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Neutral Man

03/31/09 8:11 AM

#77100 RE: Neutral Man #77082

It's just one more day of Many and to NOT have some FUN is, well, a SIN!!!

I read sooo many sad stories of play-ar's who live and Die by their trades and take sooo seriously that those having "FUN" are some kinda "Joke-sters" who have little regard for those trying to make mucho coins, palease!!!!!!!!

Play-ar's, have you EVER watched a Golf event and the guy leading the event on Sunday falters and ends up finishing in 10th place!

What's he say in the interview,

"I WANTED it soooo Bad that the "VERY THOUGHT" of win-ing got in the way of getting-r DONE!"

How about professional athletes after they fail to meet dare goal, "I was trying toooo Hard" and that took me out of my ZONE!!?

I play golf, its me passion, and I can get a EAGLE (dat's REAL Good), on one hole and a DOUBLE-BOGIE (dat's REAL Bad), on the next but you'll NOT know which one I got by my facial expression or me disposition, hmm dat's intriguing!!

I can Lose ALL me Coins on ONE day and make it ALL back on the NEXT, should I act ANY differently on one day or the other, well, should eye, NOT!?

What's it take to MASTER a disciplined and methodical approach to ANYTHING, well, some skills would help, training, maybe some type of exercise or mock scenario program, some years of experience, BUT, without the wherewithal to "HANDLE" the failures of ones travels one will forever be haunted by their OWN disposition and ability to, well, LET GO and GET-R-DONE ( kinda like Letting go and let Jesus take da-Wheel)!?

In Summary, having a disciplined and methodical approach to my endeavor, GREAT, having the hours of hard work and studies to back up my expression of said discipline and methods, AWESOME, Bee-ing able to "HANDLE" both the GOOD and BAD experiences with a Freakin Smile on me-Face, ABSOLUTE-LEE-PRICE-LESS!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!

And dat's about allseye gotsta say about dat for now, Smile-lee-faced-Coin-Extracting-Joke-ster and SorryAsskie-4cast-r-Out!

Btw... 4cast like TA, Charts, Fibs & LIes are just dat, much to do about Nuttin and VERY Entertaining at times, especially when they actually hit the moving target, LOL!
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Neutral Man

03/31/09 8:56 AM

#77103 RE: Neutral Man #77082

Trade Journal for Dummies(Before da-Bell)!

Wow, it's a Miracle, we might actual be RIGHT with our 4cast for ONCE with a GAP-Up, thanks BOYZ, needed the moral booster, not really, LOL!

We see today as a GIFT as we expect to Rape-n-Pillage BOTH the Bears and Bulls today! In fact, it's VERY Possible that many will be taken OFF da-Game board based on what I've been reading on the message boards, LMFAO, well, AGAIN!

I wonder how these play'ar's would STACK up if they Actually POSTED dem trades in REAL TIME and ALL of-em, winners and losers, oh boy, sighhhhh!

That said, we'll be here, posting-em ALL, real time, many in advance with price targets, in an attempt to show you how to avoid the pitfalls of 4cast, TA, Charts, Fibs and/or LIes as they'll lead anyone taking-em serious-lee to da-NUT-House and it will NOT bee to get appetizers, going to da-BUT-House dat is, LOLOLOLOLOL!



Posted last nite with the "Update" post:
Wow, what a day, da-Boyz we’re playing Cat & Mouse with Both the Bulls and Bears and we LIKE IT, LOL!

We expect the Q’s to Close up tomorrow to finish a Nice Monthly Candle and give da-Media at least ONE Freakin bit of Good news to write home about!

Big Deal, prices will be taking out behind the Woodshed between 01/07Apr and we’ll be dare to extract come of da-Bulls coins as they panic and RUN for da-Nearest-Shelter, LOL!

As usual, we’ll be unwinding long trades and taking on CASH as da-Boyz make a RUN for the GAP at 30.82?


