.....most recent trade

.....current positions

--------------(notice the 6:1 risk reward) per 1k shares

long EUR/CHF @1.5044 stop 150355 12pip stop hold for 1st target 1.5093 2nd T= 1.5177 (130pip) 3rd T= breakout (+300pips)


ss MON @90.95 stop 92.15

ss WFC @28.08 --stop28.61
took 1/2 profit at 25
P&L 3200


ss HPQ @37.01 --stop37.41
took 1/2 profit 33.65

P&L 5350

ss EBAY @17.36 --stop17.62

P$L+360

L SRS @22.1 --stop20.99
took 1/2 23.65 flat rest
P&L 1050

ss QLD @35.9 --stop36.01
took porfit 33.19
P&L 5200

ss MS @27.35 --stop27.8
stopped (-450)

ss QCOM 44.03 --stop44.36
took profit 41.05
P&L 2995

ss CVX @67.55 --stop68.31
(-425)



Wednesday, May 13, 2009

Tuesday, May 12, 2009

Monday, May 11, 2009



Here is an example of a trade in WFC today.
will hold for 3pts + overnight 
look at that entry.   only 30-40C risk !!!


ADD 34.81 
so we are tier 3 size at 35.45
1.5pt in $$
hold for 32.50-33
for 8:1 risk reward trade

(note: this image in no way divulges the means in which the signal was generated)

Signals generated by underlying tic vol analysis algorithm scanning Cross time frame divergences.

Friday, May 8, 2009

Wednesday, May 6, 2009


  • ss CVX 67.55 stop 68.31

Tuesday, May 5, 2009

Started Buy FAZ (NOT A QUANT TRADE)

add 5.25

may 5--current positions

  • ss
  HPQ  37 .05     stop 37.4
  • L
   SRS   22.1         add(5/6) 20.99
  •    EURGBP 0.8858 stopped 0.8845    -13pip

  • ss QLD 35.45     add(5/6) 36.31
  • ss   MS  27.35     stopped 27.81