..luuras neid põõsas karu.
Barronsilt täna hommikul mõned graafikud suuremate indeksite kohta:
Aparaat kaalub 118 grammi ja arvatav hind tuleb 500 euro kanti (ca 8000 krooni). Müügilettidele jõuab väidetavalt kuu aja jooksul.
F-Secure on uudise peale 5,2% plussis. Olen F-Securet mõnda aega oma radaril hoidnud, ostmast on takistanud oht, et Microsofti uus viirusetõrjeprogramm (mis liidetakse Longhornile) võib viirusetõrje turu ära tappa (SYMC, MFE). Nokia smartphone'de viirusetõrjeprogrammid võivad F-Secure jaoks tähendada suurt turgu.
USA turgudel on eilse langusest väljatulemine väga raske ning ka nafta hinna jõudmine üle 48 dollari ei anna selleks suurt lootust.
Töötu abirahade taotlejate arv kerkis USA-s nädalaga 14 000 võrra 350 000, kuue kuuga on see näitaja suhteliselt vähe muutunud.
People Soft (PSFT) teatas, et firma kolmanda kvartali litsentsitulud ületavad juba nädal enne kvartali lõppu Oracle kvartalitulemusi. Oracle (ORCL) on firma ülevõtmiseks teinud vaenuliku ülevõtmispakkumise.
Rev Shark:
After a thoroughly ugly day for the markets yesterday, the logical question to ask is whether the poor action was just a brief bout of heartburn caused by recent excesses or the beginning stages of a more severe illness.
We will not know for sure until after the fact but that doesn't mean that we should wait to take some precautionary measures.
Yesterday was a warning sign and that means we should take steps to adapt to a different market environment. You don't have to rush out and sell everything. In fact, that is generally not a good idea if you still have some holdings that are acting well.
However, the most important thing you need to do is to adjust your mindset and attitude to the possibility that the character of the market may be changing and that you will have to adjust your trading to take that into account.
I believe that the single-biggest reason for underperformance by investors is the inclination to ignore early warning signs. They shrug off a poor day as just an anomaly but then another weak day rolls around and now they tell themselves their losses are too big and it is too late to sell.
They soon discover that it wasn't too late at all as the market continues to downtrend and those early losses look like bargains compared to what is now staring at them.
The action yesterday indicated the possibility of a major change in character of the market. You don't have to dump everything and go totally short but start thinking and adapting to that possibility. Focus on protecting capital and preserving gains rather than hoping that yesterday was just a temporary glitch. Maybe it was and you'll regret having worried about it but don't ever forget that it is much better to lose out on opportunities than it is to lose capital. There will always be more opportunities but your capital is what keeps you in the game.
Overseas markets were down sharply overnight in sympathy with the poor action in the U.S. yesterday. Our early indications are slightly negative. There isn't much news on the wires so far but the weekly unemployment numbers and leading economic indicators later this morning will likely spark at least a minor reaction. Crude oil is down a tad and that is going to remain a focus.
Don't be surprised to see some bounce today after the pounding yesterday but the bears are now waiting eagerly for the opportunity to sell and short into strength.
Semiconductors probably are the best indicator at present and we'll have to monitor them carefully.
07:29 LEXR Lexar Media: August NPD Data point to another set of disappointing sales at Lexar -- RBC
RBC Capital out negative on Lexar Media saying August was second consecutive month of disappointing results with sales (including Kodak) of $31.1M, up 7% m/m. Firm was expecting bigger gains in August/July following price concessions from Samsung in June. SanDisk results were inline with firm's expectations.
LEXR on viimase 3 nädalaga tõusnud 40% ning ootused on päris kõrged. Augusti nõrk müük tundub tõelise tagasilöögina, eriti kui arvestada, et konkurendid SNDK ning FLSH suutsid prognoose täita.
Olime aktsias lühikesed, kuid hetkel on positsioon kaetud. See ei ole soovitus. Lihtsalt üks huvitav olukord.
sB
MERX +7.4% (beats by $0.02; CSFB upgrade), MAGS +5% (to participate in 2 upcoming security trade shows), CYBX +4.8% (receives conditional approval of Treatment IDE), COGN +4% (beats by $0.04, guides Y05 above consensus), IPIX +3% (sympathy with MAGS), LVLT +2.7%... Cargo Ships strong: BJO +5%, EXM +4.8%, TOPT +2.3%..... Under $3: GIGM +10% (momentum from 32% move yesterday).
Gapping Down
APPX -14% (faces probe over cancer drug - WSJ; 60% of float is short), CMRC -49% (may file for bankruptcy), AUGT -19% (guides Q3 & Q4 revs well below consensus), PWER -8.5% (guides lower; First Albany downgrade), AIRM -6.6% (guides Q3 lower), ANDW -6% (lowers SepQ guidance), OIIM -4.1% (guides below Q3 and Q4 consensus), BBBY -3.6% (reports AugQ), DECK -3.3% (RBC downgrade), COCO -3.1%, BOBJ -2.6%, TEVA -1.8%, ARBA -1.6% (in sympathy with CMRC), NOK -1.5%.
Aga võib olla ma eksin ja siin on nii kõvad mehed,kes ainult plussis suplevatki:)
mälu nagu heeringal...
Selle aja jooksul suletud 33 positsiooni, neist 20 plussi ja 13 miinusega
Lahti 5 positsiooni, neist 3 plussis ja 2 miinuses, kokkuvõttes avatud positsioonide tulem null hetkel
Alustamisest saadik on portfelli kasv 6% USD baasil
sB
Minu jaoks on edukuse esmased kriteeriumid alljärgnevad:
1) lüüa suuremaid indekseid (Dow Jones, S&P 500, Nasdaq)
2) lüüa turgude keskmist ajaloolist tootlust so. ca 12% aastas
Kui need kriteeriumid on täidetud, siis on kauplemine õigustatud, vastasel juhul oleks võinud lihtsalt indeksis istuda.
Ja minu aastane tootluse siht on 20%. Sellest lähtuvalt valin ka strateegiad, sobiva riski/tulu suhte, panen stopid jne. Põhimõtteliselt ei võta hetkel suuri riske ja hoian stopid ligidal. Portfell on antud ajavahemikus (4 kuud) oma algväärtuse suhtes kõikunud -12% ja +10%.
4 kuuline periood on muidugi liiga lühike, et üldse mingeid järeldusi teha edust või ebaedust, aga tahtsin lihtsalt innustada ka teisi Traderi kliente oma tulemustest rääkima, just nimelt rääkima, mitte ärplema, :)
Põhjus selles, et hetkel paneme kokku seminaride kava sügiseks-talveks, kui saame teada kuidas kellegil läinud on ja miks nii, siis saame kindlasti abi ka teemade valikul