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Veritas how do u see it going further next week. I read all these analyses on SPY . It reached ah almost 123. Do u think there will be a pull back or is this rally likely to continue?
http://www.moneyshow.com/trading/Technical_View_Charts.asp
Yeah I think so too, however it has been struggling around there , just looking at the chart there should be some dip.
Do u think MON wount drop till next Friday?
Heard some rumors about next week, but if they keep pumping it I almost cant believe it or will they throw some bad bone from G8 to make it happen.
This rally on a hope seems already better then real...cant see dreams going on forever...
121.3
When can we expect some pullback?
Do u know how much expected earnings are?
Seeking Alpha is saying they will be less then a previous quater (6.8 to 10.8 per share), but they are usually wrong. To reach expected target they should have 7.2$ earnings...........
Do u think MON NTES IBM MCD are ready weekly puts?
Also looking at MOS ..
JPM eranings downgraded, so maybe good f puts.
Have u already sent any emails out? Because I havent got anything yet.
Yeah me too, what do u think will it come to 22?
VIX being very supportive to SPY as well as Dollar falling.
I see NTES after this long rally good for buying some puts. They seem cheap. Just that we had this uptrend on hope now f a week almost and I wonder, if its time they start crashing .....
Does this mean they are so much in debt?
Do u think NFLX should bounce after this drop or is going even lower?
How do u see SOHU BIDU NTES, specially NTES? These chineese stocks had such a great run now, should they reverse soon or is there still space and reason f them to go higher?
Why is NFLX still tanking? Where will it go next ....
HXL Oct puts look good
IBM topping
LOL....... One should always understand him the other way around from what he is saying.
GLD and SLV seem to be pushing further, a break out coming soon IMO looking at the charts.
SPY chart scenarios
http://spychart.net/
Ure funny!!!! Price of this hope will be maybe even 121 tomorrow, if DAX surprizes us with nice rally and Obama convinces his fellows to agree on bailout as easy as Merkel managed it.
Just crasy and in 6 months all this money will disapeare again. Maybe they should just put bailouts as a basic economic procedure that has to be applied evry year at least once, so economy can keep going.
Yes sure is all I am waiting for, but looking at the chart it could first go up all the way to 121 even before going down.
Gap where? up to 121 or ?????
Gap where? up to 121 or ?????
SPY can even go to 121 before pulling back...looking at 1 month chart.
Greece is only getting money so they can pay back debt to other european banks, which means this money is not f them, but inorder we wount have many more Dexias in EU. If Greece couldnt pay monthly their debt back all banks would fall like dominos.
Looking f 117 or 118 puts depends how high up it will gap up now
I dont know I have mixed feelings. Last Friday we closed red , where EU closed green. So I think even though SPY will gap up in the morning on EU news, it can close lower or go down and back up during the day.
VIX low pm, could mean we are going higher though.
So u think this was it already, regarding the gap up from 115.5 ???
How do u see SPY supports and resistance lines for the coming days?
This premarket high looks crasy to me!!!
Such mixed signals premarket SPY 117.5 and Europe went from green to red and again green this morning. Plus Dollar falling.
I found this link on SPY movement and it sais if we close above 117.75 there is good possibility we go back to 120 area and if we end below around 115.7, then maybe bears will come back in.
http://spychart.net/
Which area will u be buying puts in SPY? 117?
Dolar falling this morning ????? Whats going on????
Yeah I am not on the *Seeking Alpha* best Q4 ever side...LOL. Infact I think we had a dead cat bounce last week and looking at 5 y SPY chart, whats forming now can soon look like 2008.
I marked me all those with particulary good earnings coming AA PEP JPM GOOG, but looking at the price I think earnings weather are alerady calculated in the price or trend will continue together with overall trend. Just with JPM and PEP I see more upside......GOOG and AA not sure.
IBM is high already, I dont know how much higher, even if earnings are good, can it go? Drop seems inevitable
I am hearing gold and silver specially will take a while to bounce back (Nov, Dec). Its going to be a nice ride when this happens after all this paper money devaluation. Till then GLD going somewhere between (154 to 160) IMO
Did ILMN and APKT droped on bad earnings?
Ive seen stocks droping even on good earnings after the report, just following the chart and overall trend more then the earnings data ......
In such uncertain times I dont want to buy anything too much ahead. U might be right or not, I dont know ...anything can happen till November. Seeking Alpha was predicting the strongest Q4 in 13 y. I am very carefull about this, bec these analysts are always the other way around. So looking it like that, we might even have another crash in Q4.
But I do think this week reversal might be in work f SPY to the downside. EU bad news will be poping now and then, plus Chineese data coming by the end of the week. The most bets f this week are around 110 puts.
Any other scenario like continueing the uptrend to 120-130 would be total miracle to me looking at situation around EU and US right now. When banks are going bankrupct and actual bank recapitalisation (short therm remedy) will be signed first by the end of October, I cant see any money in the banks till then.