Archive: January, 2012

BEAR WITNESS: TUESDAY EDITION

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Here’s what caught my attention today.

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A FASCINATING INTERPRETATION OF THE VIX & PUT/CALL RATIOS: VOLUME 2

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Per the usual, conventional wisdom regarding these two indicators is way off base here.

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BEAR WITNESS: MONDAY EDITION

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The items that caught my attention in today’s market action.

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9 CHARTS THAT WILL HAVE YOU DANCING BETTER AND SMELLING GOOD DURING THE WEEK AHEAD

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The 9 charts that matter during the week ahead.

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THE GUN: SOME VERY SIMPLE REASONS WHY SPRT IS BUY HERE

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A small-cap software company with reliable potential.

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10 THOUGHTS THAT CUT THROUGH AND CLARIFY THE CURRENT MARKET PICTURE

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Examining where the market currently stands.

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INVESTMENT SUICIDE PRACTICED DAILY THROUGH TWITTER

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An abundance of information can prove harmful

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I DO IT ALL ON A WHIM

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My best friend I have known since I was 8 years old calls me whimsical.

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6 WEEKLY CHARTS THAT WILL ALLOW YOU LOVE AGAIN DURING THE WEEK AHEAD

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The 6 weekly charts that matter during the weeks ahead.

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A LESSON IN TRENDING MARKETS AND INVESTOR FORGETFULNESS

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Both seem to be in play here.

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INVEST OR DIE: THESE TWO LITTLE PIGS HAVE WINGS

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Two undiscovered companies that are worth a look.

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6 CHARTS THAT PAINT A CRYSTAL CLEAR PICTURE FOR THE MARKETS DURING THE WEEKS AHEAD

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The 6 charts that matter in the weeks ahead.

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THE GUN: AN INVESTMENT OPPORTUNITY EMERGES IN PRGS

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An old school software company with a history of producing results.

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14 YEARS OF WAFFLING

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And counting……….

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SURPRISE: CALL BUYERS RETURNING TO THE MARKET MAY NOT BE AS BEARISH AS ADVERTISED

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Under the right set of circumstances, call buyers are rewarded for their return.

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A WORD TO THE WISE: STAY OUT OF YOUR OWN WAY

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Low volatility demands investors to allow their money to work for them.

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THIS STUDY MAY PROVIDE THE FINAL WORD ON THE PATH OF THE MARKETS FOR 2012

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The data that follows is difficult to refute.

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A FASCINATING INTERPRETATION OF THE PUT/CALL RATIO: VOLUME 1

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A different way to look at the put/call ratio yields interesting results.

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JANUARY 10th: PORTFOLIO UPDATE

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In the premarket, out of TZA for a roughly 2 point loss. Out of FAZ for a roughly 4 point loss. Holding SCO only.

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A CONTINUED LACK OF VOLATILITY WILL DEMAND A CHANGE IN STRATEGY

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Volatility is a bear’s best friend. A lack of volatility can become a bear’s worst enemy.

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THE 4 CHARTS I’LL BE WATCHING DURING THE WEEK AHEAD

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Drawing some lines in the sand for the week ahead.

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JANUARY 6th: PORTFOLIO ALLOCATION

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Current allocation between all positions.

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NOTHING PUTS THE MARKET IN FOCUS LIKE EMBRACING EVERY BIT OF RISK

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Embracing risk is essential to improvement in the financial markets.

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3 ECONOMICALLY SENSITIVE AREAS THAT CONTINUE TO TELL US THAT EVERYTHING IS NOT ALRIGHT

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These 3 economically sensitive asset classes have continued languishing.

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JANUARY 3rd: PORTFOLIO POSITIONING

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Added to a short position today.

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QUICK THOUGHTS

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Some thoughts before the open.

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5 CHARTS THAT DEMONSTRATE THE INCREASINGLY BULLISH SENTIMENT IN THE FACE OF PRICE EROSION

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A combination that serves up bearish possibilities in the weeks/months ahead.

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