11-13-2012, 01:31 AM | #3015 | |
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Did a bit of a research on Jasonbondpick.
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11-13-2012, 01:48 AM | #3016 |
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It is certainly not a scam. This is the largest and most successful online chat forum where trading education is invaluable. The one post above is by a guy who got kicked out because he started some troubles that were against sec regulations so he made up some stuff. Just thought I would share the opp for people who are interested in learning trading and smart investing.
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11-13-2012, 02:00 AM | #3017 | ||
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11-13-2012, 02:01 AM | #3018 |
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Check again my friend
LOL
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11-13-2012, 03:08 AM | #3019 | ||
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11-13-2012, 07:25 AM | #3021 |
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MCP seems screwed for now. I got out of that one before it dropped. Silver and Gold saw a pullback recently as commodities and oil prices dropped. I am still bullish on Silver and SLV. On the dips I still buy and add Silver.
I expect a correction in the near future. Now is not the time to buy stocks and go long. We are near top and could crash or see a very good correction at any time now. With QE3 in tact though they could buy at any time and lift share prices and Indexes. Reality though is the economy in the US and Asia is quite bad as retail sales are bad in Asia and exports are very weak at this time. This will reflect on earnings big time and when earnings are bad stocks will correct. |
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11-13-2012, 08:18 AM | #3022 |
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hi guys, i know i'm not in here a lot, but i'm looking to get into some small scale stuff. i just want to start with a couple grand and get my feet wet.
i'm thinking of using scottrade, any other suggestions? or low dollar stocks to pickup?
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11-13-2012, 02:04 PM | #3023 | |
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11-14-2012, 12:40 AM | #3025 |
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Good luck. You should be good with that one. SLV may dip below 30 in the near term but I reckon it should head north after. I think the US wants oil prices to come down and when oil prices come down Silver and Gold should also come down as well as commodities move together at times.
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11-14-2012, 01:59 AM | #3026 |
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I've taken a pretty solid beating from about April until now. Pretty much because I had no time to longer manage my account and I kind of let things sit how they are hoping for the best.
Horrible decision! I ended up taking a huge hit and am now trying to decide whether I take my losses and pull out or whether I make a game plan and get back on top of things.
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11-15-2012, 01:50 AM | #3027 | ||
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This thread is dead...where are all the active traders at?
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11-15-2012, 06:43 AM | #3028 | |
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11-15-2012, 06:49 PM | #3029 | |
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I was at a high point around then so some loss of profits is to be expected and I kind of just sat through things thinking when I get a chance to get back into the markets I'll even things out. What sucks is in the past month I'm down 15-18%, so I think it's time to take action and not let my account sit around. I need to either withdraw and re-invest when I have more time or I need to start watching the markets again. The problem is that I don't have enough time to properly keep track of things and make informed decisions and I usually never enter a trade unless I'm very confident. I preferred the buy and sit tight for a year type of trades since I've been too busy and I guess my usual picks are no longer the right picks. Apple taking a nose-dive and being one of my larger holdings doesn't help my situation either haha. PS: I'm not a pro/skilled trader by any means
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11-15-2012, 09:05 PM | #3030 | ||
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11-15-2012, 11:15 PM | #3031 | |
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As for the markets, I think we might be in to take out 1325 or rebound sharply since we are so oversold, I just dont know the order. I am fairly positive this is the start of something nasty though. My advice for AAPL is liquidate 50% if you believe it might drop more, allowing you to average down later if it does. And if it doesn't, you still have 50% skin in the game to average in with. Maybe look into dividend stocks. At least if you took a -30% hit, it'd hurt less with a 7% dividend. Aside from that, where are my traders at? Long time. Today I had a great run. it was a down day so VXX returned +0.89%. I managed to micro-trade that gain into a +3.51% day. Not bad! 4x outperformed the underlying vehicle. Not sure what's gonna happen these days so I'm always position neutral into the close. It allows me to not stay up at night or give a damn what the futures are gonna do. Working wonders on my sleep cycle!
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11-15-2012, 11:39 PM | #3032 |
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I went short a little early(7/24/12) been moving from market to bond funds from early summer to current. 3 weeks ago finally went 100% bonds. Plan on entering market next year unless SP500/president can prove me otherwise.
Good time to pay down principal's on mortgage and dream about a 330D touring X drive, 6 spd manual... I'm very fortunate to have my employer match 6% on my Roth401k so even when I'm out of the market, there is still a return I'm getting.
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11-16-2012, 01:35 PM | #3033 | |
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besides trading how's everyone been!
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11-16-2012, 03:50 PM | #3035 | |
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