[General Market]
Finally we see a 300 day on down side. Interesting is also 200+ on up side. There is still active dip buyers. Anyway, overall action is not good, b/d list is long. Both long/short side is volatile.
Market Monitor
Industry Rank
[Swing Setup]
Best: LPCN CLFD MMSI PEGA NEOG
Rest: XUE ZGNX GLOB AMZN GPRO MX CASH PNRA TE UFPI HIG MAS CLI STRA AKAO
MA125: GLOB
B/o from yesterday: FTK
B/d from yesterday: DBVT INSY BRLI RDUS QLIK POZN IG HALO LOGM GWRE
Recent B/o MA: ANAC RARE EGRX ABCD SKX DY LGND
Good setups in past 5 days: CARA
[My Trading]
(1) GOOG
Exit today with 0.3R loss. Actually it does not look bad at end of day. But it is correct reaction when market plum inter-day and GOOG close to hit stop loss.
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