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nepalkochoro2008
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Posted on 11-09-11 7:11
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though i would just start posting my profit loss on my trades. Haven't made much yet but starting to learn. Hoping to get some constructive suggestions/critisims
portfolio as of 11/09/2011
Symbol Qty Price
AAPL 4 $395.28
AMZN 7 $211.22
BAC 250 $6.16
AMZN 1 $16 $230 Call for April 2012
Total Holdings : $6199.66
11/15/11 Update
Symbol Qty Entry Price Total investment Current Price Current Holding Profit/Loss Status
AAPL 4 $395.28 $1,581.12 $385.92 $1,543.68 ($37.44) Sold
AMZN 7 $211.22 $1,478.54 $217.83 $1,524.81 $46.27
BAC 400 $6.11 $2,444.00 $6.26 $2,504.28 $60.28 Sold
AMZN(call) 1 $16.00 $1,600.00 $17.90 $1,790.00 $190.00
AAPL(call) 1 $13.60 $1,360.00 $14.35 $1,435.00 $75.00
RIMM(put) 2 $4.15 $830.00 $3.60 $720.00 ($110.00)
NET + / - = $224.11
Last edited: 15-Nov-11 07:33 PM
Last edited: 15-Nov-11 09:12 PM
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tyrannyoflogic
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Posted on 12-07-11 8:27
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Scratch shorting the solars...buffet decided to buy a solar farm from FSLR or something ... couple of charts i am watching LNG hammer yesterday..picking up some of the bottoms today plus MA lines crossover..bullish Solar sympathy plays based off of FSLR rally today...LDK, JKS ...buy on dips..today for sells into optimism rally tomorrow will most probably see a pullback today..but i dont think it will be that deep of a pullback...will probably cover my remaining shorts for small losses after some averaging up RIMM probably will see a down day today ..but it would be good to pick some up at lows probably below 16.50s ..cuz it will probably trade with the market ..and might jst run on buyout rumors again
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OBAMA
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Posted on 12-07-11 12:32
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Tyranny, hang on to UAL dude... Its gonna fail around 20.80 at MA. When u want to give up, shorts have a habit of going down.... Market us not going down for only 1 or 2 days... It's gonna loose more than 100 points ... Markets may not go up sustainably before last week of this year or may be next year only... This buy rumor market will sell off on news... Hang on to wild ride .....
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EastSidaz
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Posted on 12-07-11 1:41
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Threw coupla G's on AMR when it was .38. Washed it at 1.18. I am loving it.
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OBAMA
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Posted on 12-07-11 2:06
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Good for u eastsidaz !!!!
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EastSidaz
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Posted on 12-07-11 2:23
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I should have gone all in when it was .20. Myan, I would have a six figure portfolio by now. Damn. Is it my greed talking or what.
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OBAMA
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Posted on 12-07-11 3:07
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That's yr greed bro ... Sooner or later u will learn it .
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tyrannyoflogic
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Posted on 12-07-11 3:16
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@eastsidaz..man u bluffing....no trader could have had that perfect of a trade... With the stock being halted more than 10 times in the past three days..The greed factor would have played out numerous times...cuz it was for sure that it was jst a matter of time that the stock got delisted to pinks... M waiting on my UAL short of 19.84 avg now...for that thing to happen since the past three days I deny to believe that u made that perfect of a trade...
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OBAMA
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Posted on 12-07-11 3:35
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Hehe.... Tyranny, u r so straight forward man !!!!
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tyrannyoflogic
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Posted on 12-07-11 3:45
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It's one thing to say..you flipped it for 20 -30 percent...which is believable...but that shit jst does not happen if u re trading for real
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OBAMA
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Posted on 12-07-11 3:56
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I have been long enough in trading to understand fakes ......cannot still forget Lehman brothers back in 08 ... It's easier saying than doing.
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tyrannyoflogic
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Posted on 12-07-11 6:59
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Back to markets, @Obama We had a decent pullback in the AM today ..abt 90 points but it jst got bought too darn quick SPX has tapped 1265 resistance 3 days in a row now and the range is really getting tight Dow jones is cranking gains everyday consolidation for a move up?? it all depends on what comes out of the EU summit friday but we might break 1265 on jst optimism about it alone...and the summit people know how much is riding on the outcome of the summit ...if something bad comes out it will be catastrophic as per the headlines everywhere but m kinda shifting towards bullishness till Friday (JUDGEMENT DAY ) jst critically thinking out loud here what says yall?
