Trading Plan for June 21, 2011
Current Long Positions (stop-losses in parentheses): AGYS (7.60), CALP (7.28), SPY July 130 Calls, AAPL July 330 Calls, SBGI (9.67), VVTV (7.42) Current Short Positions (stop-losses in parentheses): None...
Read MoreCurrent Long Positions (stop-losses in parentheses): AGYS (7.60), CALP (7.28), SPY July 130 Calls, AAPL July 330 Calls, SBGI (9.67), VVTV (7.42) Current Short Positions (stop-losses in parentheses): None...
Read MoreI’ve put together 4 long setups and 4 short-setups for tomorrow. It should be a wild next couple of days with Greece debt crisis coming to a head, as well as Benny-Boy holding a press-conference and releasing the FOMC...
Read MoreThere is a lot to be decided this week, from the FOMC, to the Greek debt crisis, to a market being so oversold, when will is finally muster a bounce? With that being said, the market could take a turn in either direction and for...
Read MoreCurrent Long Positions (stop-losses in parentheses): AGYS (7.60), CALP (7.28), SPY July 130 Calls Current Short Positions (stop-losses in parentheses): None BIAS: 6% Long Economic Reports Due Out (Times are EST): None My...
Read MoreI am already pretty long going into today open. ( TNH, CALP, OME, CIM, ALB) With the futures up and all the uncertainty still surrounding the Euro Zone ( Greek Debacle ) I look to lighten up this morning and maybe...
Read MoreCurrent Long Positions (stop-losses in parentheses): AGYS (7.60), CALP (7.28), SPY July 130 Calls Current Short Positions (stop-losses in parentheses): None BIAS: 6% Long Economic Reports Due Out (Times are EST): Consumer...
Read MoreCrazy day in the market today, but there are a lot of stocks testing that infamous 200-day moving average, including Apple (AAPL), Catepillar (CAT), and many others, not to mention the S&P 500 which was tested perfectly...
Read MoreUnlike any of my other screens, this stock screen focuses on stocks trading under $10/share, and have a market cap of around $1 billion or less. As for the variables that I used in the screen, I focused on fundamentals,...
Read MoreCurrent Long Positions (stop-losses in parentheses): AFFX (6.92), ENTG (8.95), AGYS (7.60), CALP (7.28) Current Short Positions (stop-losses in parentheses): None BIAS: 10% Long Economic Reports Due Out (Times are EST): Housing...
Read MoreCurrent Long Positions (stop-losses in parentheses): AFFX (6.92), ENTG (8.95), Current Short Positions (stop-losses in parentheses): None BIAS: 10% Long Economic Reports Due Out (Times are EST): Housing Starts (8:30am), Jobless...
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