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Stock版 - [合集] PCLN
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相关话题的讨论汇总
话题: pcln话题: 星期三
进入Stock版参与讨论
1 (共1页)
k********n
发帖数: 18523
1
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kbrhouston (石油工人-一切MM都是普赛,纸老虎) 于 (Sat Nov 5 22:33:29 2011, 美东) 提到:
1来便于查阅
2来便于老牛清水(怕误删)
3便于顶进十大,壮大声势,繁荣古板
4减少肥猫工作(否则他需要花精力查看大家的所有请求贴)
谢谢大家
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Mon Nov 7 23:08:16 2011, 美东) 提到:
要最新预测的,
请在此报名股票符号。
打算提供20到30个预测。
由最先报名的股票符号开始。
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fockugcd (fockugcd) 于 (Mon Nov 7 23:09:47 2011, 美东) 提到:
胖肥猫,是不是永久免费的:)???????????????

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kbrhouston (石油工人-一切MM都是普赛,纸老虎) 于 (Mon Nov 7 23:09:51 2011, 美东) 提到:
pcln, CMg, Eog, cbi
哈哈
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XController (...) 于 (Mon Nov 7 23:10:03 2011, 美东) 提到:
热。肥猫,帮看看agq/zsl吧
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wetwild (南渡东藏西征北归) 于 (Mon Nov 7 23:17:50 2011, 美东) 提到:
lvlt,clsn,hdy,avnr, Thanks.
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thewildwest (深水青蛙) 于 (Mon Nov 7 23:21:13 2011, 美东) 提到:
crus, fosl, rl
thanks!
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Tue Nov 8 00:01:58 2011, 美东) 提到:
..............
只要我能免费拿到,当然。
反正你能在这里看到或读到的都是免费。
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fockugcd (fockugcd) 于 (Tue Nov 8 00:02:45 2011, 美东) 提到:
胖肥猫,你是做啥的? 分析师?
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Tue Nov 8 00:10:12 2011, 美东) 提到:
...............
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: PCLN AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 517.5000
STOCK RATING: MODESTLY BEARISH
Short-Term Price Potential is DOWN:-15.9779 (-3.10%)
Short-Term Price Target: 501.5221
At Price Target, profit is 30.8752 on $1000 investment. (+3.09%)
Close out >= half of your short position at about 501.5221
There is a small chance of price reaching 462.1275
If so, your profit would be 107.0000 on $1000 investment. (+10.70%)
Close out all short position if price reaches 462.1275
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of PCLN at its current price of 517.5000
you would be selling short approximately 1.9324 shares.
At Target of 501.5221 profit is 30.8752 on $1000 investment. (+3.09%)
In case of short squeeze, expect the next peak at about 530.9550
Sell short $2,000 more at: 530.9550 will break even at: 526.3929
At 517.5000 profit is 50.6823 on $3,000 investment. (+1.69%)
At 501.5221 profit is 141.7429 on $3,000 investment. (+4.72%)
At 462.1275 profit is 366.2593 on $3,000 investment. (+12.21%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: CMG AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 339.2500
STOCK RATING: MODESTLY BEARISH
Short-Term Price Potential is DOWN: -7.4940 (-2.20%)
Short-Term Price Target: 331.7560
At Price Target, profit is 22.0899 on $1000 investment. (+2.21%)
Close out >= half of your short position at about 331.7560
There is a small chance of price reaching 307.0213
If so, your profit would be 95.0000 on $1000 investment. (+9.50%)
Close out all short position if price reaches 307.0213
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of CMG at its current price of 339.2500
you would be selling short approximately 2.9477 shares.
At Target of 331.7560 profit is 22.0899 on $1000 investment. (+2.21%)
In case of short squeeze, expect the next peak at about 349.0883
Sell short $2,000 more at: 349.0883 will break even at: 345.7460
At 339.2500 profit is 56.3654 on $3,000 investment. (+1.88%)
At 331.7560 profit is 121.3900 on $3,000 investment. (+4.05%)
At 307.0213 profit is 336.0107 on $3,000 investment. (+11.20%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: EOG AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 101.1900
STOCK RATING: SLIGHTLY BEARISH
Short-Term Price Potential is DOWN: -2.6314 (-2.60%)
Short-Term Price Target: 98.5586
At Price Target, profit is 26.0045 on $1000 investment. (+2.60%)
Close out >= half of your short position at about 98.5586
There is a small chance of price reaching 89.7555
If so, your profit would be 113.0000 on $1000 investment. (+11.30%)
Close out all short position if price reaches 89.7555
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of EOG at its current price of 101.1900
you would be selling short approximately 9.8824 shares.
At Target of 98.5586 profit is 26.0045 on $1000 investment. (+2.60%)
In case of short squeeze, expect the next peak at about 108.2733
Sell short $2,000 more at: 108.2733 will break even at: 105.8045
At 101.1900 profit is 130.8411 on $3,000 investment. (+4.36%)
At 98.5586 profit is 205.4523 on $3,000 investment. (+6.85%)
At 89.7555 profit is 455.0561 on $3,000 investment. (+15.17%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: CBI AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 37.5400
STOCK RATING: ESSENTIALLY NEUTRAL
Short-Term Price Potential is DOWN: -0.8987 (-2.40%)
Short-Term Price Target: 36.6413
At Price Target, profit is 23.9398 on $1000 investment. (+2.39%)
Close out >= half of your short position at about 36.6413
There is a small chance of price reaching 33.2604
If so, your profit would be 114.0000 on $1000 investment. (+11.40%)
Close out all short position if price reaches 33.2604
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of CBI at its current price of 37.5400
you would be selling short approximately 26.6383 shares.
At Target of 36.6413 profit is 23.9398 on $1000 investment. (+2.39%)
In case of short squeeze, expect the next peak at about 39.9801
Sell short $2,000 more at: 39.9801 will break even at: 39.1322
At 37.5400 profit is 122.0657 on $3,000 investment. (+4.07%)
At 36.6413 profit is 190.9629 on $3,000 investment. (+6.37%)
At 33.2604 profit is 450.1502 on $3,000 investment. (+15.01%)
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kbrhouston (石油工人-一切MM都是普赛,纸老虎) 于 (Tue Nov 8 00:14:06 2011, 美东) 提到:
nice
Thanks dude
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Tue Nov 8 00:17:11 2011, 美东) 提到:
.....................
抱歉。
上次解释过了,
凡是 ETF 都被预订了,
连我自己也拿不到。
换其它的非 ETF 的股票吧。
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Tue Nov 8 00:25:51 2011, 美东) 提到:
....................
抱歉,头3个的预测都拿不到,
试了几次了,都拿不到。 原因不详。
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: AVNR AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 2.7900
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 0.0244 ( 0.90%)
Short-Term Price Target: 2.8144
At Price Target, profit is 8.7455 on $1000 investment. (+0.87%)
Close out >= half of your long position at about 2.8144
There is a small chance of price reaching 3.0020
If so, profit would be 76.0000 on $1000 investment. (+7.60%)
Close out all long position if price reaches 3.0020
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of AVNR at its current price of 2.7900
You would be buying approximately 358.4229 shares.
At 2.8144 profit is 8.7455 on $1000 investment. (+0.87%)
In case of bear raid, expect the next bottom at about 2.5808
Buy $2,000 more at: 2.5808 will break even at: 2.6469
At 2.7900 gain is 162.1622 on $3,000 investment. (+5.41%)
At 2.8144 gain is 189.8169 on $3,000 investment. (+6.33%)
At 3.0020 gain is 402.4865 on $3,000 investment. (+13.42%)
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davidibt (david) 于 (Tue Nov 8 00:27:05 2011, 美东) 提到:
LLL, LMT, HES
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Tue Nov 8 00:31:04 2011, 美东) 提到:
..........................
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: CRUS AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 17.2200
STOCK RATING: ESSENTIALLY NEUTRAL
Short-Term Price Potential is DOWN: -0.3318 (-1.90%)
Short-Term Price Target: 16.8882
At Price Target, profit is 19.2683 on $1000 investment. (+1.93%)
Close out >= half of your short position at about 16.8882
There is a small chance of price reaching 14.5681
If so, your profit would be 154.0000 on $1000 investment. (+15.40%)
Close out all short position if price reaches 14.5681
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of CRUS at its current price of 17.2200
you would be selling short approximately 58.0720 shares.
At Target of 16.8882 profit is 19.2683 on $1000 investment. (+1.93%)
In case of short squeeze, expect the next peak at about 18.4254
Sell short $2,000 more at: 18.4254 will break even at: 18.0053
At 17.2200 profit is 130.8411 on $3,000 investment. (+4.36%)
At 16.8882 profit is 186.1249 on $3,000 investment. (+6.20%)
At 14.5681 profit is 572.6916 on $3,000 investment. (+19.09%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: FOSL AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 97.1500
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 2.2807 ( 2.30%)
Short-Term Price Target: 99.4307
At Price Target, profit is 23.4761 on $1000 investment. (+2.35%)
Close out >= half of your long position at about 99.4307
There is a small chance of price reaching 115.0256
If so, profit would be 184.0000 on $1000 investment. (+18.40%)
Close out all long position if price reaches 115.0256
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of FOSL at its current price of 97.1500
You would be buying approximately 10.2934 shares.
At 99.4307 profit is 23.4761 on $1000 investment. (+2.35%)
In case of bear raid, expect the next bottom at about 86.4635
Buy $2,000 more at: 86.4635 will break even at: 89.7545
At 97.1500 gain is 247.1910 on $3,000 investment. (+8.24%)
At 99.4307 gain is 323.4223 on $3,000 investment. (+10.78%)
At 115.0256 gain is 844.6742 on $3,000 investment. (+28.16%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: RL AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 157.2800
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 1.3944 ( 0.90%)
Short-Term Price Target: 158.6744
At Price Target, profit is 8.8657 on $1000 investment. (+0.89%)
Close out >= half of your long position at about 158.6744
There is a small chance of price reaching 168.1323
If so, profit would be 69.0000 on $1000 investment. (+6.90%)
Close out all long position if price reaches 168.1323
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of RL at its current price of 157.2800
You would be buying approximately 6.3581 shares.
At 158.6744 profit is 8.8657 on $1000 investment. (+0.89%)
In case of bear raid, expect the next bottom at about 144.0685
Buy $2,000 more at: 144.0685 will break even at: 148.2186
At 157.2800 gain is 183.4061 on $3,000 investment. (+6.11%)
At 158.6744 gain is 211.6293 on $3,000 investment. (+7.05%)
At 168.1323 gain is 403.0611 on $3,000 investment. (+13.44%)
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XController (...) 于 (Tue Nov 8 00:31:18 2011, 美东) 提到:
thanks feimao. try sina please
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Tue Nov 8 00:35:15 2011, 美东) 提到:
......................
过去类似,现在基本操盘而已。
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Tue Nov 8 00:37:20 2011, 美东) 提到:
....................
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: NICE AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 34.3600
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 0.5375 ( 1.60%)
Short-Term Price Target: 34.8975
At Price Target, profit is 15.6432 on $1000 investment. (+1.56%)
Close out >= half of your long position at about 34.8975
There is a small chance of price reaching 37.3837
If so, profit would be 88.0000 on $1000 investment. (+8.80%)
Close out all long position if price reaches 37.3837
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of NICE at its current price of 34.3600
You would be buying approximately 29.1036 shares.
At 34.8975 profit is 15.6432 on $1000 investment. (+1.56%)
In case of bear raid, expect the next bottom at about 32.9512
Buy $2,000 more at: 32.9512 will break even at: 33.4078
At 34.3600 gain is 85.5057 on $3,000 investment. (+2.85%)
At 34.8975 gain is 133.7729 on $3,000 investment. (+4.46%)
At 37.3837 gain is 357.0302 on $3,000 investment. (+11.90%)
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Tue Nov 8 00:41:50 2011, 美东) 提到:
......................
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: LLL AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 70.4900
STOCK RATING: BEARISH
Short-Term Price Potential is DOWN: -3.3294 (-4.70%)
Short-Term Price Target: 67.1606
At Price Target, profit is 47.2322 on $1000 investment. (+4.72%)
Close out >= half of your short position at about 67.1606
There is a small chance of price reaching 63.5820
If so, your profit would be 98.0000 on $1000 investment. (+9.80%)
Close out all short position if price reaches 63.5820
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of LLL at its current price of 70.4900
you would be selling short approximately 14.1864 shares.
At Target of 67.1606 profit is 47.2322 on $1000 investment. (+4.72%)
In case of short squeeze, expect the next peak at about 72.5342
Sell short $2,000 more at: 72.5342 will break even at: 71.8398
At 70.4900 profit is 56.3654 on $3,000 investment. (+1.88%)
At 67.1606 profit is 195.3998 on $3,000 investment. (+6.51%)
At 63.5820 profit is 344.8416 on $3,000 investment. (+11.49%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: LMT AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 78.2700
STOCK RATING: BEARISH
Short-Term Price Potential is DOWN: -2.4304 (-3.10%)
Short-Term Price Target: 75.8396
At Price Target, profit is 31.0515 on $1000 investment. (+3.11%)
Close out >= half of your short position at about 75.8396
There is a small chance of price reaching 73.0259
If so, your profit would be 67.0000 on $1000 investment. (+6.70%)
Close out all short position if price reaches 73.0259
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of LMT at its current price of 78.2700
you would be selling short approximately 12.7763 shares.
