Mar 31st, 2009 |
By Rob
U.S. equities closed substantially lower across the board on Monday as the overbought rally and fear leading into 2009 Q1 earnings data caused selling pressure among stocks. The Sunday announcement that General Motors CEO Rick Wagoner had submitted his resignation raised eyebrows among analysts and investors as they questioned the reasoning behind his departure. The
[continue reading...]
Posted in Market Synopsis |
No Comments »
Tags: 100 day moving average, 200 day moving average, best place to, bottom, C, Case Schiller, Chase, Citi, Consumer Confidence, copper, Crude, dig, ETF, fall, financials, GDP, gm, HPI, invest cash, JP, jpm, market, morgan, negative, oil, profit, put money, rally, rebound, recovery, S&P 500, short, steel, stock, stock chart, trading, USO, xlf
Mar 29th, 2009 |
By Rob
Diamond Slice Portfolio Disclosure: Proshares Double Short Oil (DTO) iShares 30 Day VIX Futures ETN (VXX) iShares 5 Month VIX Futures ETN (VXZ) Proshares Ultra Short Xinhua China ETF (FXP)
Posted in Uncategorized |
3 comments
Tags: BNI, Disclosure, ETF, investment, long, portfolio, S&P 500, SDS, short, SKF, Stance, stock, UNP, USO