No I got out in the morning, 926. That was bad enough, and now I will stay out for a while. I am very out of sync with the market. Journal will...
We have tested 945 both yesterday afternoon and today, and since it seems to hold and we have a positive open in the US, I have gone long at 1053.5.
We continue to see wild swings, with the market first up over a half percent, then down more than 2% to 945.25, and then up to 971.75. Right now...
After a good start with 6 points to the good, the market started heading lower to finally crash in the afternoon. Down 38.5 points on the day and...
We saw a final(?) downleg to 989, and then a high of 1010.75, before settling at 1001.25 for a loss of 1.25 points for the day. Was a bit...
And the cash index is up! despite Asias trembling over night. Down a point in the futures but that is because we had a five point premium over...
And if I had waited with my entry, I would have been much stronger now, in case the rally does not start immediately. Todays close at 1002.5 and...
Gold is down 4.5%, copper is having the largest drop since october 2004, the US dollar seems to start strengthening or at leat stop falling, and...
Dead wrong, and we headed down another 22.5 points this morning! 6% down percent from thursday afternoon, I would call that a mini crash! We are...
My rationale is that the downdraft into friday is much too overdone, more so than usual. I can be wrong, as I have been all day, and then we are...
Holding.
Usually there is a risk that we see a last wave of selling on monday morning. At the same time, the rally after the last wave of selling, whether...
The ticker has almost stopped after a frantic pace the last hours - and we are at a stand still - but will we start up again now?
Another thing that worries me is that we have had almost a 4% drop in 4 days, and there are bound to be overleveraged people that might get margin...
I was only temporarily right as we and other European markets now are down about 1.5 %. You can almost hear the fear right through the screen, and...
Ouch, that hurt. At least we have got the shake out I was expecting earlier. Although the US was down about half a percent from our close, we went...
Close at 1045 for an open loss of 5.25. Starting to get to know this drill. Profit for day down to 2.5 points. High was 1053.75 and low was 1043.25.
Very ill timed entry, and we got the test of the lows after all. Seems we are finding our footing again, but all depends on the US right now. My...
Long again at 1050.25.
Problem with site a while again, sold long earlier at 1051.25, for profit of 0.25 points. Just covering costs on the last 2 trades.
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