Monthly Archives: December 2011

Dec 12 – Dec 16 Summary

The S&P 500 has changed from 1,255.23 to 1,219.66 (-2.83%). My portfolio value has changed from $56,233.66 to $61,486.39 (9.34%). I’ve achieved my goal of making 100% gain on the first year of swing/day trading by being disciplined and following trading good practice.

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Outlook for Dec 16

Watch out for potential reversal due to inverted hammer. Volume, however, hasn’t confirmed. Need to check on follow through.

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Outlook for Dec 15

With disciplines, I achieved my goal today, marking 107% YTD gain. I can’t be happier . More details on lessons learned, trading methods..etc will be shared on this week summary report. Stay tuned!

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Outlook for Dec 14

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Outlook for Dec 13

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Outlook for Dec 12

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Dec 5 – Dec 9 Summary

The S&P 500 has changed from 1,244.96 to 1,255.23 (+0.82%). My portfolio value has changed from $58,011.46 to $56,233.66 (-3.06%)

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Outlook for Dec 9

According to my indicator, today’s pull back was just the first day of a short term down trend. Below are my guidelines for tomorrow. Nowadays news dominate markets sentiment, so we will need tomorrow price actions to confirm this. Nevertheless rebound if any is … Continue reading

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Outlook for Dec 8

Hope continues to dominate US market sentiment, so it’s still going to be a range day tomorrow I guess.

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Outlook for Dec 7

Today price actions confirmed my first part of path B. Will it continue the pull back to test target B? Or another range day to test target A? Markets seem to be in wait and see mode for the result from EU summit on Friday. So am … Continue reading

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