CathyC .: (12/3/2010 09:32) short tf 748
CathyC .: (09:33) stop 749.6
CathyC .: (09:42) movnig my stop up a few ticks to 749.9
CathyC .: (09:45) stopped out
CathyC .: (10:04) short tf 751
CathyC .: (10:21) exit half 747.5
CathyC .: (10:23) out half
CathyC .: (10:27) stop 749
CathyC .: (10:35) out balance at 749
CathyC . 2: (10:54) long tf 748.9
CathyC . 2: (11:12) stop 747.9
CathyC . 2: (11:28) exit tf at 749.3
CathyC . 2: (11:44) long tf 749.1
CathyC . 2: (11:47) stop 748
TomTheTrader ..: (11:59) 48.85 with a stop at 48.55 we will buy 20% long SSO here
TomTheTrader ..: (11:59) Main
TomTheTrader ..: (12:00) UPRO
TomTheTrader ..: (12:06) stops now at break even
TomTheTrader ..: (12:06) SSO 48.85
CathyC . 2: (12:10) take off half of tf at 749.7
CathyC . 2: (12:10) filled at 749.9
TomTheTrader ..: (12:14) 49.95 sell SSO for profits here SSO out at 49.95 Main
TomTheTrader ..: (12:14) Cash across the board
CathyC . 2: (12:15) stop749.3
TomTheTrader ..: (12:57) short 25% TF at 751.70 stop at 753.70
TomTheTrader ..: (13:05) IRA we will buy STI Suntrust banks here at 25.38 10% in IRA
CathyC . 2: (13:15) exit tf long at 752.5
CathyC . 2: (13:16) filled at 752.6
TomTheTrader ..: (13:26) IRA we will add AAPL at 316.70 and FAS at 23.84
TomTheTrader ..: (13:29) Main will add LULU here at 52.40 LULU will be our FOCUS stock of next week earnings Thursday
TomTheTrader ..: (13:29) 10% Long LULU in Main
TomTheTrader ..: (13:49) EEM we will add to main at 46.95 10%
TomTheTrader ..: (13:54) BBD we will add to IRA here at 10% 22.40
TomTheTrader ..: (13:55) SBAC we will add 10% to IRA at 39.70
TomTheTrader ..: (13:56) RSG we will add 10% to IRA at 28.65
TomTheTrader ..: (13:57) BIIB we will add to Main fund at 10% 66.75
TomTheTrader ..: (13:58) COV we will add 10% long to IRA here at 42.85
TomTheTrader ..: (14:01) TXT we will add to Main fund at 23.50 TEXTRON 10%
TomTheTrader ..: (14:03) MI we will add to 10% IRA at 5.50
TomTheTrader ..: (14:03) CFN we will add 10% to main
CathyC . 2: (14:06) short tf 753.2
TomTheTrader ..: (14:06) eman11 . (presenters): (14:06) Red Please more rows to the spreasheeet - Thanks
CathyC . 2: (14:07) fillled at 753.1
CathyC . 2: (14:17) stop 754.3 for now
TomTheTrader ..: (14:21) Traders will short 50% here to hedge our new portfolio over theweekend again we will short 50% ESZ10 here at 1219.00 stop 1235.00
TomTheTrader ..: (14:21) Main will add MMR here 10% at 15.20 MMR added to main
TomTheTrader ..: (14:22) BBD was 20.40
TomTheTrader ..: (14:22) sorry
TomTheTrader ..: (14:22) not 22.40
TomTheTrader ..: (14:22) My prop signals tell me to be 70% long IRA
TomTheTrader ..: (14:23) 70% long main
TomTheTrader ..: (14:23) and 50% short in Traders 1-5 days
TomTheTrader ..: (14:23) so we will play it by the book ...no emotion
TomTheTrader ..: (14:25) so TRADERS 50% short and Main 5-30 days 70% ong and IRA 3-6 months 70% long
CathyC . 2: (14:44) stopped on short
TomTheTrader ..: (15:08) add 10% UUP at the close IRA
TomTheTrader ..: (15:53) TZA 50% Traders LONG 17.49
TomTheTrader ..: (15:53) Hedged for any set backs
TomTheTrader ..: (16:07) TomTheTrader ..: (16:06) Since the elimination of the uptick rule in July '07, we've seen a total of 33 sessions in which the NYSE TICK did not trade below the -900 level on two consecutive sessions. The market's next-day performance was usually sideways-to-down, with upside potential limited to 0.5% in all but two cases. The S&P's average loss of 1.3% more than doubled the average gain of 0.5%…TomTheTrader ..: (16:06)  Whenever the S&P rose at least +1% in the two days leading up to a Payroll Report, then the day of the Payroll Report was also positive 5 out of 7 times (the two losers were less than -0.5%). But from Friday's close through the next Wednesday, the S&P was negative all 7 times, averaging -1.6%. It never gained more than +1.3% at any point during the next three days, but lost at least -1.3% every time but once.