Stock Positions We Are Monitoring.     
       
Tiger Software:                                                  6/3/2008         (C) 2008 William Schmidt, Ph.D.                  william_schmidt@hotmail.com

                       
                                   
                             Sell Short  DSL  5.89 -.43  AI/200=85  IP21=-.35
                                                EWBC 12.35 -.73  AI/200=40  IP21=-.25
                                               MCGC   5.52 -.20  AI/200=37  IP21=-.30
                                               RF 16.68 -.61        AI/200=62  IP21=-.30
                                               WB   21.92 -1.48   AI/200=59  IP21=-.15
     

Short Positions:  TISI = 21-day ma of Accum. Index.
                                  IP21=current value of Accum. Index.   
                    In general, we will cover  short sales if they close above 50-day ma. with IP21>0.
                   If they jump too fast, hold them short.  They will combe back to the 50-day ma.
                   Cover them there.  Know that some of these may be short sales again when
                   their short covering rallies are over.    

         
 Short sales  (IP21=current Accum. Index)


        WM  8.75 -.25        IP21<TISI  OBV is making new lows ahead of price.  8.75  is support.

        FED 14.57 -.19        IP21>0    ITRS is still in downtrend.  New red Sell.

       MCGC  5.52 -.20      AI/200=37    IP21= -.30

       CTBK   13.83 -.48         AI/200=51
  
        SNCR   13.25

          ASFI   7.37 -.28   OBV and IP21 confirming new low.           AI/200=33


       .               
   

     Long Positions: (These are arranged so that the most recent are shown first.)

     
AXYS  bought at   59.16    62.28 +.74  (Study this.  A perfect flat topped breakout.)

   
  E - bought at 81    79.21 -1.52   AI/200=175.  ITRS is very strong.
      
      ISYS  bought at 36.75  38.80  B12   ITRS=+.38


      RDEA  14.45

      APWR   23.87 _.44      B12


       BCF  18.49 -.18      Red Sell     AI/200=194  Internals still look very good. 
                                        B;ackwater Real Asset Eq. Trust

      
DBC - 40.12 -.97       AI/200-183  IP21=.20     ETF representing metals, oil, corn wheat.
       
      IDRA 14.58 -.35        IP21=.40   AI/200=162 

      SID   47.31 -1.20       AI.200-191 

      
Sell ===>  BBD   23.02    
  AI/200=168

    
  DGLY  9.99 +.60       on B12  now IP21<0   Hold

     
  TTES   65.51 +1.21      NH        B12  IP21=.40  

  
   BEXP   15.87 -.83        AI/200 =168                              
    

      MTL     54.56 -1.37         IP21=0   OBV is OK
                                             
        Platinum   20         Big bulge of Accumulation  

       
GBN   - Great Basin     3.25 -.13    stil on red Buy. 

         SSRI    28.80 -.95          Above declining 50-dma with IP21<0.    Watch                                       
                                             See www.tigersoft.com/SSRI
  

        

                                         Tahiti Stocks  - CVX is now highest AI/200 stock.

           MCD  57.56 -.99    AI/200=129  Turned down from 50-day ma... Normally held for 21 months.
                                     Was Tahiti Stock for Quarters 1 and 2, 2007. 
Hold 21 months after purchase

           XOM 85.7` -2.18     AI/200=160...  
  Hold 21 months after purchase.
                                    
Another head and shoulders top.   New 50-day Stochastic Sell. 
   
                                 Tahiti Stock at end of 3rd and 4th quarters.  Watch for bullish breakout over 95.2
                            
XOM was also #1 AI/200 DJI-30 stock at end of 1st quarter of 2008.