Stock Markets

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ProgN
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BaylorSpineGuy said:

lobwedgephil said:

FJ43 said:

Hmmmmm




Craziest daily chart I have ever seen.




They must be projecting people to be drinking heavily in 3 months and then stop drinking all of a sudden.


They're betting people will be running out and buying their new can.
Brewmaster
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giant beer company was evil enough before - buying micro brews, keeping the label, pretending to sell the same thing. They do it year after year. InBev buying Karbach is the most memorable one I can think of.

I need to change my user name back, Brewmaster was b/c I used to brew quite often, interviewed at a microbrewery in Austin once. Thankfully I did not get the job, I make more money doing my real job! I am quite sympathetic though to the little man. There are plenty of great TX micros out there today though, we are fortunate!

sorry, ran over!
Philip J Fry
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TheVarian
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Goodness gracious
BaylorSpineGuy
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Or they could just go woke and lose all their customers?

Pretty bold of a company to project its own death and see it written in the stars (in the chart*).
Dan Scott
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WTI back in the 80s
Dan Scott
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RBOB at highest level since last July.
FJ43
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That's what prompted me to check their chart. Read it early this morning.
Dan Scott
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WWE sold for 9.3B aquiired by Endeavor, UFC parent. Vince McMahon got what he wanted and remains chairman. Stock going to be $110
irish pete ag06
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What are the best ones that are still independent
Dan Scott
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Goldman increases their 1 year oil price target to $100. Two weeks ago they reduced it to $95
$30,000 Millionaire
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Gents, not going to be able to cross swords with you all for a while. Be smart!
You don’t trade for money, you trade for freedom.
SF2004
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$30,000 Millionaire said:

Gents, not going to be able to cross swords with you all for a while. Be smart!
Never cross the streams.
SF2004
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Sunday evening musings.

Below is the chart for /ES on Friday afternoon. I caught the cross for a nice ~$200 scalp but as you can see it kept running.

I have found that to get the runners you have to forgo capturing profit on that first pop as you will most likely test the 12 before continuing.

Question is would you be better off long term taking the profit on the pop or looking for the long grind upwards?

You could also be in multiple contracts and capture profit on some and then move the stop to B/E?

Boy Named Sue
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AG
$30,000 Millionaire said:

Gents, not going to be able to cross swords with you all for a while. Be smart!


Noooo!!!!
reineraggie09
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AG


I consider myself educated and not an idiot about finances or the market but when I open this thread, I feel really dumb. I look up a term in nearly everyone's post.

One day I might catch up.
FJ43
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reineraggie09 said:



I consider myself educated and not an idiot about finances or the market but when I open this thread, I feel really dumb. I look up a term in nearly everyone's post.

One day I might catch up.
Stay the course. Just takes time, effort and discipline. It'll be worth it….
lobwedgephil
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SF2004 said:

Sunday evening musings.

Below is the chart for /ES on Friday afternoon. I caught the cross for a nice ~$200 scalp but as you can see it kept running.

I have found that to get the runners you have to forgo capturing profit on that first pop as you will most likely test the 12 before continuing.

Question is would you be better off long term taking the profit on the pop or looking for the long grind upwards?

You could also be in multiple contracts and capture profit on some and then move the stop to B/E?


$200 on ES is 4 handles, You can make a nice living if you can get a system that consistently gives you 5 handle moves.
FJ43
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All I want tomorrow is 405.60 on SPY. Hold above 407.86 and I think at least bullish near term.
That's all….

Drive trading tomorrow.

Trade wisely!

Farmer @ Johnsongrass, TX
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Tomorrow, I'm starting off the day with this song, hot coffee, bacon, eggs & toast, and XOM, CVX and PXD. I hope you'll be enjoying the day with your energy picks too.



Boy Named Sue
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SF2004 said:

Sunday evening musings.

Below is the chart for /ES on Friday afternoon. I caught the cross for a nice ~$200 scalp but as you can see it kept running.

I have found that to get the runners you have to forgo capturing profit on that first pop as you will most likely test the 12 before continuing.

Question is would you be better off long term taking the profit on the pop or looking for the long grind upwards?

You could also be in multiple contracts and capture profit on some and then move the stop to B/E?




Struggled with this myself. I'm still very new, so take this fwiw, but on 0dte I think my approach going forward will be to leave runners in the morning, and to take all profits in afternoon. I try to trade in blocks of 10 to make the math easier on the fly. Up 10% and ready to sell? Sell 9/10 and hold 1/10. Up 25%? Sell 4/5. Up 100%? Sell half. Then, selling the rest is pretty low stress with potential for significant upside.

If I'd stuck to that approach last week I would've done better by a few multiples.
Red Pear Luke (BCS)
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reineraggie09 said:



I consider myself educated and not an idiot about finances or the market but when I open this thread, I feel really dumb. I look up a term in nearly everyone's post.

One day I might catch up.


Please don't be shy with asking any questions. Seriously. We get some Barnes type folks in here occasionally and I've never seen any be mean or rude, heck I'm not even sure ProgN has ever caught a ban from here? There's no such thing as a dumb question if you're really trying to learn. This board and thread is a WEALTH of knowledge on its own. Ask and ye shall receive.

Plus - I've never seen a better group of Gifers in my life. Although while I do miss the split personality's of McInnis - Farmer's constant beating of the oil drum has helped fill the void
DeangeloVickers
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Red Pear Luke (BCS)
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The replies on that tweet were atrocious…

And all I wanted to do was find out why the Japanese did that?
Dan Scott
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Japan needs energy and Japan isn't going to hurt itself for Ukraine. It's easy to impose the $60 Russian cap when oil prices are down but what's going to happen when oil is back at $100? Russia won't sell their oil for $60. That's the test to see if these countries stand together.
DeangeloVickers
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Great summary

RulesForTheeNotForMe
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So I played the option lottery on Friday with MRO c27 4/28 and now with the OPEC cut, I hit jackpot but not sure when is the best time to cash in.

Is this a sell the news situation or is crude going to ramp for a few weeks as this mess unfolds?
Red Pear Luke (BCS)
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RulesForTheeNotForMe said:

So I played the option lottery on Friday with MRO c27 4/28 and now with the OPEC cut, I hit jackpot but not sure when is the best time to cash in.

Is this a sell the news situation or is crude going to ramp for a few weeks as this mess unfolds?

Sell the news. Keep a flyer if you can but definitely don't hesitate to take profit. No one ever went broke taking profit.
Dan Scott
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Vince McMahon

Boy Named Sue
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Bidding OXY 4/6 calls. Probably won't fill since it's up 5.5% in pre-market
Golf1
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I see $413.50-414 on spy shorts keep getting trapped.

2022 January highs and lows in October would make the model T in that area and I wouldn't be surprised to hit it today.
BaylorSpineGuy
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I considered that as well but remember we eclipsed that in late Feb/early March with a touch around 418-19.

Breaking that high would make me lean more bullish.
Philip J Fry
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Right shoulder for spy forming?
Golf1
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Looks like we touched the 418 area early February and if I'm not mistaken that was CPI so that could've moved things but we sold off to that 413-415 area still. I also wouldn't be surprised to see it hit $418 but I've had my times of getting trapped and I definitely think we are overbought but I'm just still expecting that area to look at start shorting if markets begin to change.
FTAG 2000
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$30,000 Millionaire said:

Gents, not going to be able to cross swords with you all for a while. Be smart!
Is this about those new bud light cans?
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