SHORT-TERM MODEL THINKS THE TREND IS DOWN BUT UNCONFIRMED, HOLDING NO POSITION OVERNIGHT
The bottom line, I see good chances of a green day tomorrow but more likely today’s low is not the low, will present my witness in tonight’s report, so stay tuned. The samples are just 6 which is very low though, so it’s not a solid conclusion.
Those who follow Cobra Impulse System, a breakdown below today’s low and close in red tomorrow would be a short. See table below for more details.
MECHANICAL TRADING SIGNALS |
SPY SYSTEM |
ENTRY |
STOP LOSS |
Current 2*ATR(10) value: SSO=12%; SDS=11%; UPRO=18%;SPXU=16% |
Non-Stop |
09/23 S |
N/A |
|
Cobra Impulse |
09/26 L |
Breakeven |
*Short if below 09/28 low and close in red tomorrow. Stop loss = 2*ATR(10). |
|
DEMO ACCOUNT FOR SHORT-TERM MODEL (Attention: This is not part of Cobra Impulse System) |
TICKER |
Entry Date |
Entry |
Share |
Stop Loss |
Exit Date |
Exit |
Profit |
Comment |
SDS |
09/28/2011 |
$24.32 |
200 |
$21.64 |
09/28/2011 |
$24.69 |
74.00 |
|
SSO |
09/27/2011 |
$41.84 |
100 |
$37.24 |
09/27/2011 |
$42.03 |
19.00 |
It’s average sell price. |
SDS |
09/23/2011 |
$25.44 |
100 |
$22.90 |
09/27/2011 |
$22.90 |
254.00 |
New strategy, half positioned for risk $500 max. |
SSO |
09/20/2011 |
$43.68 |
50 |
$39.31 |
09/20/2011 |
$44.06 |
19.00 |
|
SSO |
09/15/2011 |
$43.00 |
50 |
$38.27 |
09/15/2011 |
$43.53 |
26.50 |
|
SSO |
09/14/2011 |
$41.45 |
50 |
$39.31 |
09/22/2011 |
$38.09 |
-168.00 |
Gap down, manual stop loss used. |
SSO |
09/13/2011 |
$40.51 |
50 |
$35.65 |
09/13/2011 |
$40.88 |
18.50 |
|
SDS |
09/13/2011 |
$24.03 |
100 |
$21.39 |
09/22/2011 |
$26.25 |
222.00 |
|
SDS |
09/02/2011 |
$24.35 |
100 |
$21.43 |
09/13/2011 |
$23.48 |
3.00 |
|
SDS |
09/01/2011 |
$22.94 |
100 |
$19.96 |
09/01/2011 |
$23.01 |
7.00 |
|
SSO |
08/30/2011 |
$44.09 |
50 |
$38.69 |
09/12/2011 |
$38.69 |
-270.00 |
Gap down, manual stop loss used. |
LAST |
|
|
|
|
|
|
2935.00 |
|
SUM |
|
|
|
|
|
|
2632.00 |
|
|
- $500 max loss allowed per trade. For fun only.
- LAST = Year to the last month balance. SUM = Year to date realized gains/losses.
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