OUR
TRADES FOR |
March,
2011 |
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= Direction
Accuracy |
We
risk 1 point from the stop (Time: PST) |
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Mar. 31 |
Thursday
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16:40 Thursday> SP back to 23-24 again! If 20 intact thru
10:00 pm, it will become support; target still 35-36.
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Friday low 1320.50, high 1333.75. |
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Mar. 29 |
Tuesday
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06:30AM>
Stop 1300 for buying, target 1310-12
13:30 Tuesday> Tonight support for buy side at 1310 for
target 1322-23 by tomorrow morning.
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Mar. 28 |
Monday
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For
Monday:One day consolidation; expected range 1313-1303; buy
low, short high.
[06:41:55] I will short again after 7:10 with 1314.50 resistance
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High 1315.50 Low 1303 |
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Mar. 23 |
Wednesday
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We
favor buy side today with 1281 support for target 1295 and
target 1310 before weekend
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Low 1279.50 High 1296.25 |
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Mar. 7 |
Monday
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[06:52:47]
<G-> use 27.50 stop for shorting.
09:00> Trailing 1312 for target
1303
10:00> Support 1302 for bouncing. |
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High 1327.25, Low 1302.75, close
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Feb. 4 |
Friday
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[12:02:53]
<G-> agg stop 1303 for buy side
[10:56:30] <G-> support 1301 for buy side
[09:29:07] <G-> go side line
[08:28:28] <G-> [[-STOP-]] 03.75
[06:51:00] <G-> lets try agg stop 03.75 stop for short
side, target 1302, 1298-97.
[06:06:22 Friday] <G-> today's expected range 1311-1300.50;
expected closing 1302-03 or above 1305; major support still
at 1292 for target 1320-1330; next week, expected topping
attempt either 1326 or 1332.
[13:00 Thursday] for night session: Resistance 1304.25 for
short scalping before jobless claims report.
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High 1308.50, Low 1298, close 1307.50 |
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Feb. 3 |
Thursday
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[07:32:20]
<G-> use 91 stop for buy side.
[07:21:06] <G-> ok.. target achieved
[07:00:54] <G-> stop 1302 for shorting, target1293.50
06:30> resistance 1304, agg stop 1302 for short scalping
target 93.50 still not ruled out.
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High 1405.50, Low 1291.50, Close
1303.25 |
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Jan 28 |
Friday
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[13:30
Thursday] Stop 1300.50 for shorting; support 1280 for buying.
[06:39:46 Friday] <G-> if 1300
intact after report, then it will plugne to test night low
09:00> Resistance 1278-79, short
bounce.
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High 1299.50, low 1270.50, close
1270.50. |
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Jan 19 |
Wednesday
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11:00> stop 1282, shorting
for target 1277, 1275.
[08:02:54] resistance
at 89, short bounce with 1289 resistance for target 79, 75.
[06:26:00] 1294.50 stop/trailing
[05:38:59] 1296 the stop, possible 15 pts correction. First
target 1287
Support at 1275-77; as long as support holds, it will rally
again to higher hi for 1305.
13:54 Tue> our resistance 95.50 for short side;
if no more higher high at 4:00pm, then shorting bias. Breakout
pivot at 89.25. |
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High 1296, low 1275, close 1279.50 |
Jan 07 |
Friday
NFP 103k vs 150k; Unem rate 9.4% vs 9.7% |
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[05:46:05]
stop 1270 for shorting. (stpped out)
[06:50:24] trying 1271 stop for shorting, target 1257-55
[07:06:43] stay side line and listen to Bernanke.
[08:07:39] 1270 stop for short side
[08:40:24] 61 is a stalling area; if there is a quick bounce,
then short again.
[09:36:13] 1265 resistance now, target 1255-56
[09:46:24] <G-> should cover all at 56
[09:54:52] trailing 63 resistance now. (stopped out trailing)
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High 1274, low 1257.75, close
1267.25 |
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Jan 06 |
Thursday |
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05:30>
If report is bad, use 1277 as stop for shorting, first target
71, then target 68-67.
07:00> Trailing 1275 stop, short
bounce again.
08:00> It will be choppy between
1272-1268 for next 2 hours..
09:00> Expected closing range today
1270.50-1271. |
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High 1277, low 1266.25, close
1270 |
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Jan 05 |
Wednesday |
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06:00>
One day bouncing, NOT try to short. |
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High 1270, low 1258.25 |
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Jan 04 |
Tuesday |
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06:00>
After opening, 1270.50 stop for shorting, target 1264
and 1258 |
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High 1270, low 1258.25 |
Jan 03 |
Monday |
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Sunday
18:30> Globex: Support 1250, target 1263, 1275 still valid
in this week. |
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12/10 |
Friday |
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Support 1221, for buy side, target 1275 for the rest of the
year |
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12/09 |
Thurday |
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[06:35:54]
expected closing today above 1226... so 21 stop for buying.
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