At Target of 75.8396 profit is 31.0515 on $1000 investment. (+3.11%)
In case of short squeeze, expect the next peak at about 78.8962
Sell short $2,000 more at: 78.8962 will break even at: 78.6863
At 78.2700 profit is 15.8730 on $3,000 investment. (+0.53%)
At 75.8396 profit is 108.5346 on $3,000 investment. (+3.62%)
At 73.0259 profit is 215.8095 on $3,000 investment. (+7.19%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: HES AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 63.3600
STOCK RATING: MODESTLY BEARISH
Short-Term Price Potential is DOWN: -2.1304 (-3.40%)
Short-Term Price Target: 61.2296
At Price Target, profit is 33.6237 on $1000 investment. (+3.36%)
Close out >= half of your short position at about 61.2296
There is a small chance of price reaching 56.0102
If so, your profit would be 116.0000 on $1000 investment. (+11.60%)
Close out all short position if price reaches 56.0102
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of HES at its current price of 63.3600
you would be selling short approximately 15.7828 shares.
At Target of 61.2296 profit is 33.6237 on $1000 investment. (+3.36%)
In case of short squeeze, expect the next peak at about 65.7677
Sell short $2,000 more at: 65.7677 will break even at: 64.9450
At 63.3600 profit is 73.2177 on $3,000 investment. (+2.44%)
At 61.2296 profit is 171.6271 on $3,000 investment. (+5.72%)
At 56.0102 profit is 412.7245 on $3,000 investment. (+13.76%)
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Tue Nov 8 00:44:29 2011, 美东) 提到:
....................
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: SINA AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 84.7100
STOCK RATING: SLIGHTLY BEARISH
Short-Term Price Potential is DOWN: -3.6249 (-4.30%)
Short-Term Price Target: 81.0851
At Price Target, profit is 42.7919 on $1000 investment. (+4.28%)
Close out >= half of your short position at about 81.0851
There is a small chance of price reaching 65.9044
If so, your profit would be 222.0000 on $1000 investment. (+22.20%)
Close out all short position if price reaches 65.9044
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of SINA at its current price of 84.7100
you would be selling short approximately 11.8050 shares.
At Target of 81.0851 profit is 42.7919 on $1000 investment. (+4.28%)
In case of short squeeze, expect the next peak at about 91.2327
Sell short $2,000 more at: 91.2327 will break even at: 88.9496
At 84.7100 profit is 142.9898 on $3,000 investment. (+4.77%)
At 81.0851 profit is 265.2466 on $3,000 investment. (+8.84%)
At 65.9044 profit is 777.2461 on $3,000 investment. (+25.91%)
☆─────────────────────────────────────☆
davidibt (david) 于 (Tue Nov 8 00:47:11 2011, 美东) 提到:
非常感谢肥猫的回复,都大半夜了还在忙活,很难得
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Osiris (琵琶一曲一千年) 于 (Tue Nov 8 00:47:37 2011, 美东) 提到:
下面这几个上周暴跌,能否请肥猫兄帮模拟计算下
DNDN – Dendreon Corporation
SNE – SONY CORP
SLF – Sun Life Fincl Inc
MED – Medifast Inc
DRIV – Digital River, Inc.
ELON – Echelon Corporation
JOE – ST JOE CORP
DGI – Digitalglobe Inc
RGR
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XController (...) 于 (Tue Nov 8 00:51:45 2011, 美东) 提到:
非常感谢肥猫的回帖
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hdtv (发光二极管) 于 (Tue Nov 8 00:52:47 2011, 美东) 提到:
RDN
Thanks!
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Tue Nov 8 00:58:39 2011, 美东) 提到:
..................
不客气。
主要是这时候或更晚预测资料才出现。
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XController (...) 于 (Tue Nov 8 01:01:53 2011, 美东) 提到:
肥猫,趁你现在还没睡,再来个nflx怎么样?
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Tue Nov 8 01:21:04 2011, 美东) 提到:
...................
抱歉,DNDN, SLF,取不到。
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: SNE AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 17.9400
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 0.2570 ( 1.40%)
Short-Term Price Target: 18.1970
At Price Target, profit is 14.3255 on $1000 investment. (+1.43%)
Close out >= half of your long position at about 18.1970
There is a small chance of price reaching 19.3752
If so, profit would be 80.0000 on $1000 investment. (+8.00%)
Close out all long position if price reaches 19.3752
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of SNE at its current price of 17.9400
You would be buying approximately 55.7414 shares.
At 18.1970 profit is 14.3255 on $1000 investment. (+1.43%)
In case of bear raid, expect the next bottom at about 16.5407
Buy $2,000 more at: 16.5407 will break even at: 16.9822
At 17.9400 gain is 169.1974 on $3,000 investment. (+5.64%)
At 18.1970 gain is 214.5978 on $3,000 investment. (+7.15%)
At 19.3752 gain is 422.7332 on $3,000 investment. (+14.09%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: MED AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 14.7200
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 0.3553 ( 2.40%)
Short-Term Price Target: 15.0753
At Price Target, profit is 24.1372 on $1000 investment. (+2.41%)
Close out >= half of your long position at about 15.0753
There is a small chance of price reaching 16.2803
If so, profit would be 106.0000 on $1000 investment. (+10.60%)
Close out all long position if price reaches 16.2803
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of MED at its current price of 14.7200
You would be buying approximately 67.9348 shares.
At 15.0753 profit is 24.1372 on $1000 investment. (+2.41%)
In case of bear raid, expect the next bottom at about 14.1165
Buy $2,000 more at: 14.1165 will break even at: 14.3121
At 14.7200 gain is 85.5057 on $3,000 investment. (+2.85%)
At 15.0753 gain is 159.9813 on $3,000 investment. (+5.33%)
At 16.2803 gain is 412.5693 on $3,000 investment. (+13.75%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: DRIV AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 17.4400
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 0.1624 ( 0.90%)
Short-Term Price Target: 17.6024
At Price Target, profit is 9.3119 on $1000 investment. (+0.93%)
Close out >= half of your long position at about 17.6024
There is a small chance of price reaching 19.0270
If so, profit would be 91.0000 on $1000 investment. (+9.10%)
Close out all long position if price reaches 19.0270
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of DRIV at its current price of 17.4400
You would be buying approximately 57.3394 shares.
At 17.6024 profit is 9.3119 on $1000 investment. (+0.93%)
In case of bear raid, expect the next bottom at about 15.9227
Buy $2,000 more at: 15.9227 will break even at: 16.3983
At 17.4400 gain is 190.5805 on $3,000 investment. (+6.35%)
At 17.6024 gain is 220.2910 on $3,000 investment. (+7.34%)
At 19.0270 gain is 480.9233 on $3,000 investment. (+16.03%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: ELON AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 5.8300
STOCK RATING: BULLISH
Short-Term Price Potential is UP: 0.4864 ( 8.30%)
Short-Term Price Target: 6.3164
At Price Target, profit is 83.4305 on $1000 investment. (+8.34%)
Close out >= half of your long position at about 6.3164
There is a small chance of price reaching 6.6637
If so, profit would be 143.0000 on $1000 investment. (+14.30%)
Close out all long position if price reaches 6.6637
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of ELON at its current price of 5.8300
You would be buying approximately 171.5266 shares.
At 6.3164 profit is 83.4305 on $1000 investment. (+8.34%)
In case of bear raid, expect the next bottom at about 5.7309
Buy $2,000 more at: 5.7309 will break even at: 5.7636
At 5.8300 gain is 34.5880 on $3,000 investment. (+1.15%)
At 6.3164 gain is 287.7653 on $3,000 investment. (+9.59%)
At 6.6637 gain is 468.5341 on $3,000 investment. (+15.62%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: JOE AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 13.1000
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 0.3796 ( 2.90%)
Short-Term Price Target: 13.4796
At Price Target, profit is 28.9771 on $1000 investment. (+2.90%)
Close out >= half of your long position at about 13.4796
There is a small chance of price reaching 14.2659
If so, profit would be 89.0000 on $1000 investment. (+8.90%)
Close out all long position if price reaches 14.2659
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of JOE at its current price of 13.1000
You would be buying approximately 76.3359 shares.
At 13.4796 profit is 28.9771 on $1000 investment. (+2.90%)
In case of bear raid, expect the next bottom at about 12.3271
Buy $2,000 more at: 12.3271 will break even at: 12.5744
At 13.1000 gain is 125.3985 on $3,000 investment. (+4.18%)
At 13.4796 gain is 215.9635 on $3,000 investment. (+7.20%)
At 14.2659 gain is 403.5590 on $3,000 investment. (+13.45%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: DGI AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 17.4300
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 0.5125 ( 2.90%)
Short-Term Price Target: 17.9425
At Price Target, profit is 29.4033 on $1000 investment. (+2.94%)
Close out >= half of your long position at about 17.9425
There is a small chance of price reaching 19.3473
If so, profit would be 110.0000 on $1000 investment. (+11.00%)
Close out all long position if price reaches 19.3473
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of DGI at its current price of 17.4300
You would be buying approximately 57.3723 shares.
At 17.9425 profit is 29.4033 on $1000 investment. (+2.94%)
In case of bear raid, expect the next bottom at about 16.1402
Buy $2,000 more at: 16.1402 will break even at: 16.5484
At 17.4300 gain is 159.8272 on $3,000 investment. (+5.33%)
At 17.9425 gain is 252.7366 on $3,000 investment. (+8.42%)
At 19.3473 gain is 507.4082 on $3,000 investment. (+16.91%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: RGR AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 32.4700
STOCK RATING: BEARISH
Short-Term Price Potential is DOWN: -1.3084 (-4.00%)
Short-Term Price Target: 31.1616
At Price Target, profit is 40.2957 on $1000 investment. (+4.03%)
Close out >= half of your short position at about 31.1616
There is a small chance of price reaching 26.7228
If so, your profit would be 177.0000 on $1000 investment. (+17.70%)
Close out all short position if price reaches 26.7228
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of RGR at its current price of 32.4700
you would be selling short approximately 30.7977 shares.
At Target of 31.1616 profit is 40.2957 on $1000 investment. (+4.03%)
In case of short squeeze, expect the next peak at about 33.4766
Sell short $2,000 more at: 33.4766 will break even at: 33.1342
At 32.4700 profit is 60.1358 on $3,000 investment. (+2.00%)
At 31.1616 profit is 178.5996 on $3,000 investment. (+5.95%)
At 26.7228 profit is 580.4918 on $3,000 investment. (+19.35%)
☆─────────────────────────────────────☆
flac (fish) 于 (Tue Nov 8 01:22:20 2011, 美东) 提到:
HUM, X
Thanks
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Tue Nov 8 01:24:04 2011, 美东) 提到:
.....................
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: RDN AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 2.9500
STOCK RATING: SLIGHTLY BEARISH
Short-Term Price Potential is DOWN: -0.2159 (-7.30%)
Short-Term Price Target: 2.7341
At Price Target, profit is 73.1864 on $1000 investment. (+7.32%)
Close out >= half of your short position at about 2.7341
There is a small chance of price reaching 2.3689
If so, your profit would be 197.0000 on $1000 investment. (+19.70%)
Close out all short position if price reaches 2.3689
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of RDN at its current price of 2.9500
you would be selling short approximately 338.9831 shares.
At Target of 2.7341 profit is 73.1864 on $1000 investment. (+7.32%)
In case of short squeeze, expect the next peak at about 3.4043
Sell short $2,000 more at: 3.4043 will break even at: 3.2381
At 2.9500 profit is 266.8977 on $3,000 investment. (+8.90%)
At 2.7341 profit is 466.9238 on $3,000 investment. (+15.56%)
At 2.3689 profit is 805.3189 on $3,000 investment. (+26.84%)
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Tue Nov 8 01:25:47 2011, 美东) 提到:
..........................
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: NFLX AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 90.8600
STOCK RATING: BEARISH
Short-Term Price Potential is DOWN: -6.3486 (-7.00%)
Short-Term Price Target: 84.5114
At Price Target, profit is 69.8723 on $1000 investment. (+6.99%)
Close out >= half of your short position at about 84.5114
There is a small chance of price reaching 70.9617
If so, your profit would be 219.0000 on $1000 investment. (+21.90%)
Close out all short position if price reaches 70.9617
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of NFLX at its current price of 90.8600
you would be selling short approximately 11.0059 shares.
At Target of 84.5114 profit is 69.8723 on $1000 investment. (+6.99%)
In case of short squeeze, expect the next peak at about 92.6772
Sell short $2,000 more at: 92.6772 will break even at: 92.0634
At 90.8600 profit is 39.2157 on $3,000 investment. (+1.31%)
At 84.5114 profit is 246.0926 on $3,000 investment. (+8.20%)
At 70.9617 profit is 687.6275 on $3,000 investment. (+22.92%)
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Tue Nov 8 01:29:28 2011, 美东) 提到:
.......................
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: HUM AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 87.1400
STOCK RATING: ESSENTIALLY NEUTRAL
Short-Term Price Potential is DOWN: -0.8073 (-0.90%)
Short-Term Price Target: 86.3327
At Price Target, profit is 9.2644 on $1000 investment. (+0.93%)
Close out >= half of your short position at about 86.3327
There is a small chance of price reaching 80.6045
If so, your profit would be 75.0000 on $1000 investment. (+7.50%)
Close out all short position if price reaches 80.6045
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of HUM at its current price of 87.1400
you would be selling short approximately 11.4758 shares.
