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.