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OUR TRADES FOR

March, 2011

= Direction Accuracy 

We risk 1 point from the stop (Time: PST)
 
Mar. 31 Thursday
 

 

16:40 Thursday> SP back to 23-24 again! If 20 intact thru 10:00 pm, it will become support; target still 35-36. 

   Friday low 1320.50, high 1333.75.
Mar. 29 Tuesday
 

 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.

   
Mar. 28  Monday
 

 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

 

 

    High 1315.50 Low 1303
Mar. 23 Wednesday 
 

  We favor buy side today with 1281 support for target 1295 and target 1310 before weekend

    Low 1279.50 High 1296.25
Mar. 7 Monday
 

 [06:52:47] <G-> use 27.50 stop for shorting.

09:00> Trailing 1312 for target 1303

10:00> Support 1302 for bouncing.

  High 1327.25, Low 1302.75, close 
Feb. 4  Friday
 

 [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.

 

  High 1308.50, Low 1298, close 1307.50
Feb. 3  Thursday
 

  [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.

 

   High 1405.50, Low 1291.50, Close 1303.25
Jan 28  Friday
 

  [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.

 

   High 1299.50, low 1270.50, close 1270.50.
Jan 19  Wednesday
 

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.

   High 1296, low 1275, close 1279.50

 

Jan 07  Friday NFP 103k vs 150k; Unem rate 9.4% vs 9.7%
 

  [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)

 

   High 1274, low 1257.75, close 1267.25
Jan 06  Thursday
 

 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.

   High 1277, low 1266.25, close 1270
Jan 05  Wednesday
 

 06:00> One day bouncing, NOT try to short.

   High 1270, low 1258.25

 

Jan 04  Tuesday
 

 06:00> After opening,  1270.50 stop for shorting, target 1264 and 1258

   High 1270, low 1258.25
Jan 03  Monday
 

 Sunday 18:30> Globex: Support 1250, target 1263, 1275 still valid in this week.

   
12/10   Friday
 

  Support 1221, for buy side, target 1275 for the rest of the year

   
12/09   Thurday
 

[06:35:54] expected closing today above 1226... so 21 stop for buying.