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全部话题 - 话题: leveraging
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T**********r
发帖数: 1223
1
【 以下文字转载自 Military 讨论区 】
发信人: TradeSmarter (Smarter), 信区: Military
标 题: 国人之愚蠢,看看这个稀土报告就知道了
发信站: BBS 未名空间站 (Thu Oct 14 22:22:08 2010, 美东)
http://web.stratfor.com/images/writers/CHINA_RARE_EARTH_ELEMENTS.pdf?fn=9617327557
China and the Future of Rare Earth Elements

October 14, 2010
clip_image002
STRATFOR
PDF Version
* Click here to download a PDF of this report
A recent diplomatic spat between China and Japan has heightened territorial
tensions and called attention to China’s growing... 阅读全帖
l******u
发帖数: 3169
2
不要忘了single property没有diversify任何随机和地域风险,reit和reit fund我觉
得更靠谱些。。。
你计算房子的cost算depreciation了么?为什么选择residential而不是commercial
properties?而且房子的收益leverage之后跟没有leverage的其他instruments比是不
公平的。

过去的一个DECADE 是BOND 的牛市, 在未来的几年, 恐怕很难再指望BOND 每年将近
10%的收益了。
内,都很难说是很好的 INFLATION HEDGE。不过, 因为拥有STCOK 也是拥有对上司公
司拥有的一部分HARD ASSET的CLAIM, 长期看,STOCK是比BOND 更好INFLATION HEDGE
。至于在INFLATION 的环境下,究竟购买什么样的STOCK 最 MAKE SENSE, 我希望以后
发贴详细探讨。
购买 RENTAL PROPERTY 出租。首先我们现在还处于美国房市很多年的一个低谷,房子
的按揭贷款利率也仍然相对较低。 其次, 统计资料, 很多美国人失去自己的HOUSE... 阅读全帖
s********u
发帖数: 1054
3
来自主题: Stock版 - 2x, 3x ETF
有 LEVERAGE 的ETF TRACK UNDERLYING 的 INDEX, 但是它一般只可以保证每天的涨跌 MATCH 它追踪的 INDEX。 我们来看一个很简单的例子。假设 DAY 1 DOW 收盘时 是10000, 而你在收盘时买了10000元的DOUBLE DOW。DAY 2 DOW 涨到 11000, 10% 的GAIN。 那么 你买的DOUBLE DOW 涨到 10000*(1+2*1/10)=12000。假设DAY 3 DOW 跌到 10000,一个 大概 0。091 的LOSS。 这样 你买的 DOUBLE DOW DAY 3 的 VALUE 是 12000( 1-2/11)=9818。12。 这样 DOW 是 FLAT 的, 但是 DOUBLE DOW 已经让你亏损192元。
同样的原理对 INVERSE 的ETF也成立。 MARKET 越VOLATILE,LEVERAGE 用的越多, 时间越久,TIME DECAY 越厉害。 最后举一个实际的例子。2009年 上半年,追踪FIANNCIAL SECTOR 的 ETF XLF GAIN, +0.9%, 但是3 T... 阅读全帖
l***o
发帖数: 38
4
来自主题: Stock版 - 2x, 3x ETF
No offense, but none of the equations above are entirely accurate. One day's
gain of Delta (d) followed by a day of loss of the same amount (-d) on the
base amount of (b) gives you:
1 + X*d^2*(1-X) / [(b+d)*b]
where X is the leverage. Notice the factor(1-X) in the nominator of the 2nd
term. This formula sets you up for a guaranteed loss whenever X is greater
than 1 in a market of continued flatness.
Totally agree that 横盘 is a slow poison for leveraged ETFs.
w***w
发帖数: 6301
5
来自主题: Stock版 - 我的emini模拟操作
好处:
1.作大盘不碰个股,避免大盘升个股反而跌的情况。
2.leverage大,做的好能比股票赚的多。
3.进出方便。手续费便宜。
坏处:
风险大。leverage高,做错了会亏很多。
w***w
发帖数: 6301
6
来自主题: Stock版 - 我的emini模拟操作
"dow指上下千点"那个时候是什么环境?
那个是强烈下降趋势,而且是volatility极高的时候。
现在是强烈上升趋势,而且volatility很低。
DOW一天跌千点在现在这个环境根本不会发生。
你查查这个月平均一天升跌幅,在这个环境下我才会加大leverage.
DOW一天跌千点的时候我肯定不会拿这么大leverage,而且肯定是做跌。
这市场前因后果你很多都搞不明白。这里面很多道理,不是一言两语说得清楚。我也没义务免费教育。而且我要是好心提点,还要反过来挨骂。所以说不通的事干脆就别说,市场就是最客观的裁判。
做人要客观一点,不要总把别人的成功归结于运气。
市场对每个人都是公平的。
O****8
发帖数: 514
7
来自主题: Stock版 - 坚定不移的做银虫
So, do you mean we shouldn't load gold/silver with any leverage? Or any
leverage do you recommend?
j***b
发帖数: 5901
8
There is nothing magical about shorting short etf. If you beat the market
this way, you do it by using leverage.
You earn the "loss of volatility" by using margin when the market goes down.
It's simply leverage.
B*******t
发帖数: 135
9
我知道可以leverage,比如下面网页里面列出的ROM
http://seekingalpha.com/article/30071-technology-etfs
但是这些个2x 3x的ETF起的作用只是leverage吧,比如本来10000块实现的exposure,如果
用2x的话现在5000块就可以实现了。但是同时把noise的那一部分也放大了。只要
portfolio没有本质上的变化,correlation并没有增强。
c*******9
发帖数: 9032
10
【 以下文字转载自 PDA 讨论区 】
发信人: Andreas (老中在美国,10年就变joke), 信区: PDA
标 题: Re: 我猜ipad 2硬件应该很不错
发信站: BBS 未名空间站 (Thu Feb 24 18:54:05 2011, 美东)
动不动就拿股票说事儿
股票这东西,market price of risk在那摆着,市场是efficient的,股价高说明了什
么?自己用脚指头想想。。。所有说苹果股票好的,自己都把这句话抄下来,5年以后
回味一下,10年以后再回味一下
另外插播点技术细节:我老夏天的时候跑了一堆公司的asset/debt的leverage,果果根
本不敢发债券,我老就给果果试了一把30%的leverage,结果果果的债券算下来连B-的
rating都拿不到,懂的人自己想想为什么把。算法参考Moody's KMV,具体的不能再透
露了。
j***b
发帖数: 5901
11
来自主题: Stock版 - 捂烧FAS
我觉得烧三倍指数还是风险太大。这东西其实就是跌了加仓。属于靠leverage的东西。
很多人都说烧faz怎么赚钱。其实烧faz赚钱的原因很简单,就是因为09年以来大牛市造成的。不烧faz,而是做long同样转。short faz想beat long唯一办法就是仓位超过1/3.那就还是leverage.
i**********0
发帖数: 73
12
来自主题: Stock版 - 捂烧FAS
同时烧这种3倍的在market波动大的时候是非常好的策略。他们每天recalibrate
portfolio, loss就是realized loss, 而且他们还是3倍的leverage. 长期下来这种东
西都会归零的。