TODAY's COMPLETED and/or PENDING TRADES:

New trades today:
None

Pending trades(GtC, Good till Cancelled):
None

TRADE HISTORY:

OPEN POSITIONS(Long/Short ratio = 1.00 to 1 Net Long bias)

LONG(controlling 16k shares):
19, BtO, Apr29 calls at 2.48 (40), last 1.77, -2.84 loss
18, BtO, Apr32 calls at 0.72 (40), last 0.37, -1.40 loss
11, BtO, Apr34 calls at 0.16 (80), last 0.08, 0.64 loss

SHORT(controlling 16k shares):
26, StO, Apr27 calls at 3.08 (40), last 3.27, -0.76 loss
23, StO, Apr30 calls at 1.02 (40), last 1.15, -0.52
02, BtO, Mar28 puts at 1.87 (40), last 0.43, - 5.76 loss
01, BtO, Mar28 puts at 2.91 (40), last 0.43, -9.92 loss


Pending Gain/(Loss)$, (21.84) or -21,840
Commissions$, (800)
Total cost$, -22,640

CLOSED TRADES:(we've closed 20 trades thru 30Mar)
31Mar(0)

30Mar(4)
25, StO, Apr28 calls at 2.36 (40), bought for 2.26, .10 gain, posts as .40
24, StO, Apr28 calls at 2.37 (40), bought for 2.27, .10 gain, posts as .40
22, StO, Apr27 calls at 3.21 (40), bought for 3.01, .20 gain, posts as .80
21, StO, Apr28 calls at 2.70 (40), bought for 2.40, .30 gain, posts as 1.20
27Mar(2)
16, StO, Apr28 calls at 3.20 (40), bought for 3.10, .10 gain, post as .40
20, StO, Apr30 calls at 1.80 (40), bought for 1.60, .20 gain, post as .80
26Mar(2)
17, BtO, Apr30 calls at 1.90 (40), sold for 2.05, .15 gain, posts as .60
15, BtO, Apr26 calls at 4.86 (40), sold for 5.11, 0.25 gain, posts as 1.00
25Mar(5)
05, StO, Apr28 calls at 2.61 (40), bought for 2.31, .30 gain, post as 1.20
10, StO, Apr28 calls at 3.06 (40), bought for 2.61, .45 gain, posts as 1.80
09, BtO, Apr31 calls at 1.05 (40), sold for 1.15, .10 gain, post as .40
13, StO, Apr32 puts at 2.02 (40), bought for 1.72, 0.30 gain, post as 1.20
14, StO, Apr30 puts at 1.07 (40), bought for 0.87, 0.20 gain, post as 0.80
24Mar(2)
06, BtO, Apr33 calls at 0.22 (40), sold for 0.38, 0.16 gain, post as .64
12, StO, Apr32 puts at 2.03 (40), bought for 1.83, .20 gain, post as .80
23Mar(5)
06, BtO, Apr33 calls at 0.22 (80), sold for 0.42, .20 gain, post as .80
07, StO, Apr33 puts at 2.95 (40), bought for 2.75, .20 gain, post as 0.80
08, BtO, Apr29 calls at 1.91 (40), sold for 2.16, .25 gain, post as 1.00
04, BtO, Apr30 calls at 1.25 (80), sold for 1.44, .19 gain, post as 1.52
03, StO, Apr31 puts at 1.95 (40), bought for 1.75, .20 gain, post as .80

Beg Port Balance , $30,000 (inception date 23Feb09)
FebOE gain/(loss), $ 2,100
MarOE gain/(loss), $10,780
AprOE gain/(loss), $ ??,???

Posted gains against 1000 shares, $17.36/1000 shares or $17,360 less commissions (Port starting funds = $42,880, 41.1% posted gains for this OE period).

Daily Gains$:

23Mar- 4.92, 30Mar- 2.80
24Mar- 1.44, 31Mar- ?.??
25Mar- 5.40
26Mar- 1.60
27Mar- 1.20

Wkly Gain/(Loss)$:
Wk1- $14.56, Wk2- $2.80, Wk3- $?.??, Wk4- $?.??

