Stock Positions We Are Monitoring.     
       
Tiger Software:                                                  7/1/2008         (C) 2008 William Schmidt, Ph.D.                  william_schmidt@hotmail.com

                       
                                   
               Buy  WLL  110.46 +3.98
                      
     

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)
  

    ===>Cover     AIG   26.73 +.27     AI/200=65

         AIR   13.10 -.43   AI/300=87

         ARGN   6.78 -.33   AI/200=59

         BAC   23.81 -.06    AI/200=82

         BTH   11.93 -.10     AI/200=29

     
===>Cover    COBZ   6.87 +.29       AI/200=75

         DAVE   6.68 -1.02    AI/200=29

         GCI   20.84 -.84    AI/200=88

         IMP   5.79 +.06    AI/200=27

         LVS   44.87    -2.57   AI/200=83

         MGPI   5.78 -.02    AI/200=93

   
  ===>Cover     PFE    17.73 +.26     AI/200=60  OBV is zig-zagging upwards.

         RAI     45.99 -.68   AI/200= 62

        RNR   44.98 +.31     AI/200=69

        TZOO   7.93 -.64    AI/200=44


   
   CSGS   11.08 +.06       AI/200=35

      ISLE   4.45 -.34       AI/200=23

  
 ===>Cover       ABR   9.02 +.08        AI/200=22 Very steady distribution.    IP21>TISI

    
  
   

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

  
DRS  78.58 -.11     B12   Waiting for second offer for  company.

     FLIR  43.08 +2.51     B12

     AVAV   27.84 +.66  OBV is making new highs.
  Accum. Index bulge in April

    
ATVI    34.10    B24 

    
BRNC 18.46 +/08       AI/200=154  OBV is confirming.  IP21=.20

     INTX   10.29 -.64       AI/200=139  IP21=.10  OBV NC  

      

     ISYS  39.95 +1.25      B12   ITRS=+.40   OBV NC


      RDEA  12.42 -.40         AI/200=135   IP21<0  May Accum. Index bulge.

      APWR   24.18 -2.47         B12 
  24 should be support.  That was point of earlier breakout.
                                      
      
DBC -   45.49 +.63      AI/200-181  IP21>0     ETF representing metals, oil, corn wheat.   At upper band.
       
      IDRA   14.50 -.11       IP21=.44  AI/200=162 


     
  TTES   82.89 +3.42    earlier  B12  IP21>0   April bulge.   
                          
    
                                             
        Platinum   2086 +16.70    new red Sell    Big bulge of Accumulation  Narrow range. 

       
GBN   - Great Basin     3.54 +.14    just above rising 200-day ma   IP21<0.

         SSRI    29.47 +.02          Just above declining 50-dma with IP21<0.    Watch         
                                              Top 4 systems on  BUYs.   Seasonality is bullish in second half of year.                           
                                             See www.tigersoft.com/SSRI

                                      Tahiti Stocks

            CVX 99.08 -.05   is now highest AI/200 =162  stock. 

           MCD  57.29 +1.07    head and shoulders top
                                  AI/200=125 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 88.35 +.22       AI/200=141 IP21<0 ...  
  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.