2014年8月15日星期五

08/15/2014 Daily Trading Routine

[General Market]
For big picture, market rally for a long time and get extreme bullish on early March this year. Since then market stuck in the range. Divergence happens on small caps and big caps. Looks we are in a top forming. A 20% kind of correction will likely to happen some time in future and welcome. If that happen I can re-invest in 401K.
    For short term, no serious buying or selling. Secondary indicate just turn green with weak buying. Today, there is a sell on news, many b/o fail inter-day. Daily breath still positive. On index, COMPQX is close to marginal high, Russell is worst while Dow seems to join the bear party. My bias in on bearish side, unless see significant buying pressure (300+ day).

[Anticipation List]
HNRG VPRT LEAF TREX PGTI PII QLIK SPR UA BIDU

[Good Swing setups in last 5 days]
Go though the list in TC2000: c/c4>1.08 and v>100000
Or go through the list in finviz: Weekly 10%+ move with voloume>100K

Not too many good setups, none can be anticipated. There are some duplication as yestoday.
(1) BALT
(2) DSX
(3)GURB
(4)TNAV

(5)ZFC


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