QUOTE(zamans98 @ Feb 17 2011, 12:19 AM)
u mean nok?maybe the strength is not yet there...be patient and caution too...stock like lvs,ne,fnsr,bg,agu,ftk are doing good now...US stock discussion v3, Double Bottom coming?
US stock discussion v3, Double Bottom coming?
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Feb 17 2011, 12:30 AM
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#21
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Feb 17 2011, 01:03 PM
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#22
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QUOTE(flight @ Feb 17 2011, 04:58 AM) in my opinion,this stock is not a good buy..very negative sentiment there,and the chart looks horrible,u need more evident of strength in the stock to buy it...better find other stock to buy.for now,can watch the stock till it gain upward momentum..Added on February 17, 2011, 1:10 pm QUOTE(danmooncake @ Feb 17 2011, 10:50 AM) Not anymore.. I'll stay away for a little while for that one. But, I like FFIV. good point ,ffiv is gaining momentum...i sell the lvs march put option,gain 60% now,is there any reason for me to cover?Beaten down first but managed to recover. Wait for little while and see if institutions would buy CSCO first. LVS - Beaten down 2 weeks ago, but coming back, trying to close that gap. It will face strong resistance in the 50-52 area. This post has been edited by kelynn: Feb 17 2011, 01:11 PM |
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Feb 17 2011, 06:27 PM
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#23
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Feb 17 2011, 06:52 PM
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#24
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69 posts Joined: Sep 2010 |
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Feb 18 2011, 10:51 AM
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#25
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69 posts Joined: Sep 2010 |
NE whooping up with +1.38 to 41.33
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Feb 24 2011, 11:13 PM
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#26
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69 posts Joined: Sep 2010 |
bought atpg march call with strike price at 11 yesterday,enter at 0.92,finally the stock keep moving up now...yesterday the stock was beaten down even the other stock in the oil sector was moving higher and higher....i almost sold every stock exact NE,omit some of my profit thanks to libya...hope atpg can compensate my loss
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Feb 26 2011, 07:17 AM
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#27
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Feb 26 2011, 01:55 PM
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#28
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QUOTE(ronn77 @ Feb 26 2011, 11:24 AM) Yea, it's just about timing that any stocks u have bought 2 days ago should be able to gain something. My target is $1 if I'm not too greedy for this short-term holding as the Libyan issue still around and may affect the current movement. ic,em,as long as it rise up don sell...just put protective stop to protect ur money...if the libya issue continues,should put money in oil related stock,gold or in cash...this is my opinion lo... |
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Feb 28 2011, 11:49 PM
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#29
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Mar 2 2011, 01:50 AM
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#30
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buying more oil stock..
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Mar 2 2011, 02:18 AM
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#31
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Mar 4 2011, 06:17 AM
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#32
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sell my atpg option,really don like its action,indecisive and lagging..keep APC and SGY,have watch a few name like OPEN,BORN...see their action today,so impressive!!
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Mar 4 2011, 06:10 PM
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#33
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QUOTE(ante5k @ Mar 4 2011, 05:57 PM) u look into fundamental or technical analysis?Added on March 4, 2011, 6:15 pm QUOTE(ante5k @ Mar 4 2011, 05:57 PM) u look into fundamental or technical analysis?Added on March 4, 2011, 6:28 pmwhy forumer here love c so much?? This post has been edited by kelynn: Mar 4 2011, 06:28 PM |
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Mar 4 2011, 09:28 PM
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#34
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eyeing on BORN,OPEN,BZ to enter,too bad BORN do have option...
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Mar 5 2011, 05:40 AM
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#35
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69 posts Joined: Sep 2010 |
sold out APC,SGY still in portfolio,buy call for OPEN,today the market is giving out all yesterday gain,i also give back gain...really ridiculous...maybe i should do day trading....this market can no longer long the stock esp if trading option...one day bull dance on the floor to celebrate its victory,the next day bear is giving his revenge on the bull
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Mar 7 2011, 11:05 PM
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#36
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69 posts Joined: Sep 2010 |
sell OPEN for small gain,bought ATPG and EGO call for short term play,keep SGY
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Mar 9 2011, 06:23 AM
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#37
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i have a question,is the option price lag the stock price?or the stock price lag option price?or it is the same?
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Mar 9 2011, 12:50 PM
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#38
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QUOTE(danmooncake @ Mar 9 2011, 09:18 AM) Option price is the differential between the premium and the strike price. Option price is based on intrinsic value and time. It will move only if there is volume (or interest). it is said in book also like that...i think i need to know more about it,thanks danmooncake..maybe need to read how the option is pricing...newbie to option...sold all of the option call cuz drop in price too much...very volatileThis post has been edited by kelynn: Mar 9 2011, 01:05 PM |
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Mar 13 2011, 07:24 PM
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#39
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Mar 17 2011, 03:29 AM
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#40
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QUOTE(danmooncake @ Mar 16 2011, 10:58 PM) Damn analyst (JMP) downgrades AAPL citing possible supplier shortage or sales issue in Taiwan that could/may affect AAPL sales of iPhones. What a crook. They're holding AAPL price here before opex cheap to load up big time. it always happen,the analyst is not working for us...maybe now is the time to look at the refiner,like WNR... |
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