造成的。不烧faz,而是做long同样转。short faz想beat long唯一办法就是仓位超过1
/3.那就还是leverage.
a*****e
发帖数: 1717
13
来自主题: Stock版 - some of my experiences
ES- four fixed leverages
ES options - series of leverages to choose from
f*****x
发帖数: 675
14
来自主题: Stock版 - compare options with stocks
IMO,the only difference is 股票跟option一个leverage 小,一个leverage大,
that is it.
股票也 可以同时做两边儿
股票也 可以让你chip in 来小bet
股票也 可以做hedge
。。。。
x******g
发帖数: 33885
15
来自主题: Stock版 - 2011-2012年度美国股市方向
The overwhelming conclusion is that of stocks remaining in a MULTI-YEAR BULL
MARKET that is being driven higher by a number of fundamental factors such
as corporate earnings OR Fed MONEY PRINTING (POMO). It does not matter which
is prevalent at a particular point in time as the market SPIRALS HIGHER in
reaction to waves of INFLATIONARY buying pressure, something that the dark
pools of capital recognised right at the birth of the Stocks Stealth Bull
Market in March 2009 (15 Mar 2009 - Stealth Bul... 阅读全帖
w********1
发帖数: 3492
16
来自主题: Stock版 - 金子又突破了
这里没有股神。。
不过好几个人在看emini,包括纸交的。
大盘指数的期货看来是比较稳重的了,算是在stock和options的杠杆中间。(不考虑时
间decay)
其它几个大宗商品的不应该是这里多讨论的,仔细看了leverage,实在太大了。
leverage 上拿今天来说
银子保证金是1个2万多。multiple 5000,
今天最多跌了6点,就是3万?也就是满舱银子期货的,几分钟内就得被强行平仓了?
(没细算,可能有错误)
j***b
发帖数: 5901
17
来自主题: Stock版 - short三倍反向etf一个问题
2009年的时候反向3倍etf最多涨到4倍。这就意味着只能用大约1/7的仓位short才能挺过去。而尽管只用1/7的仓位,情况最糟的时候帐号掉了3/7,而且那时候leverage已经是3倍。而你如果直接全仓long的话,那最糟的时候也就是打个对折,差不了多少,而leverage还是1。而用1/7仓位short 3x reverse etf的利润只相当于大约半仓。

