Stock Positions We Are Monitoring.     
       
Tiger Software:                               11/13/2009         (C) 2009 William Schmidt, Ph.D.                                                            william_schmidt@hotmail.com

          New Recommendations for Traders    
            

                                 BUY Trina Solar TSL 45.57
                                 SELL SHORT  AA 13.22 -.54 head and shoulders developing.
                                                           AAV   5/74 -.19
                                                           APC   61.7 -1.64
                                                           AVIS   10.34 -.44
                                                           CRZO   21.54 -.64


         Unless stated otherwise, we will cover Short sales when Closing Power
         Downtrends are broken above, especially when there is a Red Buy signal on a day when
         there is no Stocks' Hotline and on short-term breakouts,

         The Nightly General Market Hotline will make suggestions about what to
         expect for the general market.  That should help you judge whether to cover
         short sales or add to long positions.

         Look also at the Tiger Elite Stock Professional Service for ideas.
                           

Short Positions:    

              
               Generally cover short sales if down-trending Closing Power downtrend is broken above
              after a substantial decline.         

                  
ACET  5.19 -.12   Breakdown  CP declining  IP21<-.25  ACETO Corp

                  CCBG   11.75 -.28        Breakdown   Capital City Bank

                  ARP   5.89 -.06       American Repro

   LONG   RWM  - Russell-2000  47.56 +1.15
               
Long Positions: (These are arranged so that the most recent are shown first.)
             Sell on falls back below 50-day ma,
             False breakouts and breakdowns by Closing Power below uptrends.

             Very over-extended stocks require closer stocks, such as a closing below a
             10-day ma. That is the basis of the Sells below.

 SELL   
  
ADP  43.44 -.37      IP21=.15  AI/200=144   Red Sell

 
SELL      BONT    12.66 +1.94   IP21=.40  CP=NH    B12/B24

 
SELL         HOLI   12.03 +.62       IP21=.36  CP=NH

 
SELL       MSPD   4.68 -.26     IP21=.25  3.75 was breakout.

        MXB   31 -.58   IP21=.20  CP at NH
  At point of breakout.   Should be support.

         BITS 6.78 -.02     still a perfect 200 AI/200

        CEDU  7.99      AI/200=177   IP21>.40  up from rising 50-day ma

       ANV   Nevada Gold  12.2        Gold is hedge and GLD still above 1000.


       Hold   GLD  112.3    AI/200   =130


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                 Tahiti Stocks = Rules require 21 months' holding.
         I want to shift the Sept 30 purchase to October 30th.  I think that would
         improve the results.
  HPQ was 47.56 and IBM wa 120.61
                         
  HPQ was picked to buy using the Tahiti approach.  IBM has a higher AI/200 score.
      49.82 -.66             because a weekly chart shows it has much more Accumulation.
                       It has been suggested that buying at the end of October is better than
                      buying at the end of the 4rd quarter.

   CVX  77.34 -1.58           Hold 21 months after purchase.  
                           AI/200=131

   XOM  74.65 -.62      AI/200=146   IP21>0 and below 50-dmA
  
                           
Tahiti Stock at end of 3rd and 4th quarters of 2007.