At Target of 86.3327 profit is 9.2644 on $1000 investment. (+0.93%)
In case of short squeeze, expect the next peak at about 90.9742
Sell short $2,000 more at: 90.9742 will break even at: 89.6592
At 87.1400 profit is 84.2912 on $3,000 investment. (+2.81%)
At 86.3327 profit is 111.3035 on $3,000 investment. (+3.71%)
At 80.6045 profit is 302.9693 on $3,000 investment. (+10.10%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: X AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 27.3600
STOCK RATING: SLIGHTLY BEARISH
Short-Term Price Potential is DOWN: -1.2980 (-4.70%)
Short-Term Price Target: 26.0620
At Price Target, profit is 47.4415 on $1000 investment. (+4.74%)
Close out >= half of your short position at about 26.0620
There is a small chance of price reaching 24.0221
If so, your profit would be 122.0000 on $1000 investment. (+12.20%)
Close out all short position if price reaches 24.0221
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of X at its current price of 27.3600
you would be selling short approximately 36.5497 shares.
At Target of 26.0620 profit is 47.4415 on $1000 investment. (+4.74%)
In case of short squeeze, expect the next peak at about 30.1234
Sell short $2,000 more at: 30.1234 will break even at: 29.1422
At 27.3600 profit is 183.4696 on $3,000 investment. (+6.12%)
At 26.0620 profit is 317.0901 on $3,000 investment. (+10.57%)
At 24.0221 profit is 527.0863 on $3,000 investment. (+17.57%)
☆─────────────────────────────────────☆
tardiness (gai) 于 (Tue Nov 8 01:35:56 2011, 美东) 提到:
BAC please
☆─────────────────────────────────────☆
KDnewborn (KD) 于 (Tue Nov 8 01:46:24 2011, 美东) 提到:
CDTI, GURE. Thanks!
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Tue Nov 8 01:49:41 2011, 美东) 提到:
.......................
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: BAC AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 6.4300
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 0.1388 ( 2.20%)
Short-Term Price Target: 6.5688
At Price Target, profit is 21.5863 on $1000 investment. (+2.16%)
Close out >= half of your long position at about 6.5688
There is a small chance of price reaching 7.4266
If so, profit would be 155.0000 on $1000 investment. (+15.50%)
Close out all long position if price reaches 7.4266
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of BAC at its current price of 6.4300
You would be buying approximately 155.5210 shares.
At 6.5688 profit is 21.5863 on $1000 investment. (+2.16%)
In case of bear raid, expect the next bottom at about 6.0378
Buy $2,000 more at: 6.0378 will break even at: 6.1631
At 6.4300 gain is 129.9255 on $3,000 investment. (+4.33%)
At 6.5688 gain is 197.4890 on $3,000 investment. (+6.58%)
At 7.4266 gain is 615.0639 on $3,000 investment. (+20.50%)
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Tue Nov 8 02:00:35 2011, 美东) 提到:
.......................
GURE not available. Reason unknown.
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: CDTI AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 3.3700
STOCK RATING: ESSENTIALLY NEUTRAL
Short-Term Price Potential is DOWN: -0.0504 (-1.50%)
Short-Term Price Target: 3.3196
At Price Target, profit is 14.9555 on $1000 investment. (+1.50%)
Close out >= half of your short position at about 3.3196
There is a small chance of price reaching 2.9083
If so, your profit would be 137.0000 on $1000 investment. (+13.70%)
Close out all short position if price reaches 2.9083
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of CDTI at its current price of 3.3700
you would be selling short approximately 296.7359 shares.
At Target of 3.3196 profit is 14.9555 on $1000 investment. (+1.50%)
In case of short squeeze, expect the next peak at about 4.2799
Sell short $2,000 more at: 4.2799 will break even at: 3.9265
At 3.3700 profit is 425.1969 on $3,000 investment. (+14.17%)
At 3.3196 profit is 463.7043 on $3,000 investment. (+15.46%)
At 2.9083 profit is 777.9449 on $3,000 investment. (+25.93%)
☆─────────────────────────────────────☆
KDnewborn (KD) 于 (Tue Nov 8 02:05:01 2011, 美东) 提到:
谢谢!
☆─────────────────────────────────────☆
tardiness (gai) 于 (Tue Nov 8 02:14:02 2011, 美东) 提到:
Thanks a bunch,肥猫!
☆─────────────────────────────────────☆
Osiris (琵琶一曲一千年) 于 (Tue Nov 8 06:21:49 2011, 美东) 提到:
That's cool. Thanks a lot.
☆─────────────────────────────────────☆
hill168 (认真学习中。) 于 (Tue Nov 8 06:50:18 2011, 美东) 提到:
肥貓連NICE SYMBOL都有。還是bullish的,不錯
我問下GOL和GS吧。謝謝
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Tue Nov 8 09:28:19 2011, 美东) 提到:
.........................
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: GOL AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 8.2500
STOCK RATING: ESSENTIALLY NEUTRAL
Short-Term Price Potential is DOWN: -0.2735 (-3.30%)
Short-Term Price Target: 7.9765
At Price Target, profit is 33.1515 on $1000 investment. (+3.32%)
Close out >= half of your short position at about 7.9765
There is a small chance of price reaching 7.3095
If so, your profit would be 114.0000 on $1000 investment. (+11.40%)
Close out all short position if price reaches 7.3095
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of GOL at its current price of 8.2500
you would be selling short approximately 121.2121 shares.
At Target of 7.9765 profit is 33.1515 on $1000 investment. (+3.32%)
In case of short squeeze, expect the next peak at about 9.1905
Sell short $2,000 more at: 9.1905 will break even at: 8.8540
At 8.2500 profit is 204.6679 on $3,000 investment. (+6.82%)
At 7.9765 profit is 297.3374 on $3,000 investment. (+9.91%)
At 7.3095 profit is 523.3357 on $3,000 investment. (+17.44%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: GS AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 105.6400
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 0.1026 ( 0.10%)
Short-Term Price Target: 105.7426
At Price Target, profit is 0.9712 on $1000 investment. (+0.10%)
Close out >= half of your long position at about 105.7426
There is a small chance of price reaching 115.2532
If so, profit would be 91.0000 on $1000 investment. (+9.10%)
Close out all long position if price reaches 115.2532
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of GS at its current price of 105.6400
You would be buying approximately 9.4661 shares.
At 105.7426 profit is 0.9712 on $1000 investment. (+0.10%)
In case of bear raid, expect the next bottom at about 99.7242
Buy $2,000 more at: 99.7242 will break even at: 101.6211
At 105.6400 gain is 118.6441 on $3,000 investment. (+3.95%)
At 105.7426 gain is 121.6730 on $3,000 investment. (+4.06%)
At 115.2532 gain is 402.4407 on $3,000 investment. (+13.41%)
☆─────────────────────────────────────☆
angelakitten (angelakitten) 于 (Tue Nov 8 10:06:26 2011, 美东) 提到:
DHT,
thanks
☆─────────────────────────────────────☆
hill168 (认真学习中。) 于 (Tue Nov 8 10:11:56 2011, 美东) 提到:
谢了。
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Tue Nov 8 10:28:50 2011, 美东) 提到:
Further short-squeeze in PCLN detected this morning.
So wait for tonight's new target before adding more
short position.
It is important to control your risk by controlling
the amount of short selling.
And keep plenty of cash reserve.
By short-squeezing at this high price level, the MMs
(or rather the funds they direct) are assuming high
risk of correction and loss as well.
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Tue Nov 8 10:31:07 2011, 美东) 提到:
.................
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: DHT AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 1.2900
STOCK RATING: BULLISH
Short-Term Price Potential is UP: 0.0953 ( 7.40%)
Short-Term Price Target: 1.3853
At Price Target, profit is 73.8760 on $1000 investment. (+7.39%)
Close out >= half of your long position at about 1.3853
There is a small chance of price reaching 1.4951
If so, profit would be 159.0000 on $1000 investment. (+15.90%)
Close out all long position if price reaches 1.4951
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of DHT at its current price of 1.2900
You would be buying approximately 775.1938 shares.
At 1.3853 profit is 73.8760 on $1000 investment. (+7.39%)
In case of bear raid, expect the next bottom at about 1.2616
Buy $2,000 more at: 1.2616 will break even at: 1.2709
At 1.2900 gain is 44.9898 on $3,000 investment. (+1.50%)
At 1.3853 gain is 269.9413 on $3,000 investment. (+9.00%)
At 1.4951 gain is 529.1431 on $3,000 investment. (+17.64%)
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Tue Nov 8 10:39:18 2011, 美东) 提到:
.........................
Without tonight's forecast, my guess is that PCLN's
short-squeeze limit would be around $540 or somewhat
higher. It would be extremely overbought at that
price level.
The funds and MMs squeezing at that level would be
exposed to much above average downside risk and will
have to depend on shorts taking shares from them,
not adding to short position. No doubt, many will be
scared and cover right at or near a major peak.
Were they to know that that would be a major peak
and add to their short position instead of covering,
the MMs and funds would be in big trouble.
Anyway, wait for update on PCLN tonight before deciding
what to do next.
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Tue Nov 8 11:01:54 2011, 美东) 提到:
For those curious about them:
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: GOOG AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 608.8000
STOCK RATING: MODESTLY BEARISH
Short-Term Price Potential is DOWN:-13.9346 (-2.30%)
Short-Term Price Target: 594.8654
At Price Target, profit is 22.8886 on $1000 investment. (+2.29%)
Close out >= half of your short position at about 594.8654
There is a small chance of price reaching 557.0520
If so, your profit would be 85.0000 on $1000 investment. (+8.50%)
Close out all short position if price reaches 557.0520
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of GOOG at its current price of 608.8000
you would be selling short approximately 1.6426 shares.
At Target of 594.8654 profit is 22.8886 on $1000 investment. (+2.29%)
In case of short squeeze, expect the next peak at about 625.8464
Sell short $2,000 more at: 625.8464 will break even at: 620.0592
At 608.8000 profit is 54.4747 on $3,000 investment. (+1.82%)
At 594.8654 profit is 121.8938 on $3,000 investment. (+4.06%)
At 557.0520 profit is 304.8444 on $3,000 investment. (+10.16%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: YHOO AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 15.6900
STOCK RATING: ESSENTIALLY NEUTRAL
Short-Term Price Potential is DOWN: -0.3468 (-2.20%)
Short-Term Price Target: 15.3432
At Price Target, profit is 22.1033 on $1000 investment. (+2.21%)
Close out >= half of your short position at about 15.3432
There is a small chance of price reaching 14.2779
If so, your profit would be 90.0000 on $1000 investment. (+9.00%)
Close out all short position if price reaches 14.2779
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of YHOO at its current price of 15.6900
you would be selling short approximately 63.7349 shares.
At Target of 15.3432 profit is 22.1033 on $1000 investment. (+2.21%)
In case of short squeeze, expect the next peak at about 16.7883
Sell short $2,000 more at: 16.7883 will break even at: 16.4055
At 15.6900 profit is 130.8411 on $3,000 investment. (+4.36%)
At 15.3432 profit is 194.2589 on $3,000 investment. (+6.48%)
At 14.2779 profit is 389.0654 on $3,000 investment. (+12.97%)
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Tue Nov 8 11:34:33 2011, 美东) 提到:
The truth is:
You learn a lot more about MMs and how they manipulate
a stock, when you short something like PCLN.
Right now, MMs of PCLN are at a dilemma as to what to
do next. PCLN has been squeezed to its current price
of $536.
If there is not enough short-covering, MMs will need to
squeeze it higher. But starting at $540, there are a
lot of trapped longs waiting to break even. So net short
covering may not be enough to offset the net selling.
But were the MMs to allow PCLN to go down from $536 level,
they would have little profit to show and may well cause
more sell orders including short orders.
If you were the MM in PCLN, what would you do?
☆─────────────────────────────────────☆
focis (开始的日子) 于 (Tue Nov 8 11:36:31 2011, 美东) 提到:
FMCN XIV
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Tue Nov 8 11:45:27 2011, 美东) 提到:
.....................
XIV not available, sorry.
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: FMCN AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 26.6200
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 0.0231 ( 0.10%)
Short-Term Price Target: 26.6431
At Price Target, profit is 0.8678 on $1000 investment. (+0.09%)
Close out >= half of your long position at about 26.6431
There is a small chance of price reaching 31.6512
If so, profit would be 189.0000 on $1000 investment. (+18.90%)
Close out all long position if price reaches 31.6512
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of FMCN at its current price of 26.6200
You would be buying approximately 37.5657 shares.
At 26.6431 profit is 0.8678 on $1000 investment. (+0.09%)
In case of bear raid, expect the next bottom at about 19.2995
Buy $2,000 more at: 19.2995 will break even at: 21.2472
At 26.6200 gain is 758.6207 on $3,000 investment. (+25.29%)
At 26.6431 gain is 761.8823 on $3,000 investment. (+25.40%)
At 31.6512 gain is 1469.0000 on $3,000 investment. (+48.97%)
☆─────────────────────────────────────☆
hdtv (发光二极管) 于 (Tue Nov 8 11:57:08 2011, 美东) 提到:
CVVT please.
Thanks!
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Tue Nov 8 12:26:45 2011, 美东) 提到:
................
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: CVVT AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 3.2300
STOCK RATING: ESSENTIALLY NEUTRAL
Short-Term Price Potential is DOWN: -0.0001 (-0.00%)
Short-Term Price Target: 3.2299
At Price Target, profit is 0.0310 on $1000 investment. (+0.00%)
Close out >= half of your short position at about 3.2299
There is a small chance of price reaching 2.9748
If so, your profit would be 79.0000 on $1000 investment. (+7.90%)
Close out all short position if price reaches 2.9748
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of CVVT at its current price of 3.2300
you would be selling short approximately 309.5975 shares.