you
j***b
发帖数: 5901
18
来自主题: Stock版 - option一不小心就外婆呀!
This is misleading.
Options don't wipe you out, leverage does.
You can play option all the time with minimal risk as long as you don't use
leverage.
a*****e
发帖数: 1717
S*********g
发帖数: 5298
20
来自主题: Stock版 - 贴一个业余时间做的练习
用了2个简单技术
1)很简单,很naive的data mining来预测第二天的涨跌。这部分单独运行的话,本身也
是赚的,不过曲线没这么smooth。08年那段,和TA组合之后,drawdown小了很多。 这
部分需要两个个参数,一个是用来training的时间长度,一个是分cluster时候的参数。
没有对这2个参数进行优化,参数的选择基本上是拍脑袋选的。
2)很简单的TA来决定long还是short,这里有一个参数。这个参数也是没有经过特别的
优化,效果还是相当robust的。TA这部分是很久以前就做完了的,算式out of sample
test了一段时间了。这个部分单独运行的话,在2002年之前本来是小亏的。 Data
mining部分把2002年之前亏钱的变成了持平或者小赚。11年data mining部分基本不改
变TA这部分的效果。
所有trade在close的时候做,不做day trading。
另外解释一下第三张图里的leverage的意思,position = leverage * AUM / price
u********e
发帖数: 4950
21
来自主题: Stock版 - 讨论:如何低风险吃Time Decay
Totally agree.
The way those fund to get "3X" is to use leverages and it will always cost
to get the "3X" leverage. So I believe "FAZ" does have to pay time premium
to get the "3X". But I might be wrong.

to
u********e
发帖数: 4950
22
来自主题: Stock版 - 讨论:如何低风险吃Time Decay
I understand the daily settlement. The 3X ETF fund management has to do the
rebalancing to make sure the etf will have a promised 3X performance on a
daily basis compared to the underlines.
I guess my real questions is about "How does the 3X ETF get the 3X leverage
without paying the time value"?
Or in other words, it looks to good to be true that you can buy 3X etf get
3X up side profit room when the down side risk is still -100% compared to
buying the 1X etf. So there must be something the ... 阅读全帖
g****u
发帖数: 695
23
来自主题: Stock版 - 讨论:如何低风险吃Time Decay
No, they don't use anything complicated. They have to keep their
cost low. It's a simple leverage just like your margin account.
There is no point to use options.
The index won't drop 33% in a single day, at least that's their
assumption. If it ever did, everybody is busted anyway.

the
leverage
(
i****e
发帖数: 451
24
来自主题: Stock版 - 讨论:如何低风险吃Time Decay
It really depends on the model assumption and what the true stock market
behavior is.
If we assume on day t, the return of index is X_t, which are mean zero,
independent RV, then the expected return over T days will be
E( \prod (1+X_t) ) = 1.0 === E( \prod( 1 + 3*X_t ) ) (expectation)
This shows that if we are in an ideal/theoreticaly world where stock markets
are independent from day to day, then 3X leverage is fine to hold. The main
problem of the above assumption is that X_t will not be ind... 阅读全帖
w******s
发帖数: 16209
25
来自主题: Stock版 - Week of June 13-17, 2011
lol。看来紫荆口头说要拜师,心里还是不服气。咱们限定操作得size,1周时间,等我
回来后比赛,如果你输了就commit to 说好的一年半栽的。
靠卖自己的系统赚钱上c2 是不可能的,两个方法,一个是找人给你leverage,一个是
真的自动化卖给花街。
c2 上除非你一直是2,3个contract market order ,不然performance 不可靠。你如
果有信心,承担一定风险,你能拿到几百倍的leverage。
没事请花太多时间在c2上不值得,板上这两年一堆花街的,从扫地的到trading的,你
能找出一个觉得c2靠谱的么?

