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GLENO34

03/03/08 7:36 PM

#42976 RE: Neutral Man #42966

NM..I just don't see how wwe can go to 43.50 tomorrow..CCI10 on the daily chart is waayyy below -100 and for us to even think about 43.50 CCI10 would have to move back above -100 and I just do not see that happening tomorrow..I told you Sunday that your 44.60 target was all whacky and I think your 43.50 is too..I will keep an eye on the 60 min chart and see if we can get past the 10EMA now at 42.82 but falling...If we get thru that then we still have the 60 min 20MA which will update at around 43.20 but still falling...Guess we see..Gathering support is right around 40.00..I think that is the directio we are headed...
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Neutral Man

03/04/08 9:59 AM

#43012 RE: Neutral Man #42966

Adding Mar44 puts here Boss!

Buy to Open, Mar44 puts at 1.94 (80 contracts)!

We're ridiculously LONG biased and this is to PRO-Tect our SorryAsskie and maybe make a quick Gain TODAY!!?

YOU GO BOYZ!
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Neutral Man

03/04/08 11:07 AM

#43034 RE: Neutral Man #42966

Adding a BOAT-LOAD of Mar41 puts here Boss!

Sold to Open, Mar41 puts at .64 (160 contracts)!

This brings our Mar41 puts up to 240 contracts at .625 average cost!

YOU GO BOYZ!
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Neutral Man

03/04/08 11:18 AM

#43040 RE: Neutral Man #42966

Selling Short Mar47 puts and Doubling Down on dat position!

Sold to Open, Mar47 puts at 4.83 (QUAD)!

This gives us 80 contracts at 3.89 (2.95 + 4.83), COOL!

Let's see if we just DUP-d da-BOYZ, or NOT!?

YOU GO BOYZ!
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Neutral Man

03/04/08 11:23 AM

#43042 RE: Neutral Man #42966

Adding Mar43 calls taking us to 80 contracts!

Buy to open, Mar43 calls at .75 (QUAD)!

This gives us 80 contracts at 1.29 (1.83 + .75)!

Let's see if we just DUP-d da-Boyz yet again, or NOT!?

YOU GO BOYZ!
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Neutral Man

03/04/08 11:25 AM

#43043 RE: Neutral Man #42966

Adding Mar42 calls to go to 80 contracts!

Buy to Open, Mar42 calls at 1.24 (QUAD)!

This gives us 80 contracts at 1.71 (2.19 + 1.24)!

Now we're finished until after Lunch, gonna go buy da-Boyz some drinks and see if they can GET-R DONE, da-Short Squeeze dat is!?

Later Dudes,
nm

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Neutral Man

03/04/08 7:36 PM

#43166 RE: Neutral Man #42966

MarOE Stuff?

The Perfect False Break and its about to get exciting as da-Shorts GET it in da-Shorts, WooHoo!?

We used today’s New OE intraday low, 42.02 to take ALL of our long calls up to 80 contracts Each! In addition, we also double up, or down since their puts, on our Mar47puts sold short and got our average selling price up to $3.89, COOL!

As expected we got our False Breakdown prediction and the TA, Charts, Fibs & Lies players are beside themselves in disbelief, OUCH!? We indicated last week that it was the Longs dat got Dup-ed and this week its da-Shorts TURN, Oh BOY!?

We’ll use ANY down action tomorrow to add Mar41 calls for some intraday profit-teer-ing in an attempt to take more of da-Boyz Coin, LOL!?

Btw ALL, there are MANY Prognosticators and Everyone has an opinion, good for them! But we be here to make YOU Money and could care less about being Right or Wrong, as a matter of fact, we be wrong plenty of times but being able to ascertain said "Wrong-ness" is our specialty, and being able to hedge said probable "Wrong" outcome is in our Charter! Therefore we go forward every day posting our trades in Real time, many times in advance using price triggers, then add-em up each day, then tallying the Final Numbers to confess for ALL to see the Good , da-Bad, and da-Ugly!

OE Pivot, 43.82, close on 15Feb
High, 44.53, up 1.6%, new high, 28Feb
Low, 42.02, dn -4.1%, new low 04Mar
Close, 42.91, dn -2.1% (closed above the S2, 42.72, and portends higher prices)
Spread, 2.51
PM, 5.8%

We start today with the following Open OE Port positions:

Short positions (expecting the Q’s to go Down), controlling 44k shares
Mar41 puts at 0.625, (240 contracts), bought long
Mar42 puts at 0.63, (40 contracts), bought long
Mar41 calls at 1.87, (160 contracts), sold short

Long positions (expecting the Q’s to go Up), controlling 64k shares
Mar42 calls at 1.71, (80 contracts), bought long
Mar43 calls at 1.29, (80 contracts), bought long
Mar44 calls at 0.54, (80 contracts), bought long
Mar45 calls at 0.78, (80 contracts), bought long
Mar46 calls at 0.43, (80 contracts), bought long
Mar47 calls at 0.14, (80 contracts), bought long
Mar44 puts at 1.00, (80 contracts), sold short
Mar47 puts at 3.89, (80 contracts), sold short

This gives us a Net Long da-Q's bias going into today and we'll use said Bias to play intraday plays to protect our Core positions and to post gains in an effort to minimize our pending losses on Open Positions.

These intraday plays are strategic in nature and will help us post profits that will off-set our losses incurred during this OE period as we HOLD Core positions indefinitely (see below side notes, Pending Gains/Loses)!

