QUOTE(zamans98 @ Apr 21 2010, 09:36 AM)
AAPL was halted i think. I read reports of it shot back to 260+.US stock discussion v2
US stock discussion v2
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Apr 21 2010, 09:39 AM
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#21
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Apr 21 2010, 09:44 AM
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#22
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QUOTE(danmooncake @ Apr 21 2010, 09:42 AM) Yes, AAPL shot up to 265 after hours and came back down. O. So fast went back down. Pre-reports winners sold to post-reports loser. Haha.Lots of uncertainty after hours trade esp. during earnings period with extreme high volatility. Market market usually turn up the knob to spike interest and then dump from the top for those queuing below. |
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Apr 21 2010, 09:55 AM
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#23
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QUOTE(danmooncake @ Apr 21 2010, 09:53 AM) That's why, don't trust or trade after hours esp. during volatile days. MM usually plays on people emotion and momentum. Someone has pocket huge tonight based on Apple earnings and somebody else has lost a huge chunk too. Thanks for the advice |
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Apr 21 2010, 09:43 PM
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#24
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External factors la. Can't only rely on US numbers alone to justify profit since all of them are global conglomerates.
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Apr 21 2010, 11:45 PM
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#25
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QUOTE(danmooncake @ Apr 21 2010, 11:25 PM) Looks like ERX hit the ceiling at 46 and bounced back down. The market is like, stucked. Signs of breakout, either south or north I've sold out at 45.5 with trailing stop. Dow hit 11150 but can't get over it. Market is looking for reason to pull back but not sure if it can get any today with all the 'good' earnings. Perhaps have to wait till jobless claims report tomorrow. I'm not surprise if we pull back below 11K, same like last year when we crossover to 10K, market pulled back below 10K multiple times and went higher. We have not got any correction yet since Feb. Another 10% would be good. I suspect it may not happen until all earnings are done by beginning of June. |
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Apr 22 2010, 11:48 PM
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#26
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I think its bear season already.
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Apr 22 2010, 11:54 PM
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#27
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QUOTE(danmooncake @ Apr 22 2010, 11:52 PM) Just a few bears just came out and took a peak at what's happening.. but not yet bear season. Dow is just a whisker away from the plunge to death Ok.. Dow went over -103 pts and S&P -12 now but majority of the stocks that I'm watching still pretty strong. C didn't even go below 4.77 - damn bullish.. |
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Apr 23 2010, 02:31 AM
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#28
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Apr 23 2010, 03:38 AM
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#29
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QUOTE(danmooncake @ Apr 23 2010, 03:25 AM) You may have to pay $50 for it by next month. This bull is relentless. I am considering to place a position, TCK or LVS? Hmm.Added on April 23, 2010, 3:27 am What?? No.. market still is very bullish. Plunge to death is like last year March.. not now. This is just a small hiccup, burping and has to let go some gas after eating too much. |
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Apr 29 2010, 11:59 PM
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#30
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This bull ain't dying. I am all out on BUY.
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Apr 30 2010, 12:27 AM
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#31
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Apr 30 2010, 10:39 PM
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#32
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May 1 2010, 12:30 AM
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#33
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Tug of war. Parties are just cashing in on the profit.
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May 5 2010, 12:34 AM
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#34
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Wooohoo my portfolio down 20%, nice!
Salary coming soon, time to attack! Plan to buy: TCK, ING, LVS, BP and of course more C. |
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May 5 2010, 02:13 AM
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#35
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May 6 2010, 12:27 AM
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#36
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QUOTE(danmooncake @ May 6 2010, 12:22 AM) Well, Nobody knows.. but you got to plan ahead. I was expecting we go down to see SPX 1150.. barely visible only, the PPT already kicked in their BUY button already. Lucky me, I got buy order for TCK @ 34 and STEC @ 12.65 already planned and was about to start short on some to hedge down. Today TCK is amazing! Let's see if can reach ur USD50 target or not. Haha.Oh well, let see how it goes.. we may have to sell into the rally this Friday. I plan to unload my overloaded batch of TCK once we reach 39/40 for safety reason. Good luck! |
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May 6 2010, 02:35 AM
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#37
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QUOTE(danmooncake @ May 6 2010, 12:53 AM) I think it will go to US50 within a year or so.. but I plan to hold some of the overspilled batch for short term only. Yea, all of us is waiting for the Papa Bear, since most stocks still far away their real bottom, buying now is really catching the knives. I think today's rebound (if any) is a mere fluke.The metals and mining stocks seems to have found a bottom and moving ahead of everybody else. I'm also seeing bounce in FCX too (big brother of TCK). Same goes for X. Bottom at 51. Picked up more at 53. As for poor BP.. the bulls doesn't want it to tank to 45. Very strong support below 50. But, this oil spill mess is not getting better yet. We shall see. Update: Oh dang..Got stop out from X @ 54.50 - small profit only. Update: 2:30am Oh crap again.. got kicked out from TNA @ 59.25.. small loss. Looks like bears aren't giving up. |
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May 6 2010, 11:21 PM
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#38
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QUOTE(danmooncake @ May 6 2010, 09:11 PM) Oh boy.... futures all red again. Euro went down another pip, greece still in turmoil getting worse, financial regulation in process - more unknown, Oil moves down to $78, Dollar moves up - 14 months high against Euro. Looks like storm isn't over yet.. Eventho jobless claims came in less but retail store Target missed est. I have some ING@10.58. Haha. Now only USD7+, good timing to double my ING portfolio.What else can we ask for? Perhaps we shall see and perhaps close below SPX 1150 or Dow 10700. That would meet my target for a 5%+ retracement from the top. Time to get ready to fire another batch of buys for longs. Added on May 6, 2010, 9:12 pm Great.. it hit 52 weeks low. Actually, I want LVS more than ING. Waiting for LVS to touch 21.50 or below. LVS has been pretty strong lately. A quick check across the gambling sector last week.. looks like people are going back to the casinos and resorts. This sector is indeed recovering. |
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May 7 2010, 02:05 AM
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#39
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May 7 2010, 02:54 AM
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#40
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All stocks are looking mighty attractive at this levels. If C goes below RM4, i sapu.
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