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24,815,765 Views | 233493 Replies | Last: 19 hrs ago by Quacked
GreasenUSA
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FJ43 said:

This is actually fun for me to do now and then and regroup. Sometimes all the indicators just create noise. Good to get back to blocking and tackling now and then.

Give it a try. You might become a chart junkie.

Edit: Helpful tip. Hide volume first. Draw all your lines on a clean sheet then display volume. Helps lights go off.






That's all I use to earn a living at this. Was I supposed to add more indicators?
FJ43
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BREwmaster said:

LOLOL, how not to draw a chart... this is AMD. this guy thnks resistance isn't until the 300's. I'm bullish on it, but damn!



I can beat that. I say 320 if I want to ignore any logic.

See trend lines at most every possibility.

Sorry so small as this is a monthly view back to 1983.



FJ43
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GreasenUSA said:

FJ43 said:

This is actually fun for me to do now and then and regroup. Sometimes all the indicators just create noise. Good to get back to blocking and tackling now and then.

Give it a try. You might become a chart junkie.

Edit: Helpful tip. Hide volume first. Draw all your lines on a clean sheet then display volume. Helps lights go off.






That's all I use to earn a living at this. Was I supposed to add more indicators?
Volume and EMAs are the main 2 I use outside of the above.

Charismatic Megafauna
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Ccutamu said:

MVIS Ripping!

Apparently confirmed that hololens is being used for the whatever billion msft pentagon contract and mondo royalties are about to start coming in. Hope they're not playing fast and loose with their nda
FJ43
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CHWY

Interesting where this pegged today. Needs over today's high.

I think that green line is the ticket though. Notice the volume shelf gap above back to close to $100.

That green line happens to be....you guessed it...MT

$30,000 Millionaire
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Roku - yowza.
You don’t trade for money, you trade for freedom.
Triple_Bagger
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$30,000 Millionaire said:

Roku - yowza.
Yeah I shouldn't have moved my limit order. I wanted 5.00 for my put spread credit and the order was open all day but didn't get filled. I moved my limit to 4.50 right before market close. Max loss, max pain
BTFD
BourbonAg
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Anyone else about to watch this Simpler Trading webinar at 7?
gougler08
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Ccutamu said:

MVIS Ripping!


Who sold those $14 putsthose were right on
Charismatic Megafauna
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Wish I'd just bought the shares
wanderer
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Conservative in a way, more aggressive in a way I guess.

Yes, worse risk/reward than the 1/1, but also more likelihood of the trading working.
ryanhnc10
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A few more that got blasted - AYX and FSLY
McInnis 03
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Ummm

BrokeAssAggie
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McInnis 03 said:

Ummm




Well I'm sure they will have to hand out a lot of government subsidies for people to buy one.
gougler08
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McInnis 03 said:

Ummm


XL Fleet can just go ahead and rocket to $20
gougler08
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ryanhnc10 said:

A few more that got blasted - AYX and FSLY
AYX holder here in the retirement account
tailgatetimer10
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I've been stocking up in a Lithium ETF. We knew this **** was coming.
sts7049
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and TSLA to 800
Decay
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If only graphite was used in batteries!
Brewmaster
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Tic talking about MRNA puts for their earnings. tempting, at least for put spreads for me, maybe credit call spreads?

Philip J Fry
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Decay said:

If only graphite was used in batteries!


Speaking ofam I looking at the WWR chart correctly? Looks like ever time it hits sub 4, it bounces back pretty hard shortly after.
gig em 02
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Whose getting paid on the roku model t tomorrow morning?
Ragoo
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The future is electric - while getting out of a vehicle made with plastics, rubbers, and coated with polymers. Sourced from a supply chain around the world and moved to a factory in Detroit by cargo ship, rail, truck, etc. Not to mention most electricity is the result of combustion reaction anyways. Well done smarty pants.
Talon2DSO
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I think I'm ready for a presidential candidate with the slogan

"I'm just not going to **** **** up like the last guy"
Talon2DSO
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Can someone post an AMD analysis? I looked back a couple of pages and saw levels at $300 and $320 mentioned but is that accurate???
Bosco
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gig em 02 said:

Whose getting paid on the roku model t tomorrow morning?


Been down this road many timesi think it will sit for a few days and chow down on theta sandwiches.
Esteban du Plantier
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Philip J Fry said:

Decay said:

If only graphite was used in batteries!


Speaking ofam I looking at the WWR chart correctly? Looks like ever time it hits sub 4, it bounces back pretty hard shortly after.


That's me.
FJ43
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Mornun,

Futures stayed in a pretty narrow range in the overnight session.

More or less flat here early premarket.



I think we are in for more chop today in these ranges but as always trade what's in front of you.

SPY can we get over and stay over 440?
Qs can it stay over 366.5?
IWM really needs to not trade below yesterday's low.
VIX under 18 is the right direction but can that hold.

Will be watching the ROKU, ETSY, etc. to see if they bounce or have the same result as AMZN and base for a while at lower levels.

Oh...just my 2 cents....if something is way up take some money off the table. Greed kills and causes regrets.



Trade wisely!

FJ43
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Talon2DSO said:

Can someone post an AMD analysis? I looked back a couple of pages and saw levels at $300 and $320 mentioned but is that accurate???
For sure my chart is just a joke. I can probably find a way to chart it to $500 by Christmas as well.
FJ43
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FB

This moved to the top of my list for this morning to watch for a weekly scalp here. Could go to next week also.

