<b>Market Slice for week 13.Dec.2010 to 17.Dec.2010</b> Buy Aggressively Buy Cautiously <b>Hold/Wait</b> Sell Cautiously Sell Aggressively (the highlighted option is my current sentiment) <u>S&P-500 Daily % Change:</u> <b>Fri, 17 . Dec : 0.08 %</b> <b>Thu, 16 . Dec : 0.62 %</b> <b>Wed, 15 . Dec : -0.51 %</b> <b>Tue, 14 . Dec : 0.09 %</b> <b>Mon, 13 . Dec : 0.00 %</b> <u>No. of Stocks above 40 EMA*</u> <b>Fri, 17 . Dec : 74 %</b> <b>Thu, 16 . Dec : 73 %</b> <b>Wed, 15 . Dec : 72 %</b> <b>Tue, 14 . Dec : 77 %</b> <b>Mon, 13 . Dec : 77 %</b> I avoid entering new positions when this number is above <b>80% </b> <u>No. of New Six Month (26 weeks) Highs*</u> <b>Fri, 17 . Dec : 431 </b> <b>Thu, 16 . Dec : 311 </b> <b>Wed, 15 . Dec : 366 </b> <b>Tue, 14 . Dec : 353 </b> <b>Mon, 13 . Dec : 614 </b> A number around <b>800</b> here indicates market topping in the short-term. <u>No. of New Six Month Lows*</u> <b>Fri, 17 . Dec : 14 </b> <b>Thu, 16 . Dec : 15 </b> <b>Wed, 15 . Dec : 33 </b> <b>Tue, 14 . Dec : 30 </b> <b>Mon, 13 . Dec : 22 </b> *The stats above were calculated on the top 3000 stocks by liquidity(not market cap), Which captures <b>99.5%</b> of the overall market liquidity.
<b>Market Slice for week 02.Jan.2011 to 07.Jan.2011</b> Buy Aggressively Buy Cautiously <b>Hold/Wait</b> Sell Cautiously Sell Aggressively (the highlighted option is my current sentiment) <u>S&P-500 Daily % Change:</u> <b>Fri, 7 . Jan : -0.18 %</b> <b>Thu, 6 . Jan : -0.21 %</b> <b>Wed, 5 . Jan : 0.50 %</b> <b>Tue, 4 . Jan : -0.13 %</b> <b>Mon, 3 . Jan : 1.13 %</b> <u>No. of Stocks above 40 EMA*</u> <b>Fri, 7 . Jan : 70 %</b> <b>Thu, 6 . Jan : 73 %</b> <b>Wed, 5 . Jan : 78 %</b> <b>Tue, 4 . Jan : 76 %</b> <b>Mon, 3 . Jan : 83 %</b> I avoid entering new positions when this number is above <b>80% </b> <u>No. of New Six Month (26 weeks) Highs*</u> <b>Fri, 7 . Jan : 292 </b> <b>Thu, 6 . Jan : 380 </b> <b>Wed, 5 . Jan : 327 </b> <b>Tue, 4 . Jan : 353 </b> <b>Mon, 3 . Jan : 720 </b> A number around <b>800</b> here indicates market top in the short-term. <u>No. of New Six Month Lows*</u> <b>Fri, 7 . Jan : 8 </b> <b>Thu, 6 . Jan : 4 </b> <b>Wed, 5 . Jan : 7 </b> <b>Tue, 4 . Jan : 5 </b> <b>Mon, 3 . Jan : 4 </b> *The stats above were calculated on the top 3000 stocks by liquidity(not market cap), Which captures 99.5% of the overall market liquidity.
