Saturday, May 22, 2010

Monday, May 17, 2010

INDU (Dow Jones) - Short term buy!


Short term (1-15 days):
Run up to 11,000

It´s to early to say something about the medium/longer term.

Thursday, May 13, 2010

INDU (Dow Jones) - Take profit and go short!


After the recent jump in all major markets it´s time to take profit and look at the short side again.

For example the Dow Jones:
Short term (1-15 days):
10.400  (from here we can think of the medium term / longer term)

If you want an opinion about a stock or market just mail it and i put my opinion on the site.

Friday, May 7, 2010

Stock markets going to rebound 6-8%.

We are going to see a sharp rebound the next 1-2 weeks.
Wait for a rebound between 6-8% before going short again.

This message is for all the big stock markets.

EUR/USD (euro - US dollar) - Only way is up!


Medium term (1-2 months):
Bounch up to 1.34

Longer term (3-6 months):
We're going to see 1.40

Thursday, May 6, 2010

SETI Thailand Set Index - Time change, still big drop coming.


Longer term (3-6 months):
Expect a drop to 675.
After the recent jump witch i didn't expect i still believe the Thai stock market is overvalued.


Sunday, May 2, 2010

BIDU (Baidu Inc.) - Is going to lose 35% of it's value.


Longer term (3-6 months):
Expect a sharp fall to $450.

Friday, April 30, 2010

CVX (Chevron Corp.) - Take your profit right now.


Medium term (1-2 months):
Expect a pullback to $75.

Wednesday, April 28, 2010

SETI Thailand Set Index - SELL 100 point drop!



Medium term (1-2 months):
Expect a 100 point drop to 665.

Tuesday, April 27, 2010

SPX (S&P 500 Large Cap Index) - 100 point drop.


Medium term (1-2 months):
Drop back to 1115.
Same pattern like many indices.




Saturday, April 24, 2010

FAZ (Direxion Daily Financial Bear 3x Shares) - BUY!


Medium term (1-2 months):
Expect a move up to $14.

Longer term (3-6 months):
Expect a move up to $18.

Gold on it's way to test all time high! (part 2)


Medium term (1-2 months):
Gold is going to test 1225.

Thursday, April 22, 2010

AORD (Australia ASX) - Big drop on the way!


Medium term (1-2 months):
Well the top is there. We can now drop to 4500.

Long term (4-8 months):
Fall back to 4000.

Wednesday, April 21, 2010

AEX (Netherlands Amsterdam Exchange) - First stop 335.


Medium term (1-2 months):
Correction expected to 335. From there i'll give a longer term vision.

Tuesday, April 20, 2010

AAPL (Apple Inc.) - Great results, Take profit.


Medium term (1-2 months):
Take profit today at the open. Wait for $200.

Monday, April 19, 2010

BVSP (Brazilian Bovespa Index) - A very dangerous picture!


Longer term (3 months):
Look for a big pullback to 57,500.

Sunday, April 18, 2010

VIX, volatility is going up soon. (part 2)


As expected the VIX shot up last week.
The Vix can continue it´s way up to 30.

Saturday, April 17, 2010

FTSE (London Financial Times index) 350 point correction


Short term (1-15 days):
Correction expected to 5400.

SETI Thailand Set Index - Still no buying opportunity


Short term (1-15 days):
Wait for some support at 710-715. 
At those levels it can easily go up 30-40 points.

Friday, April 16, 2010

Goldman Sachs - Extremely negative setup! (part 2) Don´t buy!!!


As already said GS in on it´s way to $100. Of course there will be some very short buying moments on the way but that´s very dangerous.
My advise: Keep playing the short side on every uptick.

Thursday, April 15, 2010

Gold on it's way to test all time high!


Medium term (1-2 months):
Gold is going to move up further and i expect a test of the all time high at $1225.

Wednesday, April 14, 2010

German DAX ready for pullback


Medium term (1-2 months):
Target 5800

Tuesday, April 13, 2010

INTC (Intel Corp.) - Take profit after the numbers



Perfect time to take profit in Intel after the numbers.
Stock is going to make a correction to 20.50 (1-3 months).

Monday, April 12, 2010

Goldman Sachs - Extremely negative setup!




Short term (1-30 days):
Expect a correction to $ 160.

Longer term (1-9 months):
Expect a very sharp fall to $ 100.

Sunday, April 11, 2010

Nikkei - Going back to 10,700


The Nikkei is now trading at 11,300.
Short term (1-15 days):
Expect a 600 point fall

At 10,700 i tell more about the longer term.

UNG (Natural Gas) is making a clear bottom




Short term (1-15 days):
A clear bottom at $7. Expect a move up to $ 8.00

Longer term (3 months):
Expect a move up to $9.00

Saturday, April 10, 2010

Oil - Light Crude, Short term trade




Short term trade (1-15 days):
Sell at $84.75, take profit at 80.

At $80 i tell more about the longer term.

Friday, April 9, 2010

DOW JONES 11,000 is a selling moment!





Short term (1-15 days):
Expect some selling in the comming days to 10,500.

Longer term (3 months):
The start of a bigger correction towards  10,000.

Thursday, April 8, 2010

VIX, volatility is going up soon.


Short term 1-15 days:
The VIX is making a bottom around 16.50.
I expect a sharp run up to 20.

Longer term (3 months):
Also here a clear bottom.
Expect a rise to 30.