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Performance Review 20060411

Short Before Market Down!

Stock

......

$Real Time Alert (Earnings Play / High Volatility Play):

  • $DNA: Sent real time alert today, close @ $81.70, up +$1.07 (+1.33%); after hour trading $80.45, down -$1.25 (-1.53%);
  • $RIMM: Sent real time alert on April 06 and also reviewed on April 06 April 07 and April 10, today close @ $76.64, down -$1.47 (-1.88%) again, so far down 4 days in a row, -$7.74(-9.2%);

......

Daily $Real Time Alert sent out on April 11, 2006:

Market Update:

As mentioned in today's market outlook, [......With oil flirting with the $70 mark, the “summer-gas-pain” is, once again, becoming a hot topic on Wall Street......Dow:.... It seems to me that we’re likely to see a test of 11K-10,900 before a rally—target around March high. We’ve closed the long DIA position (set up on Mar. 30) for a+0.40% gain and simultaneously went short on Apr.10......Standard & Poor’s 500: ......We’re currently short SPY as of April 07, 2006......NASDAQ Composite: ...... we’re likely to see a test of support around the 2,300 area before a rally to test last week high. We’ve closed the long QQQQ position (set up on Mar. 28) for more than 2 point gains or +2.71% profits on Apr.10 ......], now markets did sink as expected......

Today's Pick: ... (Short) down ...(-2.03%); Yesterday's Pick: ... (Short) down ...(-1.75%) again......

Now active traders may pay attention to the following stock ...... High Volatility is expected.

Active traders may also pay attention to the following stocks ...... High Volatility is expected......

Market Outlook Review:

Please review what we mentioned before market open yesterday: Yellow Flag!

Please review what we mentioned again before market open today:

[......With oil flirting with the $70 mark, the “summer-gas-pain” is, once again, becoming a hot topic on Wall Street......Dow:.... It seems to me that we’re likely to see a test of 11K-10,900 before a rally—target around March high. We’ve closed the long DIA position (set up on Mar. 30) for a+0.40% gain and simultaneously went short on Apr.10......Standard & Poor’s 500: ......We’re currently short SPY as of April 07, 2006......NASDAQ Composite: ...... we’re likely to see a test of support around the 2,300 area before a rally to test last week high. We’ve closed the long QQQQ position (set up on Mar. 28) for more than 2 point gains or +2.71% profits on Apr.10 ......]

在星期開盤前的預警已提醒﹐ [......隨油價瞄上$70大關﹐我早先已預警的"夏天的加油痛苦"現在再次成為華爾街的一個熱門話題......道瓊工業平均指数:......我認為在重測3月新高附近之前﹐我們可能先看到11K~10,900。我們結束了DIA的(在3月30日設定的)做多的倉位﹐短期獲利+0.40%﹐同時在4月10日設定做空的倉位......標普500指数:......我們當前自4月07日設定短期做空SPY......那斯达克综合指数:......我認為在重測上星期新高之前﹐我們可能先看到在2,300測試支撑﹐我們在4月10日結束了QQQQ的(在3月28日設定的)做多的倉位﹐短期獲利超過2點或贏利+2.71%......]

Now, please check the reality again after market close today:

Markets did close down as expected, active traders would make big profit if they followed the short term trend predicted to short.

Dow 11,089.63 Down 51.70 (0.46%)
Nasdaq 2,310.35 Down 22.92 (0.98%)
S&P 500 1,286.57 Down 10.03 (0.77%)

Needless to say - Very close again and again!  Isn't that amazing?

Seeing is believing!

One day makes the difference in your investment portfolio; one action marks the difference in your life portfolio.

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