At Target of 3.2299 profit is 0.0310 on $1000 investment. (+0.00%)
In case of short squeeze, expect the next peak at about 3.7080
Sell short $2,000 more at: 3.7080 will break even at: 3.5337
At 3.2300 profit is 257.8397 on $3,000 investment. (+8.59%)
At 3.2299 profit is 257.9246 on $3,000 investment. (+8.60%)
At 2.9748 profit is 474.4704 on $3,000 investment. (+15.82%)
☆─────────────────────────────────────☆
hdtv (发光二极管) 于 (Tue Nov 8 12:29:34 2011, 美东) 提到:
thanks
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Tue Nov 8 14:05:59 2011, 美东) 提到:
Just studied the chart for PCLN.
I seriously doubt that PCLN can truly break above $550.
Or if it does, it can stay above it for long, except to
create a bull trap, before tumbling down.
Of course, I will wait for tonight's results for further
confirmation.
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Tue Nov 8 14:21:41 2011, 美东) 提到:
...........................
There is a good chance that $545.78 will be today's
intra-day high for PCLN, without a higher peak for
the rest of the day.
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Tue Nov 8 15:10:00 2011, 美东) 提到:
..............................
I am impressed by MMs' ability to summon fund managers
to act as cannon fodder for squeezing a stock even at
extremely overbought levels.
But let's see if they can push PCLN above $550. I have
great doubts that they can.
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Tue Nov 8 15:24:49 2011, 美东) 提到:
MCD reached intra-day, and historical, high of $95.45.
However, a re-test of that historical peak will happen
very soon, perhaps tomorrow.
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: MCD AS OF 20111107 (YYYYMMDD)
CLOSING PRICE ON 20111107 was 94.6200
STOCK RATING: MODESTLY BEARISH
Short-Term Price Potential is DOWN: -1.2950 (-1.40%)
Short-Term Price Target: 93.3250
At Price Target, profit is 13.6863 on $1000 investment. (+1.37%)
Close out >= half of your short position at about 93.3250
There is a small chance of price reaching 90.5513
If so, your profit would be 43.0000 on $1000 investment. (+4.30%)
Close out all short position if price reaches 90.5513
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of MCD at its current price of 94.6200
you would be selling short approximately 10.5686 shares.
At Target of 93.3250 profit is 13.6863 on $1000 investment. (+1.37%)
In case of short squeeze, expect the next peak at about 95.8501
Sell short $2,000 more at: 95.8501 will break even at: 95.4365
At 94.6200 profit is 25.6663 on $3,000 investment. (+0.86%)
At 93.3250 profit is 66.3740 on $3,000 investment. (+2.21%)
At 90.5513 profit is 153.5627 on $3,000 investment. (+5.12%)
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Tue Nov 8 16:00:00 2011, 美东) 提到:
http://www.mitbbs.com/article_t1/Stock/33978975_0_2.html
http://www.mitbbs.com/article/Stock/33979255_0.html
发信人: MB80528 (肥猫(Contrarian)[食MM而肥]), 信区: Stock
标 题: Re: 土人你忽悠下的做空pcln,是不是该给大家道个歉呀
发信站: BBS 未名空间站 (Tue Nov 8 15:47:52 2011, 美东)
..................
绝对是如此,这是一般多数人不明白的。
所以关键是量的控制。绝不能透支,而要保守。
如果相对户口来说,量小,价格差错些无所谓。
有1%到2%的价差可以忍受,如果波动是其3到5倍以上。
关键是必须力求保持有个别股票投入量的三到五倍的现金。
一旦失利,就必须更加保守,例如在预期的利润达到一半,
或三分之二时,就开始收割。
其实用上面的方法,还是可以获得10%以上的年利润。
这已经比银行的利息高多了。新手就应该只求低利润。
等经验多了,信心足了,就能自然从10%安全有序的提高。
最终轻松达到一年30%到50%的年利润。
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Tue Nov 8 16:26:06 2011, 美东) 提到:
提供一个应付 Short Squeeze 的策略。
例如:
某股票目前是 500,
预测会跌至 430,
预测 Short Squeeze 的 上限是 550。
你在 500 卖空,
股票稍跌后反弹,
你判断这是 Short Squeeze。
于是每卖空 50 股,你购买一个 550 的 Call,
也就是两倍的卖空保护量。
这样,你在预期的高峰再卖空时,
你基本无忧,因为受到 Call 的保护。
由于对错一般几天内,或一星期内就知道,
所以这种 Call 的时效不需要多过一到两星期。
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Tue Nov 8 16:43:20 2011, 美东) 提到:
The Proper Way To Diversify
If you're a long-only trader/investor,
the proper way to diversify is not by
having lots of different stocks.
Why? Because when a bear market comes,
that diversification won't help you.
So, if you're a long-only or short-only
trader, it is cash reserve that will be
more important than one-sided diversification.
But let's say you're neither a permanent bull
nor permanent bear, then the proper way to
diversify is to have a portfolio half loaded
with short positions and the other half with
long positions, while still keeping a lot of
cash.
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Tue Nov 8 16:58:19 2011, 美东) 提到:
There is one extremely conservative short or long strategy:
If you have a stock that is very bearish or bullish and
you want to act on it.
Then you look at the shortest duration option and pick
the expiration that is between 1 to 2 weeks.
You then buy a straddle with the strike equal to the
stock price or slightly higher for selling short, and
slightly lower for going long.
Once you bought the straddle, you are ready to sell short
or buy long the stock with total peace of mind.
If price goes against you, you're fully protected by one
side of the straddle, while if you're right the other side
of the option also increases your profit by up to double.
Simple! Isn't it?
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Tue Nov 8 22:30:10 2011, 美东) 提到:
关于11月8日晚上预测的初步估计。
重点如下。
1。今天墙街有严重的 Short Squeeze,
受影响的股票众多,也比昨天的强度大多了。
2。PCLN的跌幅潜力增加到 -34元。
估计短期内会回吐到比现在价格低34元。
但明天PCLN还有可能再拉高。
目前的价位较有利于熊,不利于牛。
详细的数据在过两小时左右后应该能够取得,
到时会把最新的预测贴在此。
有兴趣查问任何股票的,请在此要求,
列出:
1。股票的符号,即 Ticker Symbol。
2。股票公司的英文名称。
股票不能是 ETF ,因为 ETF 拿不到。
☆─────────────────────────────────────☆
kbrhouston (石油工人-一切MM都是普赛,纸老虎) 于 (Tue Nov 8 22:31:42 2011, 美东) 提到:
多谢肥猫。。。明天等着加仓PCLN。。。
☆─────────────────────────────────────☆
davidibt (david) 于 (Tue Nov 8 22:37:03 2011, 美东) 提到:
肥猫是在哪儿搞到这些东西的啊?应该有软件算吧,要不工作量该多大呀。我准备加仓
SHORT CBI,EOG,股价太高的搞不了几股
☆─────────────────────────────────────☆
PMN (no news is no news!) 于 (Tue Nov 8 23:07:26 2011, 美东) 提到:
IMRS
Imris Inc
AONE
A123 Systems, Inc
多谢
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Tue Nov 8 23:14:08 2011, 美东) 提到:
PCLN 的 MM 太厉害了。
他们能指挥的基金庞大。
为了减低 PCLN 做空的风险,建议:
1。画或心里想象一个 Uptrend Line,
2。Uptrend Line 未破,就不加码做空。
3。为了避免被假摔误导,
即使 Uptrend 破但远未到预测高峰,
则再耐心等。
越是壮观的上冲,
一旦达到了极限高峰,
之后的下跌也会很壮观。
我觉得这次墙街对 PCLN 的挤空,
很可能会提供不少新的对MM能力的了解。
☆─────────────────────────────────────☆
Garfield09 (Garfield) 于 (Tue Nov 8 23:23:12 2011, 美东) 提到:
LULU,
Lululemon Athletica inc
POT,
Potash Corp./Saskatchewan (USA)
AMZN,
Amazon.com, Inc
Thanks.
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Wed Nov 9 00:20:51 2011, 美东) 提到:
........................
坦白说,这最新的挤空高峰价,557+,
比我期待的接近600低太多了。
不过看价格图,似乎还是合理。
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: PCLN AS OF 20111108 (YYYYMMDD)
CLOSING PRICE ON 20111108 was 552.8000
STOCK RATING: BEARISH
Short-Term Price Potential is DOWN:-34.3623 (-6.20%)
Short-Term Price Target: 518.4377
At Price Target, profit is 62.1605 on $1000 investment. (+6.22%)
Close out >= half of your short position at about 518.4377
There is a small chance of price reaching 476.5136
If so, your profit would be 138.0000 on $1000 investment. (+13.80%)
Close out all short position if price reaches 476.5136
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of PCLN at its current price of 552.8000
you would be selling short approximately 1.8090 shares.
At Target of 518.4377 profit is 62.1605 on $1000 investment. (+6.22%)
In case of short squeeze, expect the next peak at about 557.7752 《****
Sell short $2,000 more at: 557.7752 will break even at: 556.1069
At 552.8000 profit is 17.8394 on $3,000 investment. (+0.59%)
At 518.4377 profit is 203.2119 on $3,000 investment. (+6.77%)
At 476.5136 profit is 429.3776 on $3,000 investment. (+14.31%)
☆─────────────────────────────────────☆
kbrhouston (石油工人-一切MM都是普赛,纸老虎) 于 (Wed Nov 9 00:24:08 2011, 美东) 提到:
所以今天我一直忍着没加烧
想等到明天再看看走势
前面每次暴量后都有回调,看看明天怎么走
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Wed Nov 9 00:24:29 2011, 美东) 提到:
.............................
稍后我会给些价格低的。
CBI:
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: CBI AS OF 20111108 (YYYYMMDD)
CLOSING PRICE ON 20111108 was 37.7000
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 0.0928 ( 0.20%)
Short-Term Price Target: 37.7928
At Price Target, profit is 2.4615 on $1000 investment. (+0.25%)
Close out >= half of your long position at about 37.7928
There is a small chance of price reaching 41.1307
If so, profit would be 91.0000 on $1000 investment. (+9.10%)
Close out all long position if price reaches 41.1307
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of CBI at its current price of 37.7000
You would be buying approximately 26.5252 shares.
At 37.7928 profit is 2.4615 on $1000 investment. (+0.25%)
In case of bear raid, expect the next bottom at about 34.3824
Buy $2,000 more at: 34.3824 will break even at: 35.4214
At 37.7000 gain is 192.9825 on $3,000 investment. (+6.43%)
At 37.7928 gain is 200.8421 on $3,000 investment. (+6.69%)
At 41.1307 gain is 483.5439 on $3,000 investment. (+16.12%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: EOG AS OF 20111108 (YYYYMMDD)
CLOSING PRICE ON 20111108 was 101.9500
STOCK RATING: ESSENTIALLY NEUTRAL
Short-Term Price Potential is DOWN: -1.1022 (-1.10%)
Short-Term Price Target: 100.8478
At Price Target, profit is 10.8112 on $1000 investment. (+1.08%)
Close out >= half of your short position at about 100.8478
There is a small chance of price reaching 91.9589
If so, your profit would be 98.0000 on $1000 investment. (+9.80%)
Close out all short position if price reaches 91.9589
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of EOG at its current price of 101.9500
you would be selling short approximately 9.8087 shares.
At Target of 100.8478 profit is 10.8112 on $1000 investment. (+1.08%)
In case of short squeeze, expect the next peak at about 110.6158
Sell short $2,000 more at: 110.6158 will break even at: 107.5680
At 101.9500 profit is 156.6820 on $3,000 investment. (+5.22%)
At 100.8478 profit is 187.4217 on $3,000 investment. (+6.25%)
At 91.9589 profit is 435.3272 on $3,000 investment. (+14.51%)
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Wed Nov 9 00:33:18 2011, 美东) 提到:
.......................
AONE not available, reason unknown。
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: IMRS AS OF 20111108 (YYYYMMDD)
CLOSING PRICE ON 20111108 was 3.5600
STOCK RATING: BEARISH
Short-Term Price Potential is DOWN: -0.3046 (-8.60%)
Short-Term Price Target: 3.2554
At Price Target, profit is 85.5618 on $1000 investment. (+8.56%)
Close out >= half of your short position at about 3.2554
There is a small chance of price reaching 2.9050
If so, your profit would be 184.0000 on $1000 investment. (+18.40%)
Close out all short position if price reaches 2.9050
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of IMRS at its current price of 3.5600
you would be selling short approximately 280.8989 shares.
At Target of 3.2554 profit is 85.5618 on $1000 investment. (+8.56%)
In case of short squeeze, expect the next peak at about 3.6988
Sell short $2,000 more at: 3.6988 will break even at: 3.6514
At 3.5600 profit is 75.0722 on $3,000 investment. (+2.50%)
At 3.2554 profit is 325.3343 on $3,000 investment. (+10.84%)
At 2.9050 profit is 613.2589 on $3,000 investment. (+20.44%)
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Wed Nov 9 00:36:05 2011, 美东) 提到:
......................
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: LULU AS OF 20111108 (YYYYMMDD)
CLOSING PRICE ON 20111108 was 57.2000
STOCK RATING: ESSENTIALLY NEUTRAL
Short-Term Price Potential is DOWN: -0.3716 (-0.60%)
Short-Term Price Target: 56.8284
At Price Target, profit is 6.4965 on $1000 investment. (+0.65%)
Close out >= half of your short position at about 56.8284
There is a small chance of price reaching 50.5076
If so, your profit would be 117.0000 on $1000 investment. (+11.70%)
Close out all short position if price reaches 50.5076
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of LULU at its current price of 57.2000
you would be selling short approximately 17.4825 shares.
