The way this looks, I think 197 by Friday is a comin' ...
Imi Alert #2
55% to buy
$100 mil to buy
Imi Alert
50/50 on orders
$100 mil to buy
Oil is back at a buy juncture... 35+ on its way...
Imi Alert
75% to buy
$500 million to buy
All of the oil news is just noise and I mean on both sides. My thinking is they are going back and forth with rumors both ways because they want to get long. That's just my opinion. I just started nibbling on UWTI again down here. Not a big position, I will dca as it goes lower, IF it goes lower.
Imi Alert #3
70% to buy
$400 mil to buy
Imi Alert #2
70% to buy
$350 mil to buy
Imi Alert
70% to buy
$300 mil to buy
The volume is anemic today... if the selling stops and the buying takes over, they can take this pup to 195...
We bounced off of the Euro close... Seems like dips getting bought... dare I say we go green today??
Imi Alert
Final imbalance
$600 mil to buy
Imi Alert #3
It looks like they are flipping' the script
55% to buy
$50 mil to buy
Imi Alert # 2
55% to sell
$200 mil to sell
Imi Alert
60% sells
$350 mil to sell
yep, somewhere around 200 will be the top... good luck bud!
Based upon the way the market is behaving, I believe at some point in the next month or so we will have days, possibly weeks of panic selling... The set up looks like both 2000 and 2008. I personally think this time will be worse. After this next move higher which is starting now and should continue through March, I think we take out the lows of this year last year and everything since 2009.I don't know where the bottom is. I just look to get positioned in the trend. Yes, sometimes I am early and I suffer for a short time, but I would rather be early than late. By the fall of 2016, the world will be a much different place financially. I am long for now in general and trading around that position intraday.
I think we are month or so away from the hard and fast drop, so long is the correct trade I believe.
Sorry that you feel that way, I find that the wasted and overtyping is very helpful sometimes. Some of the people here do more of a good job than they realize. I've been doing this a long time and I am usually the last person to interact on message boards. I also feel the same way about manipulation when I get short and the market runs. I myself expected more volatility today. After the morning it was like watching bad porn. I should have left my office at noon and came back at 3. I was up nicely but gave a few grand back because I hung around. Hang in there man. Have a great weekend!
I'm going to look at a bunch of stuff this weekend, but I will be jammed up running a 40 team youth basketball tournament this weekend, so I won't get to it until late Sunday...
Monday... I think we test 190 for old times sake and sometime next week we should start a nice rally that should last through March... then the drop comes and it will be hard and fast, which is okay if you're with a woman, but not if you're long...
Imi Alert #3
55% to buy
$200 mil to buy
flipping back n forth
Imi Alert #2
50% to sell
$250 mil to sell
Imi Alert
55% to buy
$250 mil to buy
HOD
I've had people visiting NYC actually do that once when I was standing n the corner of Lex and 55th... I was heading to the Bull n Bear for drinks with a friend...
if we get a close above 191.79 on the 15, we should test the high or exceed it by a bit.
I noticed that this morning. It will be interesting to see if it strengthens a tad in the short term, I suspect it does.
I meant spy going green briefly, which it just did, kicked my calls @ .57 ... we should get there again though I suspect...
I think we peek green on the day in here soon.... bought 300 192 calls that expire today @ .27
Euro close rally?