I posted this as neutral because it can go either way from here. I bought TYO in my 401k two days ago and shorted the future yesterday. For those who are short, this is a take profit area if support holds. I will put a tight stop loss here. A long position can be taken here depending on the price action. If it breaks support and the uptrend line, short at an...
I posted this as neutral because it can go either way from here. I shorted the future 2 days ago but did not buy TMV in my 401k. For those who are short, this is a take profit area if support holds. I will put a tight stop loss here. A long position can be taken here depending on the price action. If it breaks support and the uptrend line, short at an...
DXY has gone down for 8 months while EURUSD, AUXUSD, and USB30YUSD and many others have done great. I will take profits today on GDX and SIL in my 401k. I will go long on UUP in my 401lk. I went short on a CADUSD future last night and EURUSD future this AM in my margin account. I am ready to short US equities (SPXUSD, NAS100USD, DJI), bonds, and commodities. A...
A pin bar on a daily chart signals a direction change. Here the stop loss is at the top of the pin bar where there was strong selling pressure. I am short a EURUSD future in my margin account and will buy UUP in my 401k. EURUSD can fall as GER30 and DAX show strength. I will look at going long on DPK or some Europe etf in my 401k. Traders can take precautions...
VOX and IYZ are high volume ETFs for this sector. This had been the worst performing sector and moved to the best sector on July 27, 2017.
If the EM bonds turn down from resistance here, this would start an EM bond bear market which would be highly significant. Yields rise = inflationary. I can't find an EM bonds inverse ETF to short EMB in my 401k.
The COT data is very important for traders to understand. Go to barchartdotcom. In the upper left, click on futures. On the left, click on commitment of traders. In the center right, click on gold. The middle graph shows the positions of the commercials (gold miners, banks, swap dealers = bullion banks), the larger speculators, and the small speculators. The...
The following ETFs are related to the Utilities Sector. The ETFs track different sections of the utilities sector as noted. There are many more ETFs in utilities subsections for the USA and international equities. Included for each ETF are the symbol, the total Assets Under Management (AUM), the Number of Shares in circulation (Shares), the Average daily...
Real estate (XLRE) has broken its up trendline. I went short via DRV (3x daily bear) in my 401k. I will buy puts against XLRE in my margin account. I need to review which etfs are the most liquid.
The Financial Sector The following ETFs are related to the Financial Sector. The ETFs track different sections of the financial sector as noted. There are many more ETFs in financial subsections for the USA and international equities. Included for each ETF are the symbol, the total Assets Under Management (AUM), the Number of Shares in circulation (Shares),...
Silver is turning up off its daily downtrend line. I am long one future and went long on SIL in my 401k yesterday. If it can break up through the resistance, the daily upswing usually lasts 10-20 trading days. This is a 15 minute chart.
I went short one future last night.
I went long SPXS (3X SPX500 Bear) in my 401k yesterday. Futures are down overnight. Instead of "buy the dip" we may try to "sell the rip".
I made this trade based on DXY strength. Opened one short EURUSD future last night. I went long DXY in my 401k on Friday June 29,2017.
See chartwatchers www.tradingview.com ideas on gold. I went short on a JPYUSD future and short on an XAUUSD future last night. A rising DXY drives this.
DXY has had a big decline. If this upward turn continues, it all affect gold, multiple currencies, and other commodities. I went long UUP in my 401k Friday, June 29,2017. I went long on the DXY future last night.
This is usually a bearish pattern. The big trade is to wait for a breakout to either side. A short position can be opened here with a stop loss above the descending line. I will open a long position in FAZ (3x Financial Bear) at the market open this AM.
NZDUSD broke it's uptrend channel. On Friday, 6/16/17, at 11:39 AM CST, I shorted 1 future contract at 0.7239. It fell in the last 15 minutes of trading Friday. I don't have at way to short this in my 401k. tntsunrise www.tradingview.com is also following this pair.