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Scaling out of AAP
Unless it changes in the next 8 minutes or so, I think I am going to start looking for some fresh longs. Volume is skewing to the UPSIDE on SPY with today's DOWN move
Nice move down in SPY, SLV, & TRV. I'm still holding, but have scaled out more. Good to see AAP going up.
I saw a burst of buying volume, but price is still down. I think there is more downside to come. I am holding short.
I've been taking a bit of profit, but still have positions. I'll exit fully when I start to see volume increasing to the upside.
Short term to daily time-frame is getting oversold. Long term it could still drop a bit.
I am also short the SPY since 4/28 and TRV.
Exited long MT yesterday.
Still long AAP and misc flat positions.
Contemplating some new entries, but nothing solid yet.
I've been short since I posted on #628
Yes, I have skype. Username is einok68
I've posted my instant message id. Is this how you all want to chat? Or maybe skype?
not sure what messenger you have. i have einok68 @ aim . com
Does anybody want to get together on yahoo or microsoft chat, or chat room to discuss the holygrail system?
I would be interested in talking about the system and any insight/tips on your experience with the system.
Volume on dia is 10 mil+ but buys/sells are showing only around 200 thousand a piece. Anyone else seeing this?
SPY looking top heavy on most time frames RSI2. Buy/sell volume is close to equal.
How about the May 132 or 131 weekly puts if volume shifts to the sell side?
Lerogee
I am wondering how you figure out how much of an account to use for one option play? I read on some posts that you do not use a stop loss. How do you avoid or soften your loss? Please detail.
I think you are right. SPY has been heavier on the selling volume the last couple days.
I don't see the 185 c, the 190 or 195. I only see the 200. Did you post the wrong picture.
What amount of contracts did you get for the 185, 190, 195.
Very interesting trades.
That seems like a lot of money to dedicate to a couple trades considering the size of the account you began with.
How do you decide the percentage of the account to use for each trade?
I have read that you don't use a stop loss, so what would you do for an exit?.
Nice trade anyhow.
sell volume up today
spy
buy% sell%
37.9 48.6
dia
buy% sell%
34.8 57.2
I actually meant the information under the Streamer/Monitor. I am wanting to save that information.
How long does it take for the buy % sell % and other figures in the monitors to finalize so I can get a final value on the columns? Is there any way to download those columns to spreadsheet?
How about SLV. Overbought rsi2 on daily, weekly & monthly. Upper LR line being hit. Today sell volume is picking up vs buy volume.