<b>Market Slice for week 10.Jan.2011 to 14.Jan.2011</b> Buy Aggressively Buy Cautiously <b>Hold/Wait</b> Sell Cautiously Sell Aggressively (the highlighted option is my current sentiment) <u>S&P-500 Daily % Change:</u> <b>Fri, 14 . Jan : 0.74 %</b> <b>Thu, 13 . Jan : -0.17 %</b> <b>Wed, 12 . Jan : 0.90 %</b> <b>Tue, 11 . Jan : 0.37 %</b> <b>Mon, 10 . Jan : -0.14 %</b> <u>No. of Stocks above 40 EMA*</u> <b>Fri, 14 . Jan : 77 %</b> <b>Thu, 13 . Jan : 75 %</b> <b>Wed, 12 . Jan : 77 %</b> <b>Tue, 11 . Jan : 73 %</b> <b>Mon, 10 . Jan : 70 %</b> I avoid entering new positions when this number is above 80% <u>No. of New Six Month (26 weeks) Highs*</u> <b>Fri, 14 . Jan : 450 </b> <b>Thu, 13 . Jan : 422 </b> <b>Wed, 12 . Jan : 524 </b> <b>Tue, 11 . Jan : 430 </b> <b>Mon, 10 . Jan : 264 </b> A number around 800 here indicates market topping in the short-term. <u>No. of New Six Month Lows*</u> <b>Fri, 14 . Jan : 59 </b> <b>Thu, 13 . Jan : 49 </b> <b>Wed, 12 . Jan : 28 </b> <b>Tue, 11 . Jan : 9 </b> <b>Mon, 10 . Jan : 10 </b> *The stats above were calculated on the top 3000 stocks by liquidity(not market cap), Which captures 99.5% of the overall market liquidity.
###################################### Quite interesting however, the Excel contains 2 ETFs on top the list which are not part of the 2nd ranking. Who is right? or: what did I overlook? Thanks
########################################### II. Comes a question to my mind regarding the leveraged ETFs. Does anybody know of a listing where the 2x or 3x ETFs - short or long - are highlighted or listed seperately?
Two my best sources guys: http://www.etfreplay.com/ http://www.priceactionlab.com/Blog/2011/01/the-state-of-etfs-january-19-2011/
<b>Market Slice for week 17.Jan.2011 to 21.Jan.2011</b> Buy Aggressively <b>Buy Cautiously</b> Hold/Wait Sell Cautiously Sell Aggressively (the highlighted option is my current sentiment) <u>S&P-500 Daily % Change:</u> <b>Fri, 21 . Jan : 0.24 %</b> <b>Thu, 20 . Jan : -0.13 %</b> <b>Wed, 19 . Jan : -1.01 %</b> <b>Tue, 18 . Jan : 0.14 %</b> <b>Mon, 17 . Jan : 0.74 %</b> <u>No. of Stocks above 40 EMA*</u> <b>Fri, 21 . Jan : 56 %</b> <b>Thu, 20 . Jan : 58 %</b> <b>Wed, 19 . Jan : 64 %</b> <b>Tue, 18 . Jan : 76 %</b> <b>Mon, 17 . Jan : 77 %</b> I avoid entering new positions when this number is above 80% <u>No. of New Six Month (26 weeks) Highs*</u> <b>Fri, 21 . Jan : 117 </b> <b>Thu, 20 . Jan : 62 </b> <b>Wed, 19 . Jan : 289 </b> <b>Tue, 18 . Jan : 534 </b> <b>Mon, 17 . Jan : 450 </b> A number around 800 here indicates market topping in the short-term. <u>No. of New Six Month Lows*</u> <b>Fri, 21 . Jan : 26 </b> <b>Thu, 20 . Jan : 34 </b> <b>Wed, 19 . Jan : 21 </b> <b>Tue, 18 . Jan : 18 </b> <b>Mon, 17 . Jan : 59 </b> *The stats above were calculated on the top 3000 stocks by liquidity(not market cap), Which captures 99.5% of the overall market liquidity.
Buy Aggressively Buy Cautiously Hold/Wait Sell Cautiously <b>Sell Aggressively</b> I have liquidated all my positions. I am 100% in cash as of date.