Stock
Positions We Are Monitoring. Tiger Software: 3/10/2008 (C) 2008 William Schmidt, Ph.D. william_schmidt@hotmail.com Editor's Note: Shorted stocks rallied mostly today because of Fed action. I would wait until they close above 50-day ma before covering. Watch the Bullish stocks for FIDSTKS (all Fidelity's biggest holdings) to see when they start turning up. Watch the highest Accumulation (AI/200) stocks for the same thing. Sell Short LQDT 7.37 -.36 If there is a bounce here are short sales to make at their falling 50-day ma CBON 11.18 short on rally to 12.89 ETM 10.11 short on 10% rally. JRS 14.83 short on next red Sell from 50-day Stochastic Sell. Now on Buy. |
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) NTRI 12.74 -.09 AI/200=66 IP21=.30 SNDK 21.14 -.27 AI/200=53 USMO 7.21 -.83 AI/200=60 WMG 5.25 -.14 AI/200=22 ETM 10.11 -.32 AI/200=17 IP21<TISI testing lows. CSGS 11.00 +.03 AI/200=28 IP21<TISI NSM 17.82 -.43 AI/200=21 IP21<TISI ... Breakout above 21-day ma and fall wedge. BYD 18.58 -.08 AI/200=36 IP21<TISI CZN 10.36 -.28 AI/200=23 IP21<TISI IP21= -.08 GSBC 17.21 -.47 AI/200=31 IP21<TISI BRT 11.18 -.11 AI/200=44 IP21<TISI CACB 9.85 +.07 AI/200=60 IP21<TISI LNET 8.19 -.46 AI/200=91 IP21<TISI ABR 14.03 +.25 AI/200=55 IP21=Tisi Price testing lows... AHR 5.27 +.02 AI/200=45 IP21<TISI Price below 50-dma. ISLE 7.5 -.35 AI/200=15 AI/200=91 IP21<TISI ABFS 27.87 -.60 AI/200=27 IP21>0... This is still below long-term mvg.avgs. BONT 5.26 -.03 AI/200=15 IP21<TISI XING 5.34 -.55 AI/200=27 |
Long Positions: (These
are arranged so that the most recent are shown first.) Long Posiitons. --------------------------------------------------------------------------------------------------------------------------------------- ===>Sell MVG 13.88 -.26 .... ... I fear a liquidity crunch because of market decline. If there are margin calls, everything will sell off. ===>Sell PBR 108.60 -4.07 AI/200=192 Below rising 50-day ma False breakout DBC 37.9 +.71 AI/200=183 running up upper band. CHU 22.03 +.07 At falling 50-dma. Strong OBV IP21>0 FDG 49.77 -3.30 B12. Recent breakout was at 45. Nice dividend. ===> Sell SLV 194.75 -5.65 ITRS=.45 ... I fear a liquidity crunch because of market decline. If there are margin calls, everything will sell off. ===> Sell GLD 95.87 -.22 ... I fear a liquidity crunch because of market decline. If there are margin calls, everything will sell off. SSRI 34.01 -2.33 On Sell... I consider this a long-term buy as long as silver keeps outperforming the DJI But it also a very good stock to trade usine Tiger Buys and Sells. See www.tigersoft.com/SSRI . KTEC 31.01 AI/200=198 Still in uptrend above 200-day ma and IP21=.10 ===> Sell KEQU 15.59 -.53 AI/200=184 below 200-day ma with IP21<0. Bond Fund AGG 102.13 +.53 on red Buy. MCD 53.80 +1.53 AI/200=109 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 82.46 -.03 AI/200=166... Highest AI/200 Stock. Hold 21 months after purchase. Another head and shoulders top. On 90-day Stochastic Sell. Tahiti Stock at end of 3rd and 4th quarters. |