4cast(like TA, Charts, Fibs & Lies), is ONLY for entertainment purposes!

We expected prices to be up 12.5% for the week ending 03Apr and clean da-Shorts clock, OUCH!?

Date Open High Low Close
27-Mar 31.07 31.18 30.71 30.82
30-Mar 30.29 30.32 29.62 30.06
4cast
31-Mar 30.33 30.88 29.33 30.51


YTD OE Stuff:
Pivot, 29.86, (closed 19Dec08)
High, 31.68, up 6.1% (posted 10Feb)
Low, 25.63, dn -14.2% (posted 09Mar)
Close, 30.06, up 0.7%
Range, 6.05
PM, 20.3%


R8, 41.8, 40%
R7, 40.31, 35%
R6, 38.82, 30%
R5, 37.33, 25%
R4, 35.83, 20%
R3, 34.34, 15%
R2, 32.85, 10%

R1, 31.35, 5% with the YTD High being at 31.68 we expect dis-Puppy to be breached SOON!

Closed, 30.06, up 0.7%, Above the OE Pivot and the YTD Pivot, VERY BULLISH!

YTD Pivot, 29.86, 0.0%, a breach and close above this pivot will cause serious upside action?.
AprOE Pivot, 29.18, close on 20Mar

S1, 28.37, -5%
S2, 26.87, -10%
S3, 25.38, -15%
S4, 23.89, -20%
S5, 22.4, -25%
S6, 20.9, -30%
S7, 19.41, -35%
S8, 17.92, -40%
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Neutral Man

03/31/09 4:25 PM

#77209 RE: Neutral Man #77082

Trade Journal for Dummies(Update)!

WOW, talk about April FOOLS Joke, OUCH!

Can you imagine being SHORT and capitulating today at 30.95 and now you see the Discount Wave you've been long-ing for, oh boy, deeze guyz are GOOD!?

We expect a -4.0% down day and a tagging of the OE Pivot, Sweeeet!

TODAY's COMPLETED and/or PENDING TRADES:

New trades today:
None

Pending trades(GtC, Good till Cancelled):
None

TRADE HISTORY:

OPEN POSITIONS(Long/Short ratio = 1.00 to 1 Net Neutral bias)

LONG(controlling 20k shares):
28, StO, Apr31 puts at 1.20 (40), last 1.40, -0.80 loss
19, BtO, Apr29 calls at 2.48 (40), last 1.85, -2.52 loss
18, BtO, Apr32 calls at 0.72 (40), last 0.38, -1.36 loss
11, BtO, Apr34 calls at 0.16 (80), last 0.08, -0.64 loss

SHORT(controlling 20k shares):
27, BtO, Apr32 puts at 1.98 (40), last 2.13, 0.60 gain
26, StO, Apr27 calls at 3.08 (40), last 3.55, -1.88 loss
23, StO, Apr30 calls at 1.02 (40), last 1.19, -0.68 loss
02, BtO, Mar28 puts at 1.87 (40), last 0.37, -6.00 loss
01, BtO, Mar28 puts at 2.91 (40), last 0.37, -10.16 loss


Pending Gain/(Loss)$, (23.44) or -23,440
Commissions$, (800)
Total cost$, -24,240

