SH 74.76 PT depends on 8:30
Is this for sale? if so, would you be willing to simply sell a portion of it, or an equity stake?
Short update for the week: I lost about 0.25% this week, but i suffered an intra-week drawdown of almost 8%. Not going to go into...
That is probably the correct view. Getting long near 70 seems high probability. I am expecting an overall bounce in the markets this week,...
wasn't saying it is wrong, just saying it has been unwilling to do so for quite a while. that support level has trumped a couple of downward...
CL has been unwilling to go much below $70 for a long, long time. Trendlines are important, but i think that support area trumps any short term...
I now own egregious positions in H&R Block and Intel Corp as a result of my amateurish attempt to make money selling puts. IGNANT. Selling...
Had a good week....summary Weekly Portfolio Change = +2.8% S&P 500 Benchmark Performance = -0.7% YTD Portfolio Gain = 12.4% Should...
i wish this were to come true.
that was me who said that and thats why im holding over the weekend. I dont care if it drops to 73 today. 72 might bother me though...
swing trade long 1 @ 74.00 PT 77 holding at least until monday
I'm expecting to retest 1020 or possibly a bit lower september/october. However, if the market does move higher it won't hurt me too much....
Update on progress of my strategy: I've had a good two weeks. My overall portfolio is up 1.5% since 7/30 (two weeks ago), while the S&P 500...
Long one contract into the weekend. Better long than short over a weekend, thats what i always say.
Because gas sales were up?
Shall we see CL trade below yesterday's low and break $75? Last few times thats happened it kept going.
I am long 1 contract, on the dip. Stop is at 76 Target 78+ Just a toe in the water.
Good call....im going to try to scale more, both in and out. Should help with my impatience. Right now "being early" is my #1 problem and...
Its been a couple of weeks, so here's an update. I've stuck rigidly to the plan i set out around the end of May. Primary goals are low...
By the way, my risk adjusted return last week was probably 50%. I literally had almost no exposure and still pulled in 2%. Next week will be...
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