DXY, EUR/USD, USD/JPY, GBP/USD, AUD/USD, USD/CAD
NEOVASC INC, CREATIVE MEDICAL TECHNOLOGY HOLDINGS, INC., ISHARES MSCI EMERGING INDEX FUND, BANK OF AMERICA CORP, SPDR SELECT SECTOR FUND - FINANCIAL, SEADRILL LTD ORDINARY SHARES (BERMUDA)
S&P 500, Nasdaq Composite, Dow 30, Nikkei 225, DAX Index, FTSE 100
Gold, Silver, Crude Oil, Natural Gas, Corn, Bitcoin
BTC/USD, ETH/USD, BCH/USD, XRP/USD, LTC/USD, ETC/USD
US 10Y, Euro Bund, Germany 10Y, Japan 10Y, UK 10Y, India 10Y
Gold, Brent Oil, Crude Oil, CFDs on Natural Gas, Palladium, Silver
Consider buying the Spread Nasdaq / S&P:
Long 1 NDX, Short 2 SPX
Consider buying the TQQQ, Ultra Long Nasdaq with a Beta of 3.4
Close position @ 110, risk up to 75.
Consider Selling LE Futures @ 140 for a target 16 points below. Risk 6 to 8 points above for a risk/reward ratio of maximum 1:2
Consider buying coffee futures on bounce up @ 122 (30% of total position)
Buy 70% of position if brakes above 138-140 levels.
Consider buying futures on NASDAQ 100 index around 4400 with a long term target of 4700. Fourth bounce up @ 150 days MA, within the up channel.
Risk up to 4360.
Consider Buying December Cocoa Futures @ 3100 for a profit taking @ 3245 and risk maximum of 50 @ 3050.
Brazilian crop coming up lower than expected + dammages from EL NIÑO
Consider Buying Dec Coffee futures @ 133, risk if it goes through 130 on the down side and take profit targets @ 140, 150 and 160.