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Old 03-18-2013, 01:29 PM   #8576
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Who was that...fucking crazy.
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Old 03-19-2013, 01:32 AM   #8577
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Looks like Sang Lucci's trade. Dude's a beast
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Old 03-22-2013, 07:04 AM   #8578
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BBRY's gonna have a huge 2 weeks

sooo lucky i sold my 15.50 calls at 1.3 before the huge fuckin dip

Last edited by exdee; 03-22-2013 at 02:26 PM.
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Old 03-22-2013, 03:38 PM   #8579
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BBRY's gonna have a huge 2 weeks

sooo lucky i sold my 15.50 calls at 1.3 before the huge fuckin dip
Nicely done.
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Old 03-26-2013, 12:53 PM   #8580
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LOGM is a good buy, i bought 1900 shares 1 week ago and is on the raise
Are you still in?
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Old 03-26-2013, 06:06 PM   #8581
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anyone know what's going on with CUU?

they had a PR about doing an assessment done to get power to the mine with Hydro, and the price drops? or is that just the overall market?

thanks
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Old 03-27-2013, 08:55 AM   #8582
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What y'all think going to happen in the market today guysss
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Old 03-28-2013, 12:06 PM   #8583
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holy shit.

grains down majorly on the report.

wheat down 7%
corn 6.10%
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Old 03-28-2013, 05:28 PM   #8584
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First trade back from Vacation, holding short over long weekend via Long VXX April calls & Next week SPY puts for only 1 simple reason, market making new highs all tech & financials and many other internals all red!
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Old 03-29-2013, 04:12 AM   #8585
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LOL!



Spoiler!
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Old 04-01-2013, 07:01 AM   #8586
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RUG PULL!! mwhahaha
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Old 04-04-2013, 09:29 AM   #8587
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100 fb 26.5P weeklies @ .31 cents... lol 30minutes..

and thats how u piss away money! lol

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Old 04-08-2013, 07:07 AM   #8588
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Ottawa’s bank ‘bail-in’ talk spooks investors

Canada banks: Ottawa’s ‘bail-in’ talk targets debt holders | FP Street | News | Financial Post

No way they will do to us what they tried to do in Cyprus, right?
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Old 04-08-2013, 10:04 AM   #8589
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Ottawa’s bank ‘bail-in’ talk spooks investors

Canada banks: Ottawa’s ‘bail-in’ talk targets debt holders | FP Street | News | Financial Post

No way they will do to us what they tried to do in Cyprus, right?
With credit card surcharges being considered, who knows what they will do
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Old 04-11-2013, 08:15 AM   #8590
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Been a while since I posted, took a new job and I'm too busy to invest (Aka "Online Gambling").

I picked up another 2200 shares of AMRN this morning @ 7.63, bring my total AVG down a bit but the hope and dream on this is that the FDA will actually make a decision this month about NCE... (I've said that before.. for like the last 8 months hahaha)
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Old 04-11-2013, 11:52 AM   #8591
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I don't know if anyone follows Mannkind, but its been going on a tear. I bought in around $2 mid December, now at $4+. One of the better choices I made last year lool.

After seeing some of the dudes playing options on here I started reading up on it and testing some weekly/monthly strategies out a few months ago using play $ account. Bought 50 NKE April 20 60$ calls last week. Sold today +40%. Hopefully I'll end up making some money this year lol
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Old 04-11-2013, 03:32 PM   #8592
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ROFLMAO please don't tell me you're talking about MNKD
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Old 04-15-2013, 06:26 PM   #8593
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Who's bearish tomorrow ?

There's money to be made off this bombing scare.
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Old 04-15-2013, 07:50 PM   #8594
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I'm thinking about adding some ABX/GG/TECK to my longterm portfolio...do you guys think its too early???
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Old 04-15-2013, 08:06 PM   #8595
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Who's bearish tomorrow ?

There's money to be made off this bombing scare.
money was to be made today, i bet we bounce very fucking hard

i bet so many shorts piled in deep today, they gonna squeezeee emm

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Old 04-16-2013, 01:49 AM   #8596
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money was to be made today, i bet we bounce very fucking hard

i bet so many shorts piled in deep today, they gonna squeezeee emm

Oh yes, you do play weeklies, hope u time the bounce ur looking for.

I'm looking for a bit of a longer play.

My analysis of the DOW 30:

- Hanging man showed up on Friday
- Bearish confirmation showed up today with the black candle.
- Stochastic and MACD is on that phantom downtrend




Please focus on the dotted channel lines. The rest of the lines are from the 5 year chart I was messing with.

Combine this with the following Economic Data Results from last week
- slightly lower than expected US Consumer Sentiment
- slightly lower than expected US PPI (deflation ??)
- lower US Retail Sales

My analysis: once that support channel is broken, I'm going to make a bearish trade against the dow.
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Old 04-16-2013, 01:56 AM   #8597
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i wanna be short too
but just caution... see the first "break down" in that dotted line you drew. a fake out. watch out for those.
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Old 04-16-2013, 02:11 AM   #8598
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^
i wanna be short too
but just caution... see the first "break down" in that dotted line you drew. a fake out. watch out for those.
That's what I'm fearing too. Perhaps an Entry level 5 % below the support dotted line then I'm good ?

Man, I feel like I'm speculating right now. The Market feels "frothy". Lots of bubbles left.
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Old 04-16-2013, 10:26 AM   #8599
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Oh long term, yea.. I think yesterday was a shake out and bear trap, if we close at highs today, i see another 20 points in short term to upside, then the short around spx 1600~... timing is key, i bet you are right on ur short thesis will, its all about the timing haha
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Old 04-16-2013, 10:53 AM   #8600
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Oh long term, yea.. I think yesterday was a shake out and bear trap, if we close at highs today, i see another 20 points in short term to upside, then the short around spx 1600~... timing is key, i bet you are right on ur short thesis will, its all about the timing haha
I like the call you did on the short squeeze today. Hope you made some $$ on that.
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