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Once again, we’re done with our day before you get up.

In my 5am note to Members, I said: “I see nothing in the news to justify this pre-market “recovery” and I hate to sound like a broken record but I like shorting oil (/CL) if we get below that $102 line with tight stops and the Dow (/YM) is right at 12,400, which is a great spot to short. RUT (/TF) is at 762 and below 760 (same as yesterday) will confirm a downturn but 12,400 is a great line so why wait?” By 6:26, I was able to follow it up with:

And wheeeeeeeeeeeeeeeeeeeeeeeee! There go the Futures!

It’s 7:07 and we’re still going down, with oil at $101.24 (up $760 per contract) and the Dow at 12,340 (up $300 per contract) and, as Dennis said: “Good enough for steak and eggs for me!” Roro got up late but still caught the Dow at 6:16 and that was right on the nose for the oil drop as well as we hit it right on the nose this morning and now we’re done and waiting for the next good set-up.

Of course we scale in and scale out of positions as there’s no need to get greedy in the Futures, where a single remaining contract catching a $1 move down in oil (now $101.25 again) pays $1,000. This week, we have even stationed our own Craigzooka in New Zealand, where it’s tomorrow – which makes it much easier to bet on today’s action as he can tell us what happened already! Not that today was all that hard to predict, right? My comment to Members LAST Wednesday was:

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It’s been a pretty reliable bet that they tank the markets into the longer-term note auctions because it scares people into T-Bills and keeps the rates low. From this line-up, it seems to me they intend to jack us up on Friday and then zap us on Tuesday as Esther George releases something hawkish ahead of the 3-year and it’s no coincidence that Plosser, by far the biggest Hawk, is given the floor at 12:30 on Wednesday – just 30 minutes before the critical 10-year auction. Coincidence? Surely you cannot be that naive!

So that’s how we’ve been playing the past 7 days and it culminated in pressing our…
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