At Target of 56.8284 profit is 6.4965 on $1000 investment. (+0.65%)
In case of short squeeze, expect the next peak at about 59.9456
Sell short $2,000 more at: 59.9456 will break even at: 59.0016
At 57.2000 profit is 91.6031 on $3,000 investment. (+3.05%)
At 56.8284 profit is 110.4975 on $3,000 investment. (+3.68%)
At 50.5076 profit is 431.8855 on $3,000 investment. (+14.40%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: POT AS OF 20111108 (YYYYMMDD)
CLOSING PRICE ON 20111108 was 49.1900
STOCK RATING: ESSENTIALLY NEUTRAL
Short-Term Price Potential is DOWN: -1.0081 (-2.00%)
Short-Term Price Target: 48.1819
At Price Target, profit is 20.4940 on $1000 investment. (+2.05%)
Close out >= half of your short position at about 48.1819
There is a small chance of price reaching 44.7629
If so, your profit would be 90.0000 on $1000 investment. (+9.00%)
Close out all short position if price reaches 44.7629
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of POT at its current price of 49.1900
you would be selling short approximately 20.3293 shares.
At Target of 48.1819 profit is 20.4940 on $1000 investment. (+2.05%)
In case of short squeeze, expect the next peak at about 51.7971
Sell short $2,000 more at: 51.7971 will break even at: 50.8979
At 49.1900 profit is 100.6648 on $3,000 investment. (+3.36%)
At 48.1819 profit is 160.0838 on $3,000 investment. (+5.34%)
At 44.7629 profit is 361.6049 on $3,000 investment. (+12.05%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: AMZN AS OF 20111108 (YYYYMMDD)
CLOSING PRICE ON 20111108 was 217.8000
STOCK RATING: ESSENTIALLY NEUTRAL
Short-Term Price Potential is DOWN: 0.0216 ( 0.00%)
Short-Term Price Target: 217.8216
At Price Target, profit is 0.0992 on $1000 investment. (+0.01%)
Close out >= half of your long position at about 217.8216
There is a small chance of price reaching 231.7392
If so, profit would be 64.0000 on $1000 investment. (+6.40%)
Close out all long position if price reaches 231.7392
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of AMZN at its current price of 217.8000
You would be buying approximately 4.5914 shares.
At 217.8216 profit is 0.0992 on $1000 investment. (+0.01%)
In case of bear raid, expect the next bottom at about 191.2284
Buy $2,000 more at: 191.2284 will break even at: 199.3347
At 217.8000 gain is 277.9043 on $3,000 investment. (+9.26%)
At 217.8216 gain is 278.2294 on $3,000 investment. (+9.27%)
At 231.7392 gain is 487.6902 on $3,000 investment. (+16.26%)
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Wed Nov 9 00:41:32 2011, 美东) 提到:
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: HMSY AS OF 20111108 (YYYYMMDD)
CLOSING PRICE ON 20111108 was 30.5100
STOCK RATING: BEARISH
Short-Term Price Potential is DOWN: -4.4736 (-14.70%)
Short-Term Price Target: 26.0364
At Price Target, profit is 146.6273 on $1000 investment. (+14.66%)
Close out >= half of your short position at about 26.0364
There is a small chance of price reaching 9.9768
If so, your profit would be 673.0000 on $1000 investment. (+67.30%)
Close out all short position if price reaches 9.9768
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of HMSY at its current price of 30.5100
you would be selling short approximately 32.7761 shares.
At Target of 26.0364 profit is 146.6273 on $1000 investment. (+14.66%)
In case of short squeeze, expect the next peak at about 32.0660
Sell short $2,000 more at: 32.0660 will break even at: 31.5300
At 30.5100 profit is 97.0504 on $3,000 investment. (+3.24%)
At 26.0364 profit is 522.7022 on $3,000 investment. (+17.42%)
At 9.9768 profit is 2050.7355 on $3,000 investment. (+68.36%)
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Wed Nov 9 00:45:06 2011, 美东) 提到:
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: PLCM AS OF 20111108 (YYYYMMDD)
CLOSING PRICE ON 20111108 was 19.1200
STOCK RATING: BEARISH
Short-Term Price Potential is DOWN: -1.9868 (-10.40%)
Short-Term Price Target: 17.1332
At Price Target, profit is 103.9121 on $1000 investment. (+10.39%)
Close out >= half of your short position at about 17.1332
There is a small chance of price reaching 13.4031
If so, your profit would be 299.0000 on $1000 investment. (+29.90%)
Close out all short position if price reaches 13.4031
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of PLCM at its current price of 19.1200
you would be selling short approximately 52.3013 shares.
At Target of 17.1332 profit is 103.9121 on $1000 investment. (+10.39%)
In case of short squeeze, expect the next peak at about 19.5598
Sell short $2,000 more at: 19.5598 will break even at: 19.4109
At 19.1200 profit is 44.9658 on $3,000 investment. (+1.50%)
At 17.1332 profit is 352.0297 on $3,000 investment. (+11.73%)
At 13.4031 profit is 928.5210 on $3,000 investment. (+30.95%)
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flac (fish) 于 (Wed Nov 9 00:46:58 2011, 美东) 提到:
any update on SAM CREE EL VECO?
Thanks
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Wed Nov 9 00:50:15 2011, 美东) 提到:
............................
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: SAM AS OF 20111108 (YYYYMMDD)
CLOSING PRICE ON 20111108 was 99.7600
STOCK RATING: ESSENTIALLY NEUTRAL
Short-Term Price Potential is DOWN: -0.1523 (-0.20%)
Short-Term Price Target: 99.6077
At Price Target, profit is 1.5267 on $1000 investment. (+0.15%)
Close out >= half of your short position at about 99.6077
There is a small chance of price reaching 95.7696
If so, your profit would be 40.0000 on $1000 investment. (+4.00%)
Close out all short position if price reaches 95.7696
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of SAM at its current price of 99.7600
you would be selling short approximately 10.0241 shares.
At Target of 99.6077 profit is 1.5267 on $1000 investment. (+0.15%)
In case of short squeeze, expect the next peak at about 107.0425
Sell short $2,000 more at: 107.0425 will break even at: 104.4997
At 99.7600 profit is 136.0671 on $3,000 investment. (+4.54%)
At 99.6077 profit is 140.4394 on $3,000 investment. (+4.68%)
At 95.7696 profit is 250.6244 on $3,000 investment. (+8.35%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: CREE AS OF 20111108 (YYYYMMDD)
CLOSING PRICE ON 20111108 was 30.8700
STOCK RATING: BEARISH
Short-Term Price Potential is DOWN: -1.9012 (-6.20%)
Short-Term Price Target: 28.9688
At Price Target, profit is 61.5873 on $1000 investment. (+6.16%)
Close out >= half of your short position at about 28.9688
There is a small chance of price reaching 25.0664
If so, your profit would be 188.0000 on $1000 investment. (+18.80%)
Close out all short position if price reaches 25.0664
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of CREE at its current price of 30.8700
you would be selling short approximately 32.3939 shares.
At Target of 28.9688 profit is 61.5873 on $1000 investment. (+6.16%)
In case of short squeeze, expect the next peak at about 31.9505
Sell short $2,000 more at: 31.9505 will break even at: 31.5820
At 30.8700 profit is 67.6329 on $3,000 investment. (+2.25%)
At 28.9688 profit is 248.2294 on $3,000 investment. (+8.27%)
At 25.0664 profit is 618.9179 on $3,000 investment. (+20.63%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: EL AS OF 20111108 (YYYYMMDD)
CLOSING PRICE ON 20111108 was 117.5500
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 1.0336 ( 0.90%)
Short-Term Price Target: 118.5836
At Price Target, profit is 8.7929 on $1000 investment. (+0.88%)
Close out >= half of your long position at about 118.5836
There is a small chance of price reaching 131.1858
If so, profit would be 116.0000 on $1000 investment. (+11.60%)
Close out all long position if price reaches 131.1858
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of EL at its current price of 117.5500
You would be buying approximately 8.5070 shares.
At 118.5836 profit is 8.7929 on $1000 investment. (+0.88%)
In case of bear raid, expect the next bottom at about 111.9076
Buy $2,000 more at: 111.9076 will break even at: 113.7272
At 117.5500 gain is 100.8403 on $3,000 investment. (+3.36%)
At 118.5836 gain is 128.1056 on $3,000 investment. (+4.27%)
At 131.1858 gain is 460.5378 on $3,000 investment. (+15.35%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: VECO AS OF 20111108 (YYYYMMDD)
CLOSING PRICE ON 20111108 was 28.6700
STOCK RATING: MODESTLY BEARISH
Short-Term Price Potential is DOWN: -1.5432 (-5.40%)
Short-Term Price Target: 27.1268
At Price Target, profit is 53.8263 on $1000 investment. (+5.38%)
Close out >= half of your short position at about 27.1268
There is a small chance of price reaching 23.9968
If so, your profit would be 163.0000 on $1000 investment. (+16.30%)
Close out all short position if price reaches 23.9968
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of VECO at its current price of 28.6700
you would be selling short approximately 34.8797 shares.
At Target of 27.1268 profit is 53.8263 on $1000 investment. (+5.38%)
In case of short squeeze, expect the next peak at about 30.0748
Sell short $2,000 more at: 30.0748 will break even at: 29.5915
At 28.6700 profit is 93.4223 on $3,000 investment. (+3.11%)
At 27.1268 profit is 249.8726 on $3,000 investment. (+8.33%)
At 23.9968 profit is 567.1945 on $3,000 investment. (+18.91%)
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hdtv (发光二极管) 于 (Wed Nov 9 08:52:51 2011, 美东) 提到:
TRGT please
Thanks!
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yangliu2 (吃饭) 于 (Wed Nov 9 11:12:00 2011, 美东) 提到:
xom, fdx, tif, wmt, chd, dell, wfc, int
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flip (FLip) 于 (Wed Nov 9 11:41:14 2011, 美东) 提到:
Pls say something about ALSK. Why dropped that mnuch?
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coffeer (coffeer) 于 (Wed Nov 9 15:26:32 2011, 美东) 提到:
ANF, HD. Thnx a lot!
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Wed Nov 9 17:00:45 2011, 美东) 提到:
今天一早出门送朋友去办事,刚刚才回来。
看来熊熊们今天做得不错。 最新预测就等今晚吧。
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Thu Nov 10 00:07:56 2011, 美东) 提到:
刚得到消息,
系统和数据库有些问题。
要等到明天早上四点才有最新预测。
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kbrhouston (石油工人-一切MM都是普赛,纸老虎) 于 (Thu Nov 10 00:12:00 2011, 美东) 提到:
肥猫费心了
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Thu Nov 10 00:17:54 2011, 美东) 提到:
根据分析,
昨天有许多资金被墙街调去PCLN挤空,
结果今早PCLN开市就跌,基金被套牢。
基金管理层一般好胜心很强,很自大,
所以绝不轻易服输,反而会设法护盘,
这就是为什么PCLN不容易跌的原因。
但PCLN继续下跌是肯定的只是需要时间。
一旦下跌到基金的止损点,就会瀑布。
所以真正精彩的瀑布跌好戏在后头,
这是基金参与挤空失败后的特点。
☆─────────────────────────────────────☆
liai (科学家) 于 (Thu Nov 10 00:21:16 2011, 美东) 提到:
renn
date
tudou
qihu
youku
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kbrhouston (石油工人-一切MM都是普赛,纸老虎) 于 (Thu Nov 10 00:25:31 2011, 美东) 提到:
昨天感觉多方内力深厚,比张三丰加上觉远大师的内功都高
肯定是资金雄厚。
就等着牙瀑布到400
Cmg也是猪坚强,死撑
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Thu Nov 10 00:32:45 2011, 美东) 提到:
......................
基金和墙街是一丘之貉,
所以能击败他们是殊荣。
另外,能在猪市和牛市做空获利,
在牛市做多获利就变成囊中取物。
所以年轻时多一些磨练,是好事。
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Thu Nov 10 00:38:42 2011, 美东) 提到:
........................
有些符号似乎不对。
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Thu Nov 10 08:58:38 2011, 美东) 提到:
.......................
抱歉,预测无法取得。
朋友们整晚都在 Debug。
现在还在努力,还没有解决。
何时解决,目前也无法预知。
市场今天可能反弹。
所以应该见好就收,
并且做必要的保护。
等反弹完毕后再烧。
PCLN短中期还没有跌完,
但今天有些反弹也不意外。
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Thu Nov 10 10:59:26 2011, 美东) 提到:
AONE available today:
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: AS OF 20111109 (YYYYMMDD)
CLOSING PRICE ON 20111109 was 3.0900
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 0.0370 ( 1.20%)
Short-Term Price Target: 3.1270
At Price Target, profit is 11.9741 on $1000 investment. (+1.20%)
Close out >= half of your long position at about 3.1270
There is a small chance of price reaching 3.7018
If so, profit would be 198.0000 on $1000 investment. (+19.80%)
Close out all long position if price reaches 3.7018
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of at its current price of 3.0900
You would be buying approximately 323.6246 shares.
At 3.1270 profit is 11.9741 on $1000 investment. (+1.20%)
In case of bear raid, expect the next bottom at about 2.7007
Buy $2,000 more at: 2.7007 will break even at: 2.8191
At 3.0900 gain is 288.3295 on $3,000 investment. (+9.61%)
At 3.1270 gain is 327.7043 on $3,000 investment. (+10.92%)
At 3.7018 gain is 939.4188 on $3,000 investment. (+31.31%)
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Thu Nov 10 11:05:36 2011, 美东) 提到:
........................
