Summary:
Watch the possible breakout of the 9/23 high.
Still could be very close to a short-term top.
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TREND |
MOMENTUM |
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COMMENT - Sample for using the trend table. |
Long-term |
Up |
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Intermediate |
Down |
Neutral |
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Short-term |
Up |
Neutral |
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SETUP |
DATE |
INSTRUCTION |
STOP LOSS |
Mechanic trading signals for reference only. Back tested since 2002. |
Index ST Model I |
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*Watch Breakout |
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Stopped out long with gain on 10/01. No position held now. |
Index ST Model II |
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Stopped out short flat on 10/08. No position held now. |
VIX ENV |
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10/08 Low |
Long on 10/06. |
Reversal Bar |
10/09 |
*Adjust stop loss |
10/06 Low |
Long on 10/05. |
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INTERMEDIATE-TERM: WATCH THE POSSIBLE BREAKOUT OF THE 9/23 HIGH
1.0.8 SPX Cycle Watch (Weekly),上周末的report跟大家报告了Elliott Wave International的看法,2个理由,认为惨烈的Wave 3开始了:
1. Four of three resistance。
2. 历时74 week的Wave 1 down的Fib 38.2 正好是三月以来反弹持续的28 week。
从本周反弹的情况看,如果下周SPX breakout the 9/23的high 1080,那以上说法就不成立了,取而代之的可能是A = C,也就是说Target 1159,时间上,俺的next 22 Week cycle,正好是74 week的Fib 50,大约涨到11月中旬的样子。
以上仅仅是猜测,俺暂时have no idea about intermediate-term的方向。俺的bottom line有两点:
1. Breakout above 9/32 high,Index ST Model I会出买信号,如果没有出现reversal day,就是说最终Close > Open,并且不是Doji的话,那,俺会follow一小部份。
2. 1.2.1 Dow Theory: Averages Must Confirm,由于breadth还是很overbought外加TRAN还是没有confirm INDU new high,因此俺不太相信1159的target,还是认为至少应该有10%左右的correction。
5.0.5 S&P Sector Bullish Percent Index I (Weekly),5.0.6 S&P Sector Bullish Percent Index II (Weekly),有空可以看一下,不少sector还是overbought,特别是Tech sector,way too overbought。
SHORT-TERM: MAINTIAN THE CONSOLIDATION THEN PULLBACK FORECAST
Short-term,俺还是看pullback,至少10/8号的the SPY's 12th unfilled gap会补,不过目前不sure是先new high呢,还是先pullback。
1.0.3 S&P 500 SPDRs (SPY 30 min),Symmetrical Triangle breakout,text book target是$108,也就是说可能会先冲击new high。
1.0.2 S&P 500 SPDRs (SPY 60 min),介个图的SPY and QQQQ negative divergence是说,可能周一就pullback,不会先去new high。大家顺便可以注意一下蓝色注释框里列出的过去8个unfilled gaps,每个空之间都至少隔着一周到两周,而不是像现在一样10/5,10/6,10/8号,几乎是连着的gap,介个,俺认为too much。
The bottom line:1.1.3 QQQQ Short-term Trading Signals,黑棒棒的2个预言,周五兑现了第一个,因此还是有理由相信过去的pattern依然工作,这就是说we're very close to a short-term top。因此依然maintian the consolidation then pullback的forecast。
INTERESTING CHARTS:
介个来自www.bespokepremium.com,一周5天都涨的并不多见。
下面的图,红色的棒棒,是自2002年仅有的4次,至少连涨4天 plus 最后一天Russell 3000有1600以上stock up on decreased volume。
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