Thursday, August 30, 2007

Tuesday, August 28, 2007

Out - Exit short

Taking 10 points - I may re-short this market.

Trade was recorded at collective2.com -

http://www.collective2.com/cgi-perl/systems.mpl?want=publicdetails&systemid=27432745&session=234533883142655022631511812754301

Wednesday, August 22, 2007

Just closed intra-day

Just closed intra-day trade @ http://www.collective2.com/cgi-perl/systems.mpl?session=93485179248556263417345234444143532&want=publicdetails&systemid=27432745

Short 1466. covered 1456. 10 points profit. continue with the short from 1453.

Tuesday, August 21, 2007

Close long and reverse

I am closing The long with a loss of 15.50 points and reversing to short.

A real time update was posted at http://www.collective2.com/cgi-perl/systems.mpl?session=93485179248556263417345234444143532&want=publicdetails&systemid=27432745

Monday, August 20, 2007

Real-time updates

The market is performing what is usually called a rocking bottom. No immediate and aggressive advances though no major declines. Traders starting to realize that panic is over and things look like getting back on track.

For Indra-day signals and receiving on-line notice once order is placed , you can review my system at collective2 site -

http://www.collective2.com/cgi-perl/systems.mpl?want=publicdetails&systemid=27432745&session=746818468483882455100115483868916

Thursday, August 16, 2007

Update

As you noticed the last trade was very hard to handle. The reason I don't exit was Panic.
The VIX is at extreme high , suggesting panic is about to vanish.
I hold the position and know for the coming weeks the markets will fly from here. So I held tight even though it's still not easy.

For investors the, I must stress , Unless something very extreme will happen (i.e. NC bomb) , these levels are very attractive to buy.

Monday, August 13, 2007

New long

New long placed @ 1468.50 September S&P 500 E-mini contract.
we may expirence a one more leg down but you never know.....

Friday, August 3, 2007

Out - Exit long

I am out. Exit long 1472.50.
15 points profit.
I still believe we may have a rally next week but now it's look like a neutral.
I am planning to take long if the market will allow ,at lower levels. Stay tuned.

Wednesday, August 1, 2007

Long

LONG @ 1457.50 s&p E-mini contract.

Good trading