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: TRGT AS OF 20111109 (YYYYMMDD)
CLOSING PRICE ON 20111109 was 7.7700
STOCK RATING: BULLISH
Short-Term Price Potential is UP: 4.7668 (61.30%)
Short-Term Price Target: 12.5368
At Price Target, profit is 613.4878 on $1000 investment. (+61.35%)
Close out >= half of your long position at about 12.5368
There is a small chance of price reaching 13.0225
If so, profit would be 676.0000 on $1000 investment. (+67.60%)
Close out all long position if price reaches 13.0225
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of TRGT at its current price of 7.7700
You would be buying approximately 128.7001 shares.
At 12.5368 profit is 613.4878 on $1000 investment. (+61.35%)
In case of bear raid, expect the next bottom at about 7.7311
Buy $2,000 more at: 7.7311 will break even at: 7.7441
At 7.7700 gain is 10.0503 on $3,000 investment. (+0.34%)
At 12.5368 gain is 1856.6793 on $3,000 investment. (+61.89%)
At 13.0225 gain is 2044.8442 on $3,000 investment. (+68.16%)
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Thu Nov 10 11:35:44 2011, 美东) 提到:
.........................................
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: XOM AS OF 20111109 (YYYYMMDD)
CLOSING PRICE ON 20111109 was 77.3200
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 0.7641 ( 1.00%)
Short-Term Price Target: 78.0841
At Price Target, profit is 9.8823 on $1000 investment. (+0.99%)
Close out >= half of your long position at about 78.0841
There is a small chance of price reaching 79.8716
If so, profit would be 33.0000 on $1000 investment. (+3.30%)
Close out all long position if price reaches 79.8716
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of XOM at its current price of 77.3200
You would be buying approximately 12.9333 shares.
At 78.0841 profit is 9.8823 on $1000 investment. (+0.99%)
In case of bear raid, expect the next bottom at about 73.4540
Buy $2,000 more at: 73.4540 will break even at: 74.6990
At 77.3200 gain is 105.2632 on $3,000 investment. (+3.51%)
At 78.0841 gain is 135.9503 on $3,000 investment. (+4.53%)
At 79.8716 gain is 207.7368 on $3,000 investment. (+6.92%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: FDX AS OF 20111109 (YYYYMMDD)
CLOSING PRICE ON 20111109 was 79.1100
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 1.6807 ( 2.10%)
Short-Term Price Target: 80.7907
At Price Target, profit is 21.2451 on $1000 investment. (+2.12%)
Close out >= half of your long position at about 80.7907
There is a small chance of price reaching 84.0148
If so, profit would be 62.0000 on $1000 investment. (+6.20%)
Close out all long position if price reaches 84.0148
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of FDX at its current price of 79.1100
You would be buying approximately 12.6406 shares.
At 80.7907 profit is 21.2451 on $1000 investment. (+2.12%)
In case of bear raid, expect the next bottom at about 73.8096
Buy $2,000 more at: 73.8096 will break even at: 75.4957
At 79.1100 gain is 143.6227 on $3,000 investment. (+4.79%)
At 80.7907 gain is 210.4093 on $3,000 investment. (+7.01%)
At 84.0148 gain is 338.5273 on $3,000 investment. (+11.28%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: TIF AS OF 20111109 (YYYYMMDD)
CLOSING PRICE ON 20111109 was 75.1500
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 1.6594 ( 2.20%)
Short-Term Price Target: 76.8094
At Price Target, profit is 22.0812 on $1000 investment. (+2.21%)
Close out >= half of your long position at about 76.8094
There is a small chance of price reaching 81.1620
If so, profit would be 80.0000 on $1000 investment. (+8.00%)
Close out all long position if price reaches 81.1620
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of TIF at its current price of 75.1500
You would be buying approximately 13.3067 shares.
At 76.8094 profit is 22.0812 on $1000 investment. (+2.21%)
In case of bear raid, expect the next bottom at about 67.2593
Buy $2,000 more at: 67.2593 will break even at: 69.6987
At 75.1500 gain is 234.6369 on $3,000 investment. (+7.82%)
At 76.8094 gain is 306.0614 on $3,000 investment. (+10.20%)
At 81.1620 gain is 493.4078 on $3,000 investment. (+16.45%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: WMT AS OF 20111109 (YYYYMMDD)
CLOSING PRICE ON 20111109 was 57.7900
STOCK RATING: ESSENTIALLY NEUTRAL
Short-Term Price Potential is DOWN: -0.1996 (-0.30%)
Short-Term Price Target: 57.5904
At Price Target, profit is 3.4539 on $1000 investment. (+0.35%)
Close out >= half of your short position at about 57.5904
There is a small chance of price reaching 55.1895
If so, your profit would be 45.0000 on $1000 investment. (+4.50%)
Close out all short position if price reaches 55.1895
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of WMT at its current price of 57.7900
you would be selling short approximately 17.3040 shares.
At Target of 57.5904 profit is 3.4539 on $1000 investment. (+0.35%)
In case of short squeeze, expect the next peak at about 58.5413
Sell short $2,000 more at: 58.5413 will break even at: 58.2887
At 57.7900 profit is 25.6663 on $3,000 investment. (+0.86%)
At 57.5904 profit is 35.9393 on $3,000 investment. (+1.20%)
At 55.1895 profit is 159.5114 on $3,000 investment. (+5.32%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: CHD AS OF 20111109 (YYYYMMDD)
CLOSING PRICE ON 20111109 was 42.8400
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 0.3863 ( 0.90%)
Short-Term Price Target: 43.2263
At Price Target, profit is 9.0173 on $1000 investment. (+0.90%)
Close out >= half of your long position at about 43.2263
There is a small chance of price reaching 44.2537
If so, profit would be 33.0000 on $1000 investment. (+3.30%)
Close out all long position if price reaches 44.2537
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of CHD at its current price of 42.8400
You would be buying approximately 23.3427 shares.
At 43.2263 profit is 9.0173 on $1000 investment. (+0.90%)
In case of bear raid, expect the next bottom at about 41.8975
Buy $2,000 more at: 41.8975 will break even at: 42.2070
At 42.8400 gain is 44.9898 on $3,000 investment. (+1.50%)
At 43.2263 gain is 72.4473 on $3,000 investment. (+2.41%)
At 44.2537 gain is 145.4744 on $3,000 investment. (+4.85%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: DELL AS OF 20111109 (YYYYMMDD)
CLOSING PRICE ON 20111109 was 14.8300
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 0.3803 ( 2.60%)
Short-Term Price Target: 15.2103
At Price Target, profit is 25.6440 on $1000 investment. (+2.56%)
Close out >= half of your long position at about 15.2103
There is a small chance of price reaching 16.2537
If so, profit would be 96.0000 on $1000 investment. (+9.60%)
Close out all long position if price reaches 16.2537
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of DELL at its current price of 14.8300
You would be buying approximately 67.4309 shares.
At 15.2103 profit is 25.6440 on $1000 investment. (+2.56%)
In case of bear raid, expect the next bottom at about 14.4148
Buy $2,000 more at: 14.4148 will break even at: 14.5506
At 14.8300 gain is 57.6132 on $3,000 investment. (+1.92%)
At 15.2103 gain is 136.0225 on $3,000 investment. (+4.53%)
At 16.2537 gain is 351.1440 on $3,000 investment. (+11.70%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: WFC AS OF 20111109 (YYYYMMDD)
CLOSING PRICE ON 20111109 was 25.1500
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 0.1584 ( 0.60%)
Short-Term Price Target: 25.3084
At Price Target, profit is 6.2982 on $1000 investment. (+0.63%)
Close out >= half of your long position at about 25.3084
There is a small chance of price reaching 26.5584
If so, profit would be 56.0000 on $1000 investment. (+5.60%)
Close out all long position if price reaches 26.5584
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of WFC at its current price of 25.1500
You would be buying approximately 39.7614 shares.
At 25.3084 profit is 6.2982 on $1000 investment. (+0.63%)
In case of bear raid, expect the next bottom at about 23.1883
Buy $2,000 more at: 23.1883 will break even at: 23.8073
At 25.1500 gain is 169.1974 on $3,000 investment. (+5.64%)
At 25.3084 gain is 189.1577 on $3,000 investment. (+6.31%)
At 26.5584 gain is 346.6725 on $3,000 investment. (+11.56%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: INT AS OF 20111109 (YYYYMMDD)
CLOSING PRICE ON 20111109 was 39.7400
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 1.1730 ( 3.00%)
Short-Term Price Target: 40.9130
At Price Target, profit is 29.5169 on $1000 investment. (+2.95%)
Close out >= half of your long position at about 40.9130
There is a small chance of price reaching 43.6345
If so, profit would be 98.0000 on $1000 investment. (+9.80%)
Close out all long position if price reaches 43.6345
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of INT at its current price of 39.7400
You would be buying approximately 25.1636 shares.
At 40.9130 profit is 29.5169 on $1000 investment. (+2.95%)
In case of bear raid, expect the next bottom at about 38.1504
Buy $2,000 more at: 38.1504 will break even at: 38.6659
At 39.7400 gain is 83.3333 on $3,000 investment. (+2.78%)
At 40.9130 gain is 174.3437 on $3,000 investment. (+5.81%)
At 43.6345 gain is 385.5000 on $3,000 investment. (+12.85%)
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Thu Nov 10 11:39:08 2011, 美东) 提到:
.....................
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: ALSK AS OF 20111109 (YYYYMMDD)
CLOSING PRICE ON 20111109 was 5.4000
STOCK RATING: BULLISH
Short-Term Price Potential is UP: 1.1848 (21.90%)
Short-Term Price Target: 6.5848
At Price Target, profit is 219.4074 on $1000 investment. (+21.94%)
Close out >= half of your long position at about 6.5848
There is a small chance of price reaching 6.9228
If so, profit would be 282.0000 on $1000 investment. (+28.20%)
Close out all long position if price reaches 6.9228
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of ALSK at its current price of 5.4000
You would be buying approximately 185.1852 shares.
At 6.5848 profit is 219.4074 on $1000 investment. (+21.94%)
In case of bear raid, expect the next bottom at about 4.5846
Buy $2,000 more at: 4.5846 will break even at: 4.8276
At 5.4000 gain is 355.7126 on $3,000 investment. (+11.86%)
At 6.5848 gain is 1091.9808 on $3,000 investment. (+36.40%)
At 6.9228 gain is 1302.0236 on $3,000 investment. (+43.40%)
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Thu Nov 10 11:41:47 2011, 美东) 提到:
.....................
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: ANF AS OF 20111109 (YYYYMMDD)
CLOSING PRICE ON 20111109 was 56.2500
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 0.8911 ( 1.60%)
Short-Term Price Target: 57.1411
At Price Target, profit is 15.8418 on $1000 investment. (+1.58%)
Close out >= half of your long position at about 57.1411
There is a small chance of price reaching 59.9063
If so, profit would be 65.0000 on $1000 investment. (+6.50%)
Close out all long position if price reaches 59.9063
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of ANF at its current price of 56.2500
You would be buying approximately 17.7778 shares.
At 57.1411 profit is 15.8418 on $1000 investment. (+1.58%)
In case of bear raid, expect the next bottom at about 48.2062
Buy $2,000 more at: 48.2062 will break even at: 50.6191
At 56.2500 gain is 333.7223 on $3,000 investment. (+11.12%)
At 57.1411 gain is 386.5344 on $3,000 investment. (+12.88%)
At 59.9063 gain is 550.4142 on $3,000 investment. (+18.35%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: HD AS OF 20111109 (YYYYMMDD)
CLOSING PRICE ON 20111109 was 37.0900
STOCK RATING: SLIGHTLY BEARISH
Short-Term Price Potential is DOWN: -0.4484 (-1.20%)
Short-Term Price Target: 36.6416
At Price Target, profit is 12.0895 on $1000 investment. (+1.21%)
Close out >= half of your short position at about 36.6416
There is a small chance of price reaching 34.1970
If so, your profit would be 78.0000 on $1000 investment. (+7.80%)
Close out all short position if price reaches 34.1970
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of HD at its current price of 37.0900
you would be selling short approximately 26.9614 shares.
At Target of 36.6416 profit is 12.0895 on $1000 investment. (+1.21%)
In case of short squeeze, expect the next peak at about 37.8318
Sell short $2,000 more at: 37.8318 will break even at: 37.5813
At 37.0900 profit is 39.2157 on $3,000 investment. (+1.31%)
At 36.6416 profit is 75.0101 on $3,000 investment. (+2.50%)
At 34.1970 profit is 270.1569 on $3,000 investment. (+9.01%)
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Thu Nov 10 11:47:04 2011, 美东) 提到:
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: PCLN AS OF 20111109 (YYYYMMDD)
CLOSING PRICE ON 20111109 was 536.5500
STOCK RATING: MODESTLY BEARISH
Short-Term Price Potential is DOWN:-14.2034 (-2.60%)
Short-Term Price Target: 522.3466
At Price Target, profit is 26.4717 on $1000 investment. (+2.65%)
Close out >= half of your short position at about 522.3466
There is a small chance of price reaching 472.7005
If so, your profit would be 119.0000 on $1000 investment. (+11.90%)
Close out all short position if price reaches 472.7005
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of PCLN at its current price of 536.5500
you would be selling short approximately 1.8638 shares.