DCB (Dead Cat Bounce or NOT)
It appears we’re in the ninth inning in regard to completed a ST Bottom but it has been Five weeks since the first YTD low was posted and very trying for most TA, Chart, Fibs & Lies players! We expect a false break-down that’ll get Most Shorts going ALL-IN and most Longs ALL-OUT and that’s a recipe da-Boyz love to exploit, YOU GO BOYZ!

We posted Awesome gains yesterday as we traded in and/or out of puts and/or calls intraday and unloaded core positions to post some daily profits. Hence our MarOE profits increased by $3.68 to $37.36 as we started the day with $33.68 in profits!

These posted profits are impressive but don’t forget we have many wounded soldiers still on the battlefield (pawns, bishops, and Knights) bleeding RED numbers everywhere, especially as we get closer to the OE and the delta shrinks up into a wie, sorry Michelle, small amount, see “Pending Gains/Losses” below!

Those gains are actually quite good since most of our gains usually come a couple weeks into the OE period. Mostly just positioning our pawns, bishops, and knights during the first couple weeks so it’s a bonus to post modest profits already!

Btw…if you don’t play Chess then I suggest you STOP trading immediately and go learn da-Game, da-Chess game dat is! But don’t stop dare, stay away until you can actually BEAT someone at Chess. Otherwise, as most players who read to learn vs. actual experience, you’ll have learned just enough to lose your SorryAsskie life Savings, Get-it, Got-it, GOOD!

Side note (Pending Gains/-Losses):
These gains/losses will post when positions are removed and/or expire!

Pending -Loss(s)
Mar41 calls (160) at 1.87- 2.26 = -0.39 x 16 = $-6.24
Mar42 calls (80) at 1.71 – 1.56 = -0.15 x 8 = $-1.20
Mar43 calls (70) at 1.29 – 0.97 = -0.32 x 8 = $-2.56
Mar44 calls (80) at 0.54 – 0.53 = -0.01 x 8 = $-0.08
Mar45 calls (80) at 0.76 – 0.26 = -0.50 x 8 = $-4.00
Mar46 calls (80) at 0.43 – 0.11 = -0.32 x 8 = $-2.56
Mar47 calls (80) at 0.14 – 0.00 = -0.14 x 8 = $-1.12
Mar41 puts (240) at 0.625 – 0.39 = -0.235 x 8 = $-5.64
Mar44 puts (80) at 1.00 – 1.68 = -0.68 x 8 = $-5.44
Mar47 puts (80) at 3.89 – 4.13 = -0.24 x 8 = $-1.92

Pending Gain(s)
Mar42 puts (40) at 0.63 - 0.69 = 0.06 x 4 = $ 0.24

Net gain/-loss pending for above open positions at the close = $-30.52

This pending gain/-loss(s) is dependent on our ability to navigate this OE period with the utmost precision in regard to da-Boyz! Not to worry, we suspect da-OEPM factor will shed some light on da-Boyz and their Footprints of meaning (True intentions), LOL!?

Gain/-Loss History:
JanOE, $10.40 (up 20.2%, $10.40 into 51.85 = 20.2%)
FebOE, $18.28 (up 40.3%, $18.28 into 45.35 = 40.3%) ($36.50 in gains less $18.22 in losses)
MarOE, $6.84 ($37.36 in gains less $-30.52 in Open position losses)

For your viewing pleasure da-OEPM 4cast-r says.....?

Date Open High Low Close
29-Feb 43.65 43.77 42.85 42.95
3-Mar 42.93 42.99 42.24 42.67
4-Mar 42.41 43.04 42.02 42.91
4cast
5-Mar 42.98 43.57 42.74 43.40

And in da-Spirit of da-Boyz club and their House rules, we remain committed to being BOTH Long and Short at the same time so as to be READY and ABLE to meet-em at whichever lines they decide suits their fancy and at a time and/or day of their choosing (Ohhhhh BOYYYYOYZ, come, and, GET US, LOL)!?

In summary, YOU GO BOYZ and do your thing, but remember this, we got your Back, Front, and any other side you choose to expose as you paint dem dare pictures, I guess Boyz will be Boyz now won’t They, LOL!?

Good trades ALL,
nm

BONUS OE STUFF, Remember – the CLOSING price tells ALL in regard the OEPM factor!

R8, 48.2, 10%
R7, 47.65, 8.75%
R6, 47.11, 7.5%
R5, 46.56, 6.25%
R4, 46.01, 5%, Serious Resistance and a GO Short level if tagged!
R3, 45.46, 3.75%
R2, 44.92, 2.5%, Our Primary Target for the wk of 01Mar!
R1, 44.37, 1.25%, breached 26Feb intraday.
Pivot, 43.82, 0.0%
S1, 43.27, -1.25%, Already tagged intraday 19Feb, Whatda!
S2, 42.72, -2.5%, Our Primary Target for the wk of 23Feb, Yep – Tagged 22Feb!
S3, 42.18, -3.75%, tagged 04Mar, and portends a move to the S4, 41.63 before 20Mar?
S4, 41.63, -5%, Serious Support and a GO Long level if tagged!
S5, 41.08, -6.25%
S6, 40.53, -7.5%
S7, 39.99, -8.75%
S8, 39.44, -10%

Most importantly, ARE you having FUN YET, I know I am!

FYI - we post EVERY trade in real time and in many cases post pre-trade sell and buy orders with trigger prices in anticipation of our 4cast! So ENJOY da-Show as we rat out da-Boyz club and have a little FUN while we're at it (I hope da-Boyz don't read dis-post otherwise they'll be GUN-ing for us - AGAIN, LOL!