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  1. #26
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  2. #27
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  3. #28
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  4. #29
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    Nasdaq is lagging the SP500 now, usually not a good sign

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    Nasdaq has been the leader... just like up to Apr 2000

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  5. #30
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    Click here to enlarge Originally Posted by Group.america Click here to enlarge
    Nasdaq is lagging the SP500 now, usually not a good sign

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    Nasdaq has been the leader... just like up to Apr 2000

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    I'm watching 3570 ish as trend support. A close below that and I think we can start to prepare for a correction.
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  6. #31
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    The SP does NOT want to go down !
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  7. #32
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    Click here to enlarge Originally Posted by Group.america Click here to enlarge
    The SP does NOT want to go down !

    Talked to a few random individual investors today about it. The consensus was that they're afraid of the market and feel like it's about turn. That tells me we're going higher. If we float around these levels and consolidate the new highs were going to over shoot to the upside going in to earnings. If the earnings justify the move well continue to stretch the run until May. You'll have the sell in May and go away crowd to trigger the correction and well see what happens from there. That's my take in it as it stands. Outlook always has to be able to change on a dime.
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  8. #33
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    A+

    If everyone is scared then I am wrong..... usually things fall when nothing appears wrong and no-one is scared.... I am scared

    Across the road from me in NYC on the corner of Madison and 74th street they are building condos (the old Whitney Museum offices) and they will be going for $4000-$7000 a sqf

    Our building they are like $1200 a sqf..... today a $70M COOP on 5th sold..

    INSANITY
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  9. #34
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    Shorted SP500 at 1878.5, stop at 1892.5

    Shorted more at 1867.5, stop 1893

    Nassie looks horrid
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  10. #35
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    Will add on close below 1867 and short at 1825 on stop if it ever collapses
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  11. #36
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    Click here to enlarge Originally Posted by Group.america Click here to enlarge
    Will add on close below 1867 and short at 1825 on stop if it ever collapses
    It is ugly right now. I felt a bit panicky this morning. That made me want to add to my longs

    Momo stocks are getting CRUSHED. Must...make it...to earnings
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  12. #37
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    I've been waiting A YEAR for this.... we will see, am long a lot of bonds (mainly 10's) and short stocks
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  13. #38
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    A 2% one day slide after hitting an intra day record high. Volatility is knocking weak hands out and pushing higher. If we gap down Monday and rebound mid day to close down slightly or flat I think the market continues higher. A few big names kick off earnings next week and being a fundamentals guy I'll be busy listening to conference calls to make my assessment.
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  14. #39
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    Market hit low 1830's again, if we bounce stops moved to 1862....... if we hit 1825 and bounce then stops at 1842.....
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  15. #40
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  16. #41
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    Click here to enlarge Originally Posted by Group.america Click here to enlarge
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    Bro, i think you need a new boost controller. That torque curve is allover the place.
    2011 E90 M3 \ Melbourne Rot Metallic

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  17. #42
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    Trade is looking real solid GA. I've slowly built some small short positions and trimmed back my longs. I'd classify myself as neutral at the monent. I won't commit one way or the other until I start listening to some conference calls but your call has been accurate. Sentiment semmed to shift very very quickly.
    Good luck!
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  18. #43
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    Like my driving
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  19. #44
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    GA I'll be in the city a few more times throughout the year. I believe the next time out is July. Id like to hear more war stories, drinks on me bud.
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  20. #45
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    Click here to enlarge Originally Posted by R.G. Click here to enlarge
    GA I'll be in the city a few more times throughout the year. I believe the next time out is July. Id like to hear more war stories, drinks on me bud.

    No probs. I am in Hamptons some days, city others, depends on the missus' business
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  21. #46
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    Stopped out 1861.25-1862.75

    Good effort by the bull... he is strong and resilient, like a 2 bar TURBO on MS109

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  22. #47
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    Shows how sensitive the market is to the fed. Rebounded nicely and I'm using the strength to shed a bit more. I'm currently about 25% liquid.

    Looking at a few names and have my shopping list if we get a pull back with out a clear fed signal, otherwise will keep shedding as we go higher.
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  23. #48
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    Sold most of my 10 yr corp bonds, bought more 30 yr MUNIS and just shorted SP500 at 1848 in a bit of size (AGAIN)

    STOP is 1892.75 on 6/14 futures

    This time system has a trend change confirmation with the low at 1806.5 more than 1 ATR below 1825.....

    Will sell aggressively below today's lows SP500 and Nasdaq
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  24. #49
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    FED rules
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  25. #50
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    Everytime the market makes you think it's stumbling...

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    Nazz needs to hold 3950. A bad report from a big name will test it.
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