At Target of 522.3466 profit is 26.4717 on $1000 investment. (+2.65%)
In case of short squeeze, expect the next peak at about 554.2561
Sell short $2,000 more at: 554.2561 will break even at: 548.2257
At 536.5500 profit is 63.8916 on $3,000 investment. (+2.13%)
At 522.3466 profit is 141.6154 on $3,000 investment. (+4.72%)
At 472.7005 profit is 413.2885 on $3,000 investment. (+13.78%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: CMG AS OF 20111109 (YYYYMMDD)
CLOSING PRICE ON 20111109 was 332.0000
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 4.5734 ( 1.40%)
Short-Term Price Target: 336.5734
At Price Target, profit is 13.7753 on $1000 investment. (+1.38%)
Close out >= half of your long position at about 336.5734
There is a small chance of price reaching 350.9240
If so, profit would be 57.0000 on $1000 investment. (+5.70%)
Close out all long position if price reaches 350.9240
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of CMG at its current price of 332.0000
You would be buying approximately 3.0120 shares.
At 336.5734 profit is 13.7753 on $1000 investment. (+1.38%)
In case of bear raid, expect the next bottom at about 309.4240
Buy $2,000 more at: 309.4240 will break even at: 316.6003
At 332.0000 gain is 145.9227 on $3,000 investment. (+4.86%)
At 336.5734 gain is 189.2588 on $3,000 investment. (+6.31%)
At 350.9240 gain is 325.2403 on $3,000 investment. (+10.84%)
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Thu Nov 10 12:02:01 2011, 美东) 提到:
http://www.mitbbs.com/article/Stock/33985155_0.html
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PMN (no news is no news!) 于 (Thu Nov 10 12:42:57 2011, 美东) 提到:
请问short term大概指多久哈,汗,问题是不是太菜了
这个report是ER前还是er后run的?他们家昨天才出的ER,挺差阿
谢谢哈
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PMN (no news is no news!) 于 (Thu Nov 10 12:43:34 2011, 美东) 提到:
要设个止损么
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kbrhouston (石油工人-一切MM都是普赛,纸老虎) 于 (Thu Nov 10 12:55:30 2011, 美东) 提到:
肥猫警长: DAL
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Thu Nov 10 14:14:31 2011, 美东) 提到:
......................
Typically within one to two weeks, occasionally longer.
5 p.m. EDT
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Thu Nov 10 14:17:04 2011, 美东) 提到:
.................
Limit position size so you can average down.
Typically no more than 1/3 of the amount you
can easily afford to buy. Conservative ones
limit it to no more than 1/6.
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Thu Nov 10 14:20:23 2011, 美东) 提到:
.....................
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: DAL AS OF 20111109 (YYYYMMDD)
CLOSING PRICE ON 20111109 was 7.9600
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 0.2530 ( 3.20%)
Short-Term Price Target: 8.2130
At Price Target, profit is 31.7839 on $1000 investment. (+3.18%)
Close out >= half of your long position at about 8.2130
There is a small chance of price reaching 8.7799
If so, profit would be 103.0000 on $1000 investment. (+10.30%)
Close out all long position if price reaches 8.7799
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of DAL at its current price of 7.9600
You would be buying approximately 125.6281 shares.
At 8.2130 profit is 31.7839 on $1000 investment. (+3.18%)
In case of bear raid, expect the next bottom at about 6.9172
Buy $2,000 more at: 6.9172 will break even at: 7.2331
At 7.9600 gain is 301.4960 on $3,000 investment. (+10.05%)
At 8.2130 gain is 406.4305 on $3,000 investment. (+13.55%)
At 8.7799 gain is 641.5501 on $3,000 investment. (+21.39%)
☆─────────────────────────────────────☆
kbrhouston (石油工人-一切MM都是普赛,纸老虎) 于 (Thu Nov 10 14:22:48 2011, 美东) 提到:
nice nice nice
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Thu Nov 10 14:41:17 2011, 美东) 提到:
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: GOOG AS OF 20111109 (YYYYMMDD)
CLOSING PRICE ON 20111109 was 606.1000
STOCK RATING: ESSENTIALLY NEUTRAL
Short-Term Price Potential is DOWN: -4.8765 (-0.80%)
Short-Term Price Target: 601.2235
At Price Target, profit is 8.0457 on $1000 investment. (+0.80%)
Close out >= half of your short position at about 601.2235
There is a small chance of price reaching 564.8852
If so, your profit would be 68.0000 on $1000 investment. (+6.80%)
Close out all short position if price reaches 564.8852
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of GOOG at its current price of 606.1000
you would be selling short approximately 1.6499 shares.
At Target of 601.2235 profit is 8.0457 on $1000 investment. (+0.80%)
In case of short squeeze, expect the next peak at about 627.9196
Sell short $2,000 more at: 627.9196 will break even at: 620.4739
At 606.1000 profit is 69.4981 on $3,000 investment. (+2.32%)
At 601.2235 profit is 93.0760 on $3,000 investment. (+3.10%)
At 564.8852 profit is 268.7722 on $3,000 investment. (+8.96%)
☆─────────────────────────────────────☆
lizzysun (LizzySun) 于 (Thu Nov 10 14:50:58 2011, 美东) 提到:
meow
AMD & VRTX please <3
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Thu Nov 10 14:53:43 2011, 美东) 提到:
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: AMD AS OF 20111109 (YYYYMMDD)
CLOSING PRICE ON 20111109 was 5.4000
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 0.1435 ( 2.70%)
Short-Term Price Target: 5.5435
At Price Target, profit is 26.5741 on $1000 investment. (+2.66%)
Close out >= half of your long position at about 5.5435
There is a small chance of price reaching 6.2532
If so, profit would be 158.0000 on $1000 investment. (+15.80%)
Close out all long position if price reaches 6.2532
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of AMD at its current price of 5.4000
You would be buying approximately 185.1852 shares.
At 5.5435 profit is 26.5741 on $1000 investment. (+2.66%)
In case of bear raid, expect the next bottom at about 4.8816
Buy $2,000 more at: 4.8816 will break even at: 5.0430
At 5.4000 gain is 212.3894 on $3,000 investment. (+7.08%)
At 5.5435 gain is 297.7557 on $3,000 investment. (+9.93%)
At 6.2532 gain is 719.9469 on $3,000 investment. (+24.00%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: VRTX AS OF 20111109 (YYYYMMDD)
CLOSING PRICE ON 20111109 was 30.8900
STOCK RATING: BULLISH
Short-Term Price Potential is UP: 2.9815 ( 9.70%)
Short-Term Price Target: 33.8715
At Price Target, profit is 96.5199 on $1000 investment. (+9.65%)
Close out >= half of your long position at about 33.8715
There is a small chance of price reaching 36.0177
If so, profit would be 166.0000 on $1000 investment. (+16.60%)
Close out all long position if price reaches 36.0177
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of VRTX at its current price of 30.8900
You would be buying approximately 32.3729 shares.
At 33.8715 profit is 96.5199 on $1000 investment. (+9.65%)
In case of bear raid, expect the next bottom at about 30.6738
Buy $2,000 more at: 30.6738 will break even at: 30.7455
At 30.8900 gain is 14.0987 on $3,000 investment. (+0.47%)
At 33.8715 gain is 305.0192 on $3,000 investment. (+10.17%)
At 36.0177 gain is 514.4391 on $3,000 investment. (+17.15%)
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Thu Nov 10 15:38:33 2011, 美东) 提到:
PCLN, 2011年11月08日 ---- 散户们的光荣之役。
一个值得肯定和纪念的日子。
http://www.mitbbs.com/article_t/Stock/33985791.html
=============================
发信人: google2005 (Bear\'s wake), 信区: Stock
标 题: mm 胆子很小哈哈
发信站: BBS 未名空间站 (Thu Nov 10 15:04:22 2011, 美东)
吓坏鸟
发信人: MB80528 (肥猫(Contrarian)[食MM而肥]), 信区: Stock
标 题: Re: mm 胆子很小哈哈
发信站: BBS 未名空间站 (Thu Nov 10 15:19:59 2011, 美东)
...............................
尤其是PCLN。
就像流氓欺负一个会点穴的小孩之后。
发信人: google2005 (Bear\'s wake), 信区: Stock
标 题: Re: mm 胆子很小哈哈
发信站: BBS 未名空间站 (Thu Nov 10 15:21:20 2011, 美东)
跑的比散户还快

发信人: MB80528 (肥猫(Contrarian)[食MM而肥]), 信区: Stock
标 题: Re: mm 胆子很小哈哈
发信站: BBS 未名空间站 (Thu Nov 10 15:31:53 2011, 美东)
.........................
这次是散户重创 MM 指挥的挤空资金。
前天他们天量的高峰价买进 PCLN,
以为散户们会被逼迫在高峰补回。
结果不但没有发生,还自掘陷阱。
现在的情形是倒立的金字塔型,
在最高峰基金的买量最超大,
但却没有散户有兴趣接盘。
所以不用跌多少就暴损。
大家就等着看好戏把。
这种情形并不多见。
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Thu Nov 10 15:51:52 2011, 美东) 提到:
MCD 再过几天我让霸肥出钱请客如何?
不过只是汉堡,他的钱包不肯松。
如果你不嫌弃自助餐的小吃。
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Thu Nov 10 15:58:28 2011, 美东) 提到:
空军要懂得耐心等反弹高峰。
目前应该休息一下,养精蓄锐。
☆─────────────────────────────────────☆
coffeer (coffeer) 于 (Thu Nov 10 16:16:37 2011, 美东) 提到:
NOD,今天忍住了没操作
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Thu Nov 10 18:30:23 2011, 美东) 提到:
我估计不出一星期,又会有低风险的卖空机会。
熊群们应该休息几天,估空机会是耐心等出来的。
短期市场将是猪市,所以不能太贪心,要见好就收。
------
PCLN 是我最看重的必争之地之一。
基金和 MM 目前在坚守 525 高地,
因为一旦失守,他们将开始暴损。
星期二(11月8日)交易量4百万股,
今天才三分之一(一百三十七万)。
MM 和基金的难题是如何找接盘。
目前交易量不足其无损脱身。
☆─────────────────────────────────────☆
kbrhouston (石油工人-一切MM都是普赛,纸老虎) 于 (Thu Nov 10 18:41:02 2011, 美东) 提到:
肥猫太给力了!
PCLN 参站前敌攻坚排排长向你报告
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kbrhouston (石油工人-一切MM都是普赛,纸老虎) 于 (Thu Nov 10 19:03:42 2011, 美东) 提到:
这就好办了,既然FUND被套在了545-550高地,只要PCLN
爬上去,我们就跟进狂踩。就是不接盘。哈哈哈
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meornot (none) 于 (Thu Nov 10 19:05:38 2011, 美东) 提到:
这个关于NFLX的预测还有效么?谢谢
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Thu Nov 10 19:16:10 2011, 美东) 提到:
.....................
你那三天前的预测已过时了。
等今晚的最新预测吧。我会贴上。
☆─────────────────────────────────────☆
meornot (none) 于 (Thu Nov 10 19:32:09 2011, 美东) 提到:
谢肥猫
☆─────────────────────────────────────☆
timol (quant) 于 (Thu Nov 10 21:59:12 2011, 美东) 提到:
AVGO
多谢
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Fri Nov 11 02:28:21 2011, 美东) 提到:
不算 Pink Sheet,
单单最重要的四个米国股市,
NYSE
NASDAQ
AMEX
OTCBB
总共有 13,366个股票。
比你想象的多不少吧?
如果除掉价格在 $0。0010 或更低的股票,
那就剩下 13,249个股票。
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Fri Nov 11 02:35:44 2011, 美东) 提到:
今晚的预测又耽搁了,唉。
又会晚几个小时。
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Edisonlee (超级赛亚人) 于 (Fri Nov 11 04:15:49 2011, 美东) 提到:
厉害。这个预测怎么得到的?
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Fri Nov 11 04:29:34 2011, 美东) 提到:
.......................
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: PCLN AS OF 20111110 (YYYYMMDD)
CLOSING PRICE ON 20111110 was 531.7900
STOCK RATING: SLIGHTLY BEARISH
Short-Term Price Potential is DOWN: -9.4378 (-1.80%)
Short-Term Price Target: 522.3522
At Price Target, profit is 17.7472 on $1000 investment. (+1.77%)
Close out >= half of your short position at about 522.3522
There is a small chance of price reaching 472.7613
If so, your profit would be 111.0000 on $1000 investment. (+11.10%)
Close out all short position if price reaches 472.7613
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of PCLN at its current price of 531.7900
you would be selling short approximately 1.8804 shares.
At Target of 522.3522 profit is 17.7472 on $1000 investment. (+1.77%)
In case of short squeeze, expect the next peak at about 553.5934
Sell short $2,000 more at: 553.5934 will break even at: 546.1296
At 531.7900 profit is 78.7704 on $3,000 investment. (+2.63%)
At 522.3522 profit is 130.6141 on $3,000 investment. (+4.35%)
At 472.7613 profit is 403.0269 on $3,000 investment. (+13.43%)
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Fri Nov 11 04:31:17 2011, 美东) 提到:
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*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: NFLX AS OF 20111110 (YYYYMMDD)
CLOSING PRICE ON 20111110 was 85.3800
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 1.5423 ( 1.80%)
Short-Term Price Target: 86.9223
At Price Target, profit is 18.0639 on $1000 investment. (+1.81%)
Close out >= half of your long position at about 86.9223
There is a small chance of price reaching 94.5157
If so, profit would be 107.0000 on $1000 investment. (+10.70%)
Close out all long position if price reaches 94.5157
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of NFLX at its current price of 85.3800
You would be buying approximately 11.7123 shares.
