What

First and foremost, this is an unproven method of choosing when to enter and exit a position. Since back-testing is used to produce the models future results may not reflect or produce expected returns.

2014-07-10

4 New Buy Calls along with 2 Sells

 

Symbol Previous CallDateCurrent CallDate
bib BUY2014-06-17**SELLToday
erx SELL2014-07-08BUYToday
fas SELL2014-06-13**BUY2014-06-17**
miduSELL2014-06-13**BUY2014-06-17**
spxl SELL2014-06-13**BUY2014-06-17**
tecl SELL2014-05-15**BUY2014-05-19**
tna SELL2014-07-08BUYToday
ugaz SELL2014-07-08BUYToday
ugld BUY2014-07-08SELLToday
urty SELL2014-07-08BUYToday
** - before model build date of 2014-07-01

Buy Today:
 Natural Gas(UGAZ)
 Energy(ERX)
 Small Caps(TNA)
 Russell 2000(URTY)

Sell Today:
  Biotechnology(BIB)
  Gold(UGLD)

So in the paper account I will be buying &selling - but not selling BIB since its "buy" call predates the model build.

Score - Bulls: 8   Bears: 2
----   T H E   B U L L S   ----
  • Natural Gas as represented by UGAZ
  • Energy as represented by ERX
  • Finance as represented by FAS
  • Mid Caps as represented by MIDU
  • SP 500 as represented by SPXL
  • Technology as represented by TECL
  • Small Caps as represented by TNA
  • Russell 2000 as represented by URTY
----   T H E  B E A R S   ----
  • Biotechnology as represented by BIB
  • Gold as represented by UGLD



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