2014年10月6日星期一

10/06/2014 Daily Trading Routine

[General Market]
For big picture, market rally for a long time and get extreme bullish ( most recent long term sell signal) on early March this year. Since then there is correction on RUT and NASDAQ while SPY/DJ maintain well. Overall market is stuck in the range for 6 months with no serious correction or able to move higher.
    Index try to bounce last week but no follow through so far. All breath indicator in bearish mode. Just stay in cash unless a thrust tell you the direction of market.

[Anticipation List]
STRA WTW LEAF APOG SCLN SGMS ULTA HE AVNR
b/o from yesterday anticipation list
ALNY
b/d from yesterday
DEPO INFI

[Good Setups in past 5 days]
As I changed the liquidity filter from 100K to 30K, scan condition changed a little bit
Go though the list in TC2000: c/c4>1.08 and v>30000
Or go through the list in finviz: Weekly 10%+ move with voloume>50K
(1) CUDA, bottom fish
(2) LE
(3) OCRX, low price bottom fish
(4) SHLD, bottom fish

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