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OBAMA
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Posted on 12-07-11 9:16
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Tyranny, the after market hours trading for futures, we call globex trading, don't have much of significance, serious breakdowns or breakups in European hours has become more of a factor these days comparing to yester years. So I would focus how market does on newyork hours . I would also watch euro after London opens. Rather than consolidating, it's failing on its moving average. Let's talk technicals .... How many different kind of bottoming they describe in book ??? Now picturise August low and October low and try to figure out what kind of bottom market is trying to make??? Possible outcomes for me is either double bottom at October lows or head and shoulders reversal as August , October and December lows . The way we shoot up from 1150s last time, the rally itself looks phony... But on rumor type... There are other timer methods to verify right shoulder has not formed properly. If fund managers wanted to buy stocks after Europe news on Friday, we should have sell off now and stocks would have been cheaper..... Imagine who doesn't want to buy cheaper??? This leads me to assume we r waiting for a sell off .... Remember, there should be plenty of buyers to sell whole lot of stocks..and we need lot of people to think market is breaking to upside so that shorts can unload .... But triple witching next week, year end portfolio dressings and Santa clus rally can prolong this rally. My assumption would be failed for me if S&P closes above 1300. Otherwise stay patient... Good luck
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EastSidaz
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Posted on 12-07-11 10:57
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Tyro, u saying AMR won't go to 1.50
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EastSidaz
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Posted on 12-07-11 11:00
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What's hot for tomorrow? Why is RIMM dipping?
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tyrannyoflogic
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Posted on 12-09-11 10:13
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markets just all over the place...hehe thanks obama for the confidence boost in UAL , covered yesterday at 19.60s for small profits started another short in it today and m red again on it short at 20.23 lol FML ..sucker has to drop the bearish cup and handle(inverted) from cramer's off the charts might play out after all like u said sell the news ...might jst play out in some PCYC at 12.85 long ..forming a hammer today after the 10 percent drop...probably bounce a little on monday ...has had 2 downgrades today...jst a technical play ...wish i had held on to my shorts from 15s later
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OBAMA
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Posted on 12-09-11 1:49
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You r welcome tyranny. The way market shoot up today reminds me shorting ain't easy. But day-trading let me be bull for a day or two and still be bearish on near term. I will get into charts in the weekends and see weekly closings. If i find anything contrary to my assumption, let u know. I am not holding any short-term plays over the weekends.
TGIF...Have a great weekend guys !!!!
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EastSidaz
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Posted on 12-09-11 3:04
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At what point is it okay to throw coupla G's in AMR again?
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EastSidaz
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Posted on 12-16-11 1:29
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RIMM getting rimmed. When should I get in?
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anon
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Posted on 12-16-11 7:25
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Nepalkochoro must have lost quite a bit, this is turning out to be quite a season for long term investors. I have cashed out most of my holdings just being glad that I can deduct my losses. I do have few long term holdings if they don't fare well, I can use them for next years tax deduction. Sorry to sound so grim but this season freaking is.merry christmas and happy new year boys.
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Fez
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Posted on 12-16-11 8:25
PM [Snapshot: 4118]
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not betting on penny stocks... from a long term perspective, any takers on the following?
good riddance to AMR and BAC
Unilever plc (ADR) UL 32.02 -0.43 (-1.33%) Hold
Sprint Nextel Corporatio... S 2.25 -0.03 (-1.32%) Sell
Hewlett-Packard Company HPQ 25.84 -0.32 (-1.22%) Sell
Colgate-Palmolive... CL 89.89 -0.69 (-0.76%) Hold
The Clorox Company CLX 65.00 -0.27 (-0.41%) Hold
Merck & Co., Inc. MRK 36.25 -0.11 (-0.30%) Hold
PepsiCo, Inc. PEP 64.71 -0.14 (-0.22%) Hold
Anheuser-Busch InBev NV... BUD 57.96 -0.11 (-0.19%) Hold
Dell Inc. DELL 15.03 -0.02 (-0.13%) Sell
Coca-Cola Bottling Co... COKE 54.11 -0.05 (-0.09%) Hold
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