的。
l**t
发帖数: 6971
26

搞全民健保已经加了一次了,你老仔细看看。
中期选举之后他没了leverage,只好步步后退。不过Bush tax cut是要expire的,国会
就算通过法案extend,他也可以veto。所以剩下的一年半他有leverage。看他做的怎么
样吧。
c***1
发帖数: 3281
27
fas 是所谓的leveraged ETF.凡是leveraged ETF,长期hold的话除非是碰见了非常长
一段的trend,不然就算最后方向对了,还是亏了。跟option 的time decay有点像
o**y
发帖数: 3065
28
As we can see, recently the moves of equities are extremely volatile, which
is rarely seen in the past, except in 2008. One reason is that more and more
investors are leveraged, and taking more risk. Once the price moves towards
one direction too much, many people receive margin calls, and then cause
more severe movement towards that direction.
The reason why people nowadays are easier and easier to be leveraged is that
FED printed a lot of money to support the equities. Since I expect there
wil... 阅读全帖
o**y
发帖数: 3065
29
来自主题: Stock版 - Diversify很重要
我看大多数人还是没懂diversify的意义。如果只把钱放在美国股市,或者只放在
commodities都是很危险的事情。现在全球越来越一体化,只要有excess liquidity,
你根本无法知道钱会流到哪里。比如说,现在股市大跌,什么都跌,证明都是相关性极
高的。唯独金子很安全。不过也是暂时的,因为近10年来投资黄金的都是cash为主,没
有leverage,以金子现在的上涨速度,leverage会慢慢进去,衍生品会越来越多,
一旦出个什么消息打压黄金,短期内很可能跌个10%-20%的。
避开全球一体化风险的唯一办法就是发掘那些暂时没人过问的emerging markets,由于
经济还是不发达,和美国股市关联会比较小。以前这样的机会很多,现在也少的可怜了
。在我看来,只有越南是一个近期可以考虑买入的机会。日本股市也可以考虑,不过得
等到S&P500跌倒1000点的时候。
m*****P
发帖数: 1331
30
来自主题: Stock版 - 有做空欧洲的ETF吗?
总结了一下下文中提到的几个
做空的ETF
EPV 2倍杠杆 跟踪MSCI Europe Index 波动相对下面两个大
EUO DRR 也是两倍杠杆 两者趋势差不多 波动相对EPV小 因为跟踪的是currency
其他可以自己short的ETF 包括(文中提到的)
EUFN VGK 还有针对某个国家的 BUNL ITLY
还有楼下朋友nothintomind 提到的:
You could opt to short EWG (Germany), EWP (Spain), EWI (Italy), EWQ (
France)
==
做空欧洲的ETF:
http://www.indexuniverse.com/sections/blog/9911-shorting-europe
Related ETFs: EUFN / DRR / EUO / EPV / VGK / BUNL / ITLY
The European debt crisis is the financial story that refuses to go away, so
investors may as well figu... 阅读全帖
u********e
发帖数: 4950
31
☆─────────────────────────────────────☆
caoy (caoy) 于 (Thu Jun 9 00:14:19 2011, 美东) 提到:
我看了下昨天spy期权的收盘情况, spy收在128.4
Jul 15到期, strike=128的call收在2.5, put收在2.9
这个call的implied volatility是14%, put的iv是20%, 明显put高估
根据put-call parity等式: call+K/(1+r)=put + stock
所以就存在无风险套利:
short 128 put @2.9
buy 128 call @ 2.5, short stock @ 128.4
总共利润是 0.8 $ , 不管到期股价是多少
$0.8 / 128*12=9.3% 年化利润率
因为是无风险利润, 加杠杆!!!!
===========

这样套利空间就压缩了, 大概只有0.2, 只适合大资金搞了
call + K/(1+r) = Put + (stock-0.55)
☆─────────────────────... 阅读全帖
p********n
发帖数: 2046
32
来自主题: Stock版 - 诚恳的提醒想赚钱的同学
误导了,SPX向北TNA又不会向南,虽然股性不一样。
其实LEVERAGED ETF一样可以TRADE,只是一般人的口袋不够深罢了。
你无脑冷酷一堆,无非是口袋不够深。
TRADE LEVERAGED ETF跟你加大你的POSITION SIZE是基本一回事,仅此而已。
这不是你的COMFORT ZONE。不代表不是别人的。
另外,TA才行,FA不行?我知道至少直觉交易也是可行的。
s*****1
发帖数: 430
33
ETFs within this category:

Financial Select Sector SPDR Fund (XLF) Top 100
Direxion Financial Bear 3X - Triple-Leveraged ETF (FAZ) Top 100
Direxion Financial Bull 3X - Triple-Leveraged ETF (FAS) Top 100
ProShares UltraShort Financials Fund (SKF) Top 100
ProShares Ultra Financials Fund (UYG) Top 100
iShares Dow Jones U.S. Financial Sector Index Fund (IYF) Top 100
f*********9
发帖数: 1986
34
注意timing,在所有major banks ER 出来之前,花街的鼓手已经“三军未动,粮草先行
”了,又在开始鼓吹银行股了,是阴谋还是阳谋?各位看官说说。
The financial industry is in far better shape than the stocks in the sector
would lead you to believe. Financials are the worst-performing sector in the
Standard & Poor's 500 index so far this year, with a decline of more than
20%, and losses of 40% or more in such notable stocks as Bank of America,
Citigroup, Goldman Sachs and Morgan Stanley. The S&P 500 is off just 3%.
The stocks -- major banks, regional banks and ... 阅读全帖
g***c
发帖数: 11523
35
By MarketWatch
FRANKFURT (MarketWatch) -- German Chancellor Angela Merkel on Tuesday told
members of her center-right Christian Democratic Union party that a Sunday
summit of European leaders will produce a "work plan" for Greece, possibly
including a permanent "troika" to monitor its debt situation, Reuters
reported, citing unidentified party sources. Merkel also reportedly said
that leveraging the 440 billion euro ($602 billion) European Financial
Stability Facility, or EFSF, through the Europ... 阅读全帖
h****g
发帖数: 312
36
看看这个班上这么多bash这个捧那个的贴子,why?无论股票外汇还是期货,首先要把
它当成你自己的bussiness。你开个钢厂会因为某某人说做塑料花好挣钱就从头来过?
同理,如果你相信某某大师,你就跟,输了别骂人,骂自己眼瞎吧。如果你不信,你就
当他是街上算命的瞎子,不理他就是了。其实投机不难,难的在于战胜自己。
1.我可以赔多少钱,我的承受能力在哪里。你的投资basket和你的仓位就清楚了。作为
散户,永远不要重仓!soros或者john paulson是会重仓,但是你看到他们对冲的仓位
了吗?
2.下面再决定是long term,mid-term or short term.long term midterm偏FA,short
term偏重TA。
3.如果是期货,选好种类股指,commodity or stock。最重要的是注意cover。如果是
外汇注意止损。这两个都要用leverage。前者仓位太重,后者波动大。散户要注意。
leverage 更高的投资工具建议不要参与,理论上讲散户基本上铁赔。如果是股票市场
,选好板块,再选个股。如果资金充裕,就建一个basket,以免鸡蛋... 阅读全帖
p****a
发帖数: 4829
37
Yes, there are other tools. But I like the flexibility of its leverage and
near zero time decay cost (bottom line, you need to have control of how much
leverage to use. So it is not recommended for new frogs.). So typically I
do not prefer 3X etf.
d*********2
发帖数: 48111
38
no, 我预想是summit上讨论efsf的leverage放好消息, 周三决定bailout size.
结果summit上先决定推给银行。
主要是欧洲几个小国, 瑞典荷兰推动的。
之前新闻上诱导小国希望看到欧元区稳定, 现在看来小国还是关心自己不要出钱。
今天的是confirmed bad news, 看明天德法讨论efsf leverage有什么眉目没有。
M*****8
发帖数: 17722
39

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*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: HUM AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 87.1400
STOCK RATING: ESSENTIALLY NEUTRAL
Short-Term Price Potential is DOWN: -0.8073 (-0.90%)
Short-Term Price Target: 86.3327
At Price Target, profit is 9.2644 on $1000 investment. (+0.93%)
Close out >= half of your short position at about 86.3327
There is a ... 阅读全帖
M*****8
发帖数: 17722
40

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*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: GOL AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 8.2500
STOCK RATING: ESSENTIALLY NEUTRAL
Short-Term Price Potential is DOWN: -0.2735 (-3.30%)
Short-Term Price Target: 7.9765
At Price Target, profit is 33.1515 on $1000 investment. (+3.32%)
Close out >= half of your short position at about 7.9765
There is ... 阅读全帖
M*****8
发帖数: 17722
41
For those curious about them:
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: GOOG AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 608.8000
STOCK RATING: MODESTLY BEARISH
Short-Term Price Potential is DOWN:-13.9346 (-2.30%)
Short-Term Price Target: 594.8654
At Price Target, profit is 22.8886 on $1000 investment. (+2.29%)
Close out >= half of your short position at about 594.8654
There is... 阅读全帖
M*****8
发帖数: 17722
42

