I use this chart in the post to move out of very long term 401k money when there is a monthly close -1.5% (or greater) below the 40mma. Most Bear...
Based on many decades of living this scenario, the market is at the point of demarcation determining Bull versus Bear market. If we have a...
It took me 9 years, 30,000 hours and ten's of thousands of dollars to develop what your looking for. Do you seriously think anyone is just going...
Could you please share with us the real reasons?
I was hoping for a more in depth answer. Like in the case of: 1: The bear market of 2000-2002, where earnings could no longer sustain stock...
Here is the million dollar question for all you knowledgeable gentlemen: "What chain of events will it take to turn this 10 year Bull Market into...
We are right at a triple top. Will the SP500 cleanly breakout above the top, or will it fail? [SP500, 1 Year, Daily Candles] [IMG]
That's a really good question and you may not like the answer but I have learned to live with it. Because I am looking for a discounted entry with...
Here is another interesting thing about day trading options versus giving the trade 2 to 3 days to play out. Per every 100 trades that I complete...
In the last 21 years of trading mathematical mechanical systems, I have traded and forward (actual trade) tested every possible combination of...
The spread problem is why I only trade SPY options: .01 to .02 Bid to Ask Spread. Look for option strikes that have volume of 10,000 or >.
I missed 2 questions: Position Sizing / and or Hedge. I use approximately 10% of my account for each trade, but only -2.5% of my account is at...
The formula for 2nd Buys is: Buy 1 is > 1.70, Buy 2 is -20% less than Buy 1. Buy 1 is 1.70 or less, Buy 2 is -17% less than Buy 1. Sell Limit:...
2nd buys do not occur often, only about 9% of the time. 2nd buys require that I watch the TWS all day looking for them; versus a single buy only...
Sell Limit Profit is dependent on Entry Price: Entry 1.60 and > = +.50 / Entry > 1.40 but < 1.60 = +.45 / Entry 1.40 and under +.40.
If a trend is predominantly strong and nothing is filling, I use options with a lower closing price (1.50 to 2.00), because the entry formula for...
I do use a mean-reversion strategy within a defined trend. 2 trade elements are working for you. Fill rates are not great (7 per month average),...
I maintain a Risk to Reward of 1:1. So if an option closes at 2.50, my entry is Closing Price -25%( 2.50 -25%=1.90) Buy Limit=1.90 / Sell...
You asked for my trade tomorrow and I kindly replied with that information you wanted, and now you are asking me to go away? Ok
"Thank you for the kind words." It took an extreme intellect to compose your kind post. Here's my trade for tomorrow: Trade Date 06-06; SPY...
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