Live Update

Monday, April 11, 2011

04/11/2011 After Bell Quick Summary

The bottom line, the short-term trend is down. I hold both long and short overnight.

A little little bit bullish biased toward tomorrow as whenever SPX down 3 days in a row, buy at today’s close sell at tomorrow’s close since 2003, you have 66% chances. On a little bit longer than short-term, however, as I’ve mentioned in today’s intraday comment, a strong uptrend should never have 3 consecutive down days, so the future is not very bright for bulls. I’ll, as usual, present my witness in tonight’s report to coax you into believing so.


Demo account for short-term model, $200 max loss allowed per trade. Mechanical trading signal, for fun only.

TICKER Entry Date Entry Price Share Stop Loss Exit Date Exit Price Profit Comment
SSO 04/11/2011 $53.16 100 $51.57 Not sure, speculation play.
SDS 04/11/2011 $21.93 200 $20.45 New strategy, always hold.
SSO 04/08/2011 $53.47 100 $51.57 04/11/2011 $53.58 11.00  
SDS 04/07/2011 $20.71 400 $20.46 04/08/2011 $20.86 60.00 Against trend 1st time, half positioned.
SSO 04/07/2011 $54.35 100 $53.09 04/08/2011 $54.36 1.00  
SSO 04/06/2011 $53.93 200 $53.09 04/06/2011 $54.13 40.00  
SSO 04/04/2011 $53.74 100 $53.09 04/08/2011 $54.00 26.00  
SSO 04/01/2011 $54.00 100 $51.57 04/05/2011 $54.18 18.00  
SSO 03/28/2011 $52.02 100 $49.91 04/01/2011 $54.09 207.00  
LAST 1158.00  
SUM 1521.00  

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