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稍后我会给些价格低的。
CBI:
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: CBI AS OF 20111108 (YYYYMMDD)
CLOSING PRICE ON 20111108 was 37.7000
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 0.0928 ( 0.20%)
Short-Term Price Target: 37.7928
At Price Target, profit is 2.4615 on $1000 investment. (+0.25%)
Close out >= half of your long position at about 37... 阅读全帖
M*****8
发帖数: 17722
43

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*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: ANF AS OF 20111109 (YYYYMMDD)
CLOSING PRICE ON 20111109 was 56.2500
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 0.8911 ( 1.60%)
Short-Term Price Target: 57.1411
At Price Target, profit is 15.8418 on $1000 investment. (+1.58%)
Close out >= half of your long position at about 57.1411
There is a small ch... 阅读全帖
M*****8
发帖数: 17722
44
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: PCLN AS OF 20111109 (YYYYMMDD)
CLOSING PRICE ON 20111109 was 536.5500
STOCK RATING: MODESTLY BEARISH
Short-Term Price Potential is DOWN:-14.2034 (-2.60%)
Short-Term Price Target: 522.3466
At Price Target, profit is 26.4717 on $1000 investment. (+2.65%)
Close out >= half of your short position at about 522.3466
There is a small chance of price reach... 阅读全帖
M*****8
发帖数: 17722
45
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: AMD AS OF 20111109 (YYYYMMDD)
CLOSING PRICE ON 20111109 was 5.4000
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 0.1435 ( 2.70%)
Short-Term Price Target: 5.5435
At Price Target, profit is 26.5741 on $1000 investment. (+2.66%)
Close out >= half of your long position at about 5.5435
There is a small chance of price reaching ... 阅读全帖
M*****8
发帖数: 17722
46

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*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: ACI AS OF 20111111 (YYYYMMDD)
CLOSING PRICE ON 20111111 was 16.9600
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 0.6701 ( 4.00%)
Short-Term Price Target: 17.6301
At Price Target, profit is 39.5106 on $1000 investment. (+3.95%)
Close out >= half of your long position at about 17.6301
There is a small cha... 阅读全帖
M*****8
发帖数: 17722
47

..................
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: CBI AS OF 20111111 (YYYYMMDD)
CLOSING PRICE ON 20111111 was 38.8200
STOCK RATING: ESSENTIALLY NEUTRAL
Short-Term Price Potential is DOWN: -0.6792 (-1.70%)
Short-Term Price Target: 38.1408
At Price Target, profit is 17.4961 on $1000 investment. (+1.75%)
Close out >= half of your short position at about 38.1408
There is a small... 阅读全帖
M*****8
发帖数: 17722
48

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TODAY'S MARKET IS UNDER WALL STREET BEAR RAID
THEREFORE PAY ATTENTION TO THE BEAR RAID TARGET BELOW
FOR PROPER GUIDANCE, I.E. THE LINE STARTING:
"In case of bear raid, expect the next bottom ....."
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: CMG AS OF 20111118 (YYYYMMDD)
CLOSING PRICE ON 20111118 was 311.3900
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potentia... 阅读全帖
M*****8
发帖数: 17722
49

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多数股票是在被打压的情况。
i.e. Bear Raid
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: ISIL AS OF 20111122 (YYYYMMDD)
CLOSING PRICE ON 20111122 was 10.3300
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 0.4524 ( 4.40%)
Short-Term Price Target: 10.7824
At Price Target, profit is 43.7948 on $1000 investment. (+4.38%)
Close out >= half of your long position at about 10.78... 阅读全帖
M*****8
发帖数: 17722
50

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*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: BRCM AS OF 20111202 (YYYYMMDD)
CLOSING PRICE ON 20111202 was 29.9900
STOCK RATING: MODESTLY BEARISH
Short-Term Price Potential is DOWN: -0.5611 (-1.90%)
Short-Term Price Target: 29.4289
At Price Target, profit is 18.7096 on $1000 investment. (+1.87%)
Close out >= half of your short position at about 29.4289
There is a sma... 阅读全帖
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