As you can see from these links I’m all over these stocks all month long. It hasn’t been total travesty, I’ve made money, but these last two days shows I’m a bloodhound with a stuffy nose.

http://www.stockrake.com/tag/pcx
http://www.stockrake.com/tag/jrcc
http://www.stockrake.com/tag/anr
http://www.stockrake.com/tag/drys
http://www.stockrake.com/tag/mgm

These are just the charts of stocks I sold early this week before their pops over the last two days.
Maybe you would like to see how my signals would have fared with some of the best movers of the week?

Lets look at: LVS, GMCR, FIG, FSLR, DDRX, DNDN?

As far as the indexes go, I put the cash I took off yesterday back to short. I’m heavily short now. I don’t hold FAZ anymore, although I’d like to buy it back – just waiting on a 60min buy. The thing went back to a sell at the close. I have faith its a blip though. SRS held its buy signal.

What I’m playing with SRS, FAZ, and being short the indexes here is a short term pullback.

ON THE POSITIVE SIDE because this post seems negative, but I really don’t feel that negative, look at the portfolio graphic. 30% total gain. A couple of 70%er’s. My whole conniption is that I could be making a lot more.

Current holds, DXO, IVN, DROOY, SRS, short NDX, short RUT

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