CLOSED TRADES:(we've closed 20 trades thru 30Mar)
31Mar(0)
None
30Mar(4)
25, StO, Apr28 calls at 2.36 (40), bought for 2.26, .10 gain, posts as .40
24, StO, Apr28 calls at 2.37 (40), bought for 2.27, .10 gain, posts as .40
22, StO, Apr27 calls at 3.21 (40), bought for 3.01, .20 gain, posts as .80
21, StO, Apr28 calls at 2.70 (40), bought for 2.40, .30 gain, posts as 1.20
27Mar(2)
16, StO, Apr28 calls at 3.20 (40), bought for 3.10, .10 gain, post as .40
20, StO, Apr30 calls at 1.80 (40), bought for 1.60, .20 gain, post as .80
26Mar(2)
17, BtO, Apr30 calls at 1.90 (40), sold for 2.05, .15 gain, posts as .60
15, BtO, Apr26 calls at 4.86 (40), sold for 5.11, 0.25 gain, posts as 1.00
25Mar(5)
05, StO, Apr28 calls at 2.61 (40), bought for 2.31, .30 gain, post as 1.20
10, StO, Apr28 calls at 3.06 (40), bought for 2.61, .45 gain, posts as 1.80
09, BtO, Apr31 calls at 1.05 (40), sold for 1.15, .10 gain, post as .40
13, StO, Apr32 puts at 2.02 (40), bought for 1.72, 0.30 gain, post as 1.20
14, StO, Apr30 puts at 1.07 (40), bought for 0.87, 0.20 gain, post as 0.80
24Mar(2)
06, BtO, Apr33 calls at 0.22 (40), sold for 0.38, 0.16 gain, post as .64
12, StO, Apr32 puts at 2.03 (40), bought for 1.83, .20 gain, post as .80
23Mar(5)
06, BtO, Apr33 calls at 0.22 (80), sold for 0.42, .20 gain, post as .80
07, StO, Apr33 puts at 2.95 (40), bought for 2.75, .20 gain, post as 0.80
08, BtO, Apr29 calls at 1.91 (40), sold for 2.16, .25 gain, post as 1.00
04, BtO, Apr30 calls at 1.25 (80), sold for 1.44, .19 gain, post as 1.52
03, StO, Apr31 puts at 1.95 (40), bought for 1.75, .20 gain, post as .80

Beg Port Balance , $30,000 (inception date 23Feb09)
FebOE gain/(loss), $ 2,100
MarOE gain/(loss), $10,780
AprOE gain/(loss), $ ??,???

Posted gains against 1000 shares, $17.36/1000 shares or $17,360 less commissions (Port starting funds = $42,880, 41.1% posted gains for this OE period).

Daily Gains$:

23Mar- 4.92, 30Mar- 2.80
24Mar- 1.44, 31Mar- 0.00
25Mar- 5.40, 01Apr- ?.??
26Mar- 1.60
27Mar- 1.20

Wkly Gain/(Loss)$:
Wk1- $14.56, Wk2- $2.80, Wk3- $?.??, Wk4- $?.??

4cast(like TA, Charts, Fibs & Lies), is ONLY for entertainment purposes!

We expected prices to be up 12.5% for the week ending 03Apr and clean da-Shorts clock, OUCH!?

Date Open High Low Close
27-Mar 31.07 31.18 30.71 30.82
30-Mar 30.29 30.32 29.62 30.06
31-Mar 30.33 30.95 30.27 30.32
4cast
1-Apr 29.40 30.02 29.02 29.18

YTD OE Stuff:
Pivot, 29.86, (closed 19Dec08)
High, 31.68, up 6.1% (posted 10Feb)
Low, 25.63, dn -14.2% (posted 09Mar)
Close, 30.32, up 0.7%
Range, 6.05
PM, 20.3%


R8, 41.8, 40%
R7, 40.31, 35%
R6, 38.82, 30%
R5, 37.33, 25%
R4, 35.83, 20%
R3, 34.34, 15%
R2, 32.85, 10%

R1, 31.35, 5% with the YTD High being at 31.68 we expect dis-Puppy to be breached SOON!

Closed, 30.32, up 1.5%, Above the OE Pivot and the YTD Pivot, VERY BULLISH!

YTD Pivot, 29.86, 0.0%, a breach and close above this pivot will cause serious upside action?.
AprOE Pivot, 29.18, close on 20Mar

S1, 28.37, -5%
S2, 26.87, -10%
S3, 25.38, -15%
S4, 23.89, -20%
S5, 22.4, -25%
S6, 20.9, -30%
S7, 19.41, -35%
S8, 17.92, -40%