Nice break and close above resistance yesterday with strong trend and close.
Above 359 then 362.50 should see 366, 368, 370+
Macros must hold up of course but could help lead.

If confirms 359 (preferably 359.90) I will enter 362.5C. If rejects at 359.90 I will be on watch.









austinAG90
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Thursday Macros

Markets Awaiting Non Farm Tomorrow...But Treasuries Continue to Have A Bid


There were some good flows overnight in the Treasury futures markets, not so much in cash... First there were selling, where one large player bought a chunk of FV puts, those are puts on 5 year futures, this sent 10 years to the overnight high of 1.20... But then we saw a large buyer of 135.5 of TYU calls, those are 10 year futures... And some strong swap receiving and buying in the London space... And as NY has come in, there is more buying... Still we are only up a couple of ticks, but one would have thought the Clarida headlines from yesterday would send the market trending in the higher yield direction.

1) (BN) *CLARIDA: CONDITIONS FOR RAISING RATES COULD BE MET BY END-2022
2) (BN) *CLARIDA SAYS RISKS TO HIS INFLATION OUTLOOK ARE TO THE UPSIDE
3) (BN) *CLARIDA SAYS HE'S BEEN SURPRISED BY SIZE OF BOND YIELD DECLINE

This was enough yesterday to send the 10 year from a low yield of 1.125 up about 10 basis to our support of 1.22... This was the same move of magnitude when the 10 year hit the exact same level two weeks ago and swooshed back to 1.22... If we attack the 1.125 number again, that will be third time testing it, which is usually when it breaks... Next level would be 1.05 and then .99....

Lets keep talking about the Fed... Bullard and Kaplan had interviews with the press yesterday, both continued their hawkish views, no surprise there... But we saw Mary Daly on PBS last night where she said "Tapering could start late 2021 or early 2022"... Waller speaks today, he is the protege of Bullard, and we know he will be hawkish... So the real question now, is whether Clarida was talking Powell's book... And that is why the employment number tomorrow is crucial to where the Fed thinking is... Inflation has been ignored (not Clarida) and the delta variant has not curtailed business as yet, but it could.... As for other Central banks, they are now starting to change their tune...ECB and Fed are still keeping rates at absolute Kelvin lows, but Brazil raised rates 100 yesterday and said they will more than likely raise another 100 next month... BOE said today that they will start selling securities when rates reach 1%...RBA is continuing with there tapering program, And other small CB's ,like the Czech Republic, are thinking about raising... There are probably 10 more...

Employment tomorrow... Expectations remain at 870,000... But there are still three widely known firms that have numbers over 1.15 million....Goldman, Citi, and Jefferies...GS said they may adjust their numbers after the claims today, but said that the reasons for the low ADP number are not the same reasons to reduce tomorrow's non farm...

Corporates continue to come to the party like it is 1999... No worries... Demand remains off the charts and spreads have maintained a solid range..6 companies came yesterday in IG, raising 4.8 billion, bringing the week to date number to 23 billion... We already see a heavy day today taking shape with the Barclay book soaring above 11.5 billion for their 1.5 billion hybrid deal... Investors can not get enough...in Junk, GPS Hospitality sold debt for the first time as 3 issuers priced 1.65 billion... That makes over 11 billion of junk this week... Heck at this rate maybe we should try to sell a junk bond on our commercial building.

The next 26 hours is going to be tricky... While the Fed clearly wants higher long term rates, and Clarida said as much yesterday, our colleagues at Oxford Economics weekly investor survey again showed that most investors are still positioned for higher yields, not lower ones... So unless we get a blowup employment report, expect a back up to be bought... And if we get a squirrelly number tomorrow, then 1% 10 years is not out of the question...

As for equities, we see that GS raised their S+P target to 4700, but our gut feel is that equities are having some major indigestion, so be wary of a 5% corrective move.
FJ43
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USA Initial Jobless Claims for Jul 30 385.000K vs 384.000K Est; Prior 400.000K

USA Continuing Claims for Jul 23 2.930M vs 3.260M Est; Prior 3.236M
McInnis 03
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My "Outside day followed by inside day" scan today is full of names we all know and love. AMZN, GOOGL, SPY, ABNB, AAPL, etc.....

I look to these as a "price discovery day, followed by consolidation day" search with today being "Decision day". I look to the inside day high and low as my signals. If we break the high of the inside day (yesterday) you take long with target1 as the high of the outside day (2 days ago), if we break the low of the inside day (yesterday) you take short with target 1 as the low of the outside day (2 days ago).

Could be a big decision day because if these guys start making the same decision, the macro markets will go that way as well, they have to, there is too much weighting on these guys for it not to.
Brian Earl Spilner
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Y'all still think ROKU can hit $500 this year?

Trying to decide if it isn't time to sell.
Bonfire1996
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Quote:

As for other Central banks, they are now starting to change their tune...ECB and Fed are still keeping rates at absolute Kelvin lows, but Brazil raised rates 100 yesterday and said they will more than likely raise another 100 next month... BOE said today that they will start selling securities when rates reach 1%...RBA is continuing with there tapering program, And other small CB's ,like the Czech Republic, are thinking about raising... There are probably 10 more...
Our rates will stay nominally above the rest of the worlds rates. Brazil raising rates 200 bp is pretty significant, but immaterial. When the Eurozone gives a 25 bp raise, that's your trigger.

How to profit when this happens? Rotate out of tech and into the big banks.
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