tmp_cox

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Last visit Joined 7 months ago
''The only way to understand the markets is not to predict them, but to understand our economy.''
Markets Allocation
18 % stocks 5 % indices 77 % other
Top Mentioned Symbols
FX:SPX 22% | 5 TVC:SPX 9% | 2 AEX 9% | 2 NDX 4% | 1
tmp_cox tmp_cox ISF, D, 19 days ago
ISF: Will the FTSE drop?
31 0 4
ISF, D
Will the FTSE drop?

This chart is based on the Gann-box. I saw this patern on a day-graph of the FTSE100. When the chart reach >0.75 we seek a parbolic arc that pedicated a drop. On this moment the same is happening. After this correction the markt will follow an upwards trend.

tmp_cox tmp_cox IAEX, D, 19 days ago
IAEX: What is happening with the stockmarkets right now?
19 0 3
IAEX, D
What is happening with the stockmarkets right now?

If we look at the indexchart of the AEX (dutch25) we are seeing high consolidation. This means that markets are on this moment unpredictable and are waiting for more information. Why can't we predict the markets? Because we saw at the past that markets dind't react as expected on politics and economic data. This means that the most people are afraid to place ...

tmp_cox tmp_cox SPX, D, Long , 2 months ago
SPX: S&P500 -Good buy possibility?- (Technical analyse)
102 0 3
SPX, D Long
S&P500 -Good buy possibility?- (Technical analyse)

Look at the chart for further information. Why should you buy? In the 15-minute chart of 4-1-2017 i dind't see reasons why you should not buy as a swingtrader: https://1drv.ms/i/s!ApZCadL2IyRbgfoNLfT0obJ8aiSj8A Why should you wait for more information in the market? Because the markets dind't react as we expected the last times (Brexit, Donald Trump, Fed, ECB ...

tmp_cox tmp_cox NDX, D, Long , 2 months ago
NDX: Nasdaq marketprediction
93 0 4
NDX, D Long
Nasdaq marketprediction

Technical Analyse: - Look at the figure - RSI, MACD and Stoch. are positif

tmp_cox tmp_cox DAX, D, Short , 2 months ago
DAX: DAX forecasting
203 0 4
DAX, D Short
DAX forecasting

Based on RSI, MACD and Slow Stoch. Option 1 = the perfect predicted trade Option 2 = the risky trade Technical Analyse: Strong upwards trend that hits the overbought level. Information deserved from: ING_financialmarkets, RTLz and Bloomberg

tmp_cox tmp_cox UEMPMEAN, D, 2 months ago
UEMPMEAN: Predicted financial 'crisis(?)'
81 0 8
UEMPMEAN, D
Predicted financial 'crisis(?)'

I based my opinion for 2017-2018 on macroeconomic statistics/ indicators deserved from the FED In this chart you can find the following indicators: - Average (mean) duration of unemployment - Velocity of M2 stock (included trendline) - S&P500 (included trendline) I have searched for opposite movements in the statistics/ indicators

tmp_cox tmp_cox AEX, D, 3 months ago
AEX: How to hedge marketrisk with opposite movements in the market?
33 0 6
AEX, D
How to hedge marketrisk with opposite movements in the market?

In the follow graph you can see the following 'stocks': GOLD ETF, AEX (indextracker) and Unilever You can also see the expanded ghost patern that will predict the marketmovement/divergence between the 'stocks'. In this case: GOLD will fall = AEX will rise | Unilever will fall or rise 3.5% more than the AEX will rise or fall (or) AEX will fall = GOLD will rise | ...

tmp_cox tmp_cox NI225, D, 4 months ago
NI225: Contradiction between NIKKEI225, GOLD and Financials (Q1-Q4 '16)
27 0 5
NI225, D
Contradiction between NIKKEI225, GOLD and Financials (Q1-Q4 '16)

The following chart is a daychart: Strategy in buy/long-context: 'If you buy 1x Nikkei225 , buy 2x more stocks of financials (ABN AMRO) and short GOLD' In a more economic theoritical way: 'If gold rise, the indices will fall and financials will fluctuate heavy' Information deserved from: ING, Bloomberg and HSBC

tmp_cox tmp_cox NKY, D, 4 months ago
NKY: Prediction of the S&P500 and NIkkei based on financials and CPI
69 0 4
NKY, D
Prediction of the S&P500 and NIkkei based on financials and CPI

In the following content i will explain how you can forecast the market with CPI (inflation) and Financials: If we look at our figure we can say a few things, i will assume them below: 1. ABN AMRO (a dutch Financial) is highly correlated to the NIKKEI225 index. 2. Since nearly May 2016 we can see that the CPI (inflation)-chart has change 5 times. If we look at ...

tmp_cox tmp_cox SPX500, W, 6 months ago
SPX500: Are we going to have a new crisis? (!) updated version 1.1
199 1 6
SPX500, W
Are we going to have a new crisis? (!) updated version 1.1

REPORT look at this figure carefully and let me know what you think. (it is based on indices, oil and economic-forecasting) information deserved from: bloomberg, new.tradingview and the economists.

tmp_cox tmp_cox SPX500, W, 6 months ago
SPX500: Maby a new (worldwide) crisis?
250 6 8
SPX500, W
Maby a new (worldwide) crisis?

If we look at this figure i predict a new crisis in 2016/17 - 2019 based on technical analyse of the stress-index. look at this figure carfully and let me know if you agreed, or why not.

tmp_cox tmp_cox SPX, 30, 6 months ago
SPX: The perfect bet?
52 2 4
SPX, 30
The perfect bet?

contradiction between NIKKEI225/ JPN225 and GOLD

tmp_cox tmp_cox UK100, 30, 6 months ago
UK100: Graph of today: NIKKEI225, FTSE100 and GOLD
40 0 4
UK100, 30
Graph of today: NIKKEI225, FTSE100 and GOLD

REPORT ANALYSE In this 30 minutes graph we are seeing a correlation between the FTSE100/ UK100 and NIKKEI225/ JPN225, in compare of GOLD A prediction could be: follow the trend, because US markets affects the Asian and European markets. With the last numbers from the US you can predict that the European market will become into a bullmarket. Information deserved ...

tmp_cox tmp_cox GER30, 30, 6 months ago
GER30: DAX will go upwards in three weeks?
73 0 4
GER30, 30
DAX will go upwards in three weeks?

REPORT: correlation between USOIL and DAX is very high. In contrast of Gold. with the unstable political and terrorism level in Europe we are seeing a higher pricelevel of gold and lower pricelevel of Crude OIL. Expecatation could be: follow the trend (look at the yellow colord trendline). Information deserved from: http://www.bloomberg.com and Bloomberg terminal.

tmp_cox tmp_cox USOIL, 60, 7 months ago
USOIL: 1h graph. Correlation between oil, barclays and deutsche bank
49 0 6
USOIL, 60
1h graph. Correlation between oil, barclays and deutsche bank

If you'r trading you could hedge you'r risk by selling Crude OIL WTI, deutsche bank (DB) and Barlcays (BCS) as one package if you buy silver and gold as a C.F.D-package. Look at this one hour figure...

tmp_cox tmp_cox SPX500, 30, Short , 7 months ago
SPX500: REPORT. Prediction of the S&P and how you can react Q4-Q1 (2017)
68 0 6
SPX500, 30 Short
REPORT. Prediction of the S&P and how you can react Q4-Q1 (2017)

Gold as save haven? No expiration timeframe, no extension possible. S&P500 correlated to deutsche bank (DB) Highly correlation between them. A price of 12,00 for one stock deutsche bank is to high. take a look at this figure: https://www.tradingview.com/x/0Ojg4292/ in bad fincial times we seek really horrible figures... On this moment Europe and the US have ...

tmp_cox tmp_cox SPX500, D, Short , 7 months ago
SPX500: Is the S&P500 overrated on this moment? Maby DB has influence..
82 0 5
SPX500, D Short
Is the S&P500 overrated on this moment? Maby DB has influence..

Maby there is coming a very hard fall in the S&P500 soon, but why? If we look our graph were i plot GOLD, DB (deutsche bank) and the S&P500. We can make a prediction of the S&P500 based on deutsche bank. Deutsche bank is crashing hard last time with company results. And if we look at our figure we can understand that the S&P500 is in a bullmarket and also ...

tmp_cox tmp_cox MSFT, D, 7 months ago
MSFT: FINANCIALS compared with GOLD to hedge you'r risk
26 0 4
MSFT, D
FINANCIALS compared with GOLD to hedge you'r risk

You can hedge you'r risk by compare a random financial with Gold. for example: ING (orange) versus GOLD, BATS when ING is going down, Gold is upwards. Turned around the same. WARNING! configurate you'r stoplosses and take profits

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