At 86.9223 profit is 18.0639 on $1000 investment. (+1.81%)
In case of bear raid, expect the next bottom at about 76.0736
Buy $2,000 more at: 76.0736 will break even at: 78.9418
At 85.3800 gain is 244.6689 on $3,000 investment. (+8.16%)
At 86.9223 gain is 303.2804 on $3,000 investment. (+10.11%)
At 94.5157 gain is 591.8485 on $3,000 investment. (+19.73%)
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Fri Nov 11 04:32:34 2011, 美东) 提到:
...............
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: AVGO AS OF 20111110 (YYYYMMDD)
CLOSING PRICE ON 20111110 was 33.1100
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 0.9829 ( 3.00%)
Short-Term Price Target: 34.0929
At Price Target, profit is 29.6859 on $1000 investment. (+2.97%)
Close out >= half of your long position at about 34.0929
There is a small chance of price reaching 36.5866
If so, profit would be 105.0000 on $1000 investment. (+10.50%)
Close out all long position if price reaches 36.5866
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of AVGO at its current price of 33.1100
You would be buying approximately 30.2024 shares.
At 34.0929 profit is 29.6859 on $1000 investment. (+2.97%)
In case of bear raid, expect the next bottom at about 31.6200
Buy $2,000 more at: 31.6200 will break even at: 32.1016
At 33.1100 gain is 94.2408 on $3,000 investment. (+3.14%)
At 34.0929 gain is 186.0961 on $3,000 investment. (+6.20%)
At 36.5866 gain is 419.1361 on $3,000 investment. (+13.97%)
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Fri Nov 11 04:36:26 2011, 美东) 提到:
.................
我是用认识的朋友提供的。
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Fri Nov 11 04:51:35 2011, 美东) 提到:
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: MSTR AS OF 20111110 (YYYYMMDD)
CLOSING PRICE ON 20111110 was 124.0400
STOCK RATING: MODESTLY BEARISH
Short-Term Price Potential is DOWN: -4.1326 (-3.30%)
Short-Term Price Target: 119.9074
At Price Target, profit is 33.3167 on $1000 investment. (+3.33%)
Close out >= half of your short position at about 119.9074
There is a small chance of price reaching 101.0926
If so, your profit would be 185.0000 on $1000 investment. (+18.50%)
Close out all short position if price reaches 101.0926
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of MSTR at its current price of 124.0400
you would be selling short approximately 8.0619 shares.
At Target of 119.9074 profit is 33.3167 on $1000 investment. (+3.33%)
In case of short squeeze, expect the next peak at about 126.6448
Sell short $2,000 more at: 126.6448 will break even at: 125.7645
At 124.0400 profit is 41.1361 on $3,000 investment. (+1.37%)
At 119.9074 profit is 139.7156 on $3,000 investment. (+4.66%)
At 101.0926 profit is 588.5260 on $3,000 investment. (+19.62%)
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Fri Nov 11 04:55:06 2011, 美东) 提到:
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: YPF AS OF 20111110 (YYYYMMDD)
CLOSING PRICE ON 20111110 was 35.3300
STOCK RATING: BEARISH
Short-Term Price Potential is DOWN: -2.6029 (-7.40%)
Short-Term Price Target: 32.7271
At Price Target, profit is 73.6739 on $1000 investment. (+7.37%)
Close out >= half of your short position at about 32.7271
There is a small chance of price reaching 30.5604
If so, your profit would be 135.0000 on $1000 investment. (+13.50%)
Close out all short position if price reaches 30.5604
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of YPF at its current price of 35.3300
you would be selling short approximately 28.3046 shares.
At Target of 32.7271 profit is 73.6739 on $1000 investment. (+7.37%)
In case of short squeeze, expect the next peak at about 35.8246
Sell short $2,000 more at: 35.8246 will break even at: 35.6582
At 35.3300 profit is 27.6134 on $3,000 investment. (+0.92%)
At 32.7271 profit is 246.6008 on $3,000 investment. (+8.22%)
At 30.5604 profit is 428.8856 on $3,000 investment. (+14.30%)
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Edisonlee (超级赛亚人) 于 (Fri Nov 11 12:53:02 2011, 美东) 提到:
厉害。
可以预测大盘或者大盘有关的etf吗?谢谢
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lizzysun (LizzySun) 于 (Fri Nov 11 12:56:33 2011, 美东) 提到:
meow
RIMM please <3
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Nanji (Ninja) 于 (Fri Nov 11 12:58:59 2011, 美东) 提到:
aci/mcp
谢谢肥猫
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x571 (小狗飞龙,一波带走) 于 (Fri Nov 11 14:12:56 2011, 美东) 提到:
MRVL,NVDA,CSCO,DAL
THANK YOU!
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Fri Nov 11 15:58:42 2011, 美东) 提到:
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有,但被别人预订了。
全部 ETF 拿不到。
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Fri Nov 11 16:01:13 2011, 美东) 提到:
......................
Just logged in and saw your request.
Better wait for the new update for RIMM then,
as market has now closed.
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davidibt (david) 于 (Fri Nov 11 16:01:59 2011, 美东) 提到:
CBI,EOG,呵呵被顶菊花了
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Fri Nov 11 16:02:20 2011, 美东) 提到:
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Will post the new update.
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Fri Nov 11 16:03:40 2011, 美东) 提到:
..............
Will post the latest when available.
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plane (plane) 于 (Fri Nov 11 16:32:00 2011, 美东) 提到:
肥猫的ALSK太给力了,赞一个。有空的话请更新一下,谢谢。
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thewildwest (深水青蛙) 于 (Fri Nov 11 17:01:46 2011, 美东) 提到:
NFLX, CBS and DIS please. Thank you!
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lizzysun (LizzySun) 于 (Fri Nov 11 17:34:19 2011, 美东) 提到:
猫猫真的是特别polite
摸摸哦
★ Sent from iPhone App: iReader Mitbbs Lite 7.28
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kbrhouston (石油工人-一切MM都是普赛,纸老虎) 于 (Fri Nov 11 18:13:52 2011, 美东) 提到:
肥猫,紧急求救
Eog. PCLN CMg
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Fri Nov 11 22:43:42 2011, 美东) 提到:
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没问题。
星期三(11月9日)市场大跌后,
我就在这里说过了,熊熊们该休息。
因为我当时觉得市场将会反弹。
凭经验,我现在觉得最迟下星期二,
市场又会开始下跌。
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kbrhouston (石油工人-一切MM都是普赛,纸老虎) 于 (Fri Nov 11 22:53:09 2011, 美东) 提到:
哈哈,有肥猫,花街硕鼠计无施,吾无忧亦!
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Sat Nov 12 01:13:39 2011, 美东) 提到:
卖空的股票将会大涨的解决方法。
方法1。
假使股票的价格是P,
假使预测或估计会起U,
那高峰价是 P+U
寻求比 P+U更高点的 Put,
每一百股卖空的股票,则卖一个Put,
等价格达到高峰时,把卖的Put买回。
方法2。
直接买回做空的股票。
方法3。
买个Call保护。
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Sat Nov 12 01:16:50 2011, 美东) 提到:
......................
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: RIMM AS OF 20111111 (YYYYMMDD)
CLOSING PRICE ON 20111111 was 18.4700
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 0.1520 ( 0.80%)
Short-Term Price Target: 18.6220
At Price Target, profit is 8.2296 on $1000 investment. (+0.82%)
Close out >= half of your long position at about 18.6220
There is a small chance of price reaching 20.9819
If so, profit would be 136.0000 on $1000 investment. (+13.60%)
Close out all long position if price reaches 20.9819
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of RIMM at its current price of 18.4700
You would be buying approximately 54.1419 shares.
At 18.6220 profit is 8.2296 on $1000 investment. (+0.82%)
In case of bear raid, expect the next bottom at about 16.4568
Buy $2,000 more at: 16.4568 will break even at: 17.0772
At 18.4700 gain is 244.6689 on $3,000 investment. (+8.16%)
At 18.6220 gain is 271.3711 on $3,000 investment. (+9.05%)
At 20.9819 gain is 685.9439 on $3,000 investment. (+22.86%)
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Sat Nov 12 01:20:50 2011, 美东) 提到:
....................
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: ACI AS OF 20111111 (YYYYMMDD)
CLOSING PRICE ON 20111111 was 16.9600
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 0.6701 ( 4.00%)
Short-Term Price Target: 17.6301
At Price Target, profit is 39.5106 on $1000 investment. (+3.95%)
Close out >= half of your long position at about 17.6301
There is a small chance of price reaching 19.3853
If so, profit would be 143.0000 on $1000 investment. (+14.30%)
Close out all long position if price reaches 19.3853
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of ACI at its current price of 16.9600
You would be buying approximately 58.9623 shares.
At 17.6301 profit is 39.5106 on $1000 investment. (+3.95%)
In case of bear raid, expect the next bottom at about 15.5523
Buy $2,000 more at: 15.5523 will break even at: 15.9948
At 16.9600 gain is 181.0251 on $3,000 investment. (+6.03%)
At 17.6301 gain is 306.7093 on $3,000 investment. (+10.22%)
At 19.3853 gain is 635.9117 on $3,000 investment. (+21.20%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: MCP AS OF 20111111 (YYYYMMDD)
CLOSING PRICE ON 20111111 was 33.4900
STOCK RATING: BULLISH
Short-Term Price Potential is UP: 4.2928 (12.80%)
Short-Term Price Target: 37.7828
At Price Target, profit is 128.1815 on $1000 investment. (+12.82%)
Close out >= half of your long position at about 37.7828
There is a small chance of price reaching 43.3361
If so, profit would be 294.0000 on $1000 investment. (+29.40%)
Close out all long position if price reaches 43.3361
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of MCP at its current price of 33.4900
You would be buying approximately 29.8597 shares.
At 37.7828 profit is 128.1815 on $1000 investment. (+12.82%)
In case of bear raid, expect the next bottom at about 31.9495
Buy $2,000 more at: 31.9495 will break even at: 32.4470
At 33.4900 gain is 96.4361 on $3,000 investment. (+3.21%)
At 37.7828 gain is 493.3420 on $3,000 investment. (+16.44%)
At 43.3361 gain is 1006.7883 on $3,000 investment. (+33.56%)
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Sat Nov 12 01:23:41 2011, 美东) 提到:
...................
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: MRVL AS OF 20111111 (YYYYMMDD)
CLOSING PRICE ON 20111111 was 14.9200
STOCK RATING: ESSENTIALLY NEUTRAL
Short-Term Price Potential is DOWN: -0.2317 (-1.60%)
Short-Term Price Target: 14.6883
At Price Target, profit is 15.5295 on $1000 investment. (+1.55%)
Close out >= half of your short position at about 14.6883
There is a small chance of price reaching 13.6816
If so, your profit would be 83.0000 on $1000 investment. (+8.30%)
Close out all short position if price reaches 13.6816
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of MRVL at its current price of 14.9200
you would be selling short approximately 67.0241 shares.
At Target of 14.6883 profit is 15.5295 on $1000 investment. (+1.55%)
In case of short squeeze, expect the next peak at about 16.1434
Sell short $2,000 more at: 16.1434 will break even at: 15.7139
At 14.9200 profit is 151.5712 on $3,000 investment. (+5.05%)
At 14.6883 profit is 195.8058 on $3,000 investment. (+6.53%)
At 13.6816 profit is 387.9908 on $3,000 investment. (+12.93%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: NVDA AS OF 20111111 (YYYYMMDD)
CLOSING PRICE ON 20111111 was 14.9700
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 0.1064 ( 0.70%)
Short-Term Price Target: 15.0764
At Price Target, profit is 7.1075 on $1000 investment. (+0.71%)
Close out >= half of your long position at about 15.0764
There is a small chance of price reaching 16.6915
If so, profit would be 115.0000 on $1000 investment. (+11.50%)
Close out all long position if price reaches 16.6915
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of NVDA at its current price of 14.9700
You would be buying approximately 66.8003 shares.
At 15.0764 profit is 7.1075 on $1000 investment. (+0.71%)
In case of bear raid, expect the next bottom at about 13.5928
Buy $2,000 more at: 13.5928 will break even at: 14.0228
At 14.9700 gain is 202.6432 on $3,000 investment. (+6.75%)
At 15.0764 gain is 225.4061 on $3,000 investment. (+7.51%)
At 16.6915 gain is 570.9471 on $3,000 investment. (+19.03%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: CSCO AS OF 20111111 (YYYYMMDD)
CLOSING PRICE ON 20111111 was 19.0100
STOCK RATING: MODESTLY BEARISH
Short-Term Price Potential is DOWN: -0.3466 (-1.80%)
Short-Term Price Target: 18.6634
At Price Target, profit is 18.2325 on $1000 investment. (+1.82%)
Close out >= half of your short position at about 18.6634
There is a small chance of price reaching 17.6033
If so, your profit would be 74.0000 on $1000 investment. (+7.40%)
Close out all short position if price reaches 17.6033
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of CSCO at its current price of 19.0100
you would be selling short approximately 52.6039 shares.
At Target of 18.6634 profit is 18.2325 on $1000 investment. (+1.82%)
In case of short squeeze, expect the next peak at about 19.5993
Sell short $2,000 more at: 19.5993 will break even at: 19.3989
At 19.0100 profit is 60.1358 on $3,000 investment. (+2.00%)
At 18.6634 profit is 113.7369 on $3,000 investment. (+3.79%)
At 17.6033 profit is 277.6857 on $3,000 investment. (+9.26%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: DAL AS OF 20111111 (YYYYMMDD)
CLOSING PRICE ON 20111111 was 7.9900
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 0.1448 ( 1.80%)
Short-Term Price Target: 8.1348
At Price Target, profit is 18.1227 on $1000 investment. (+1.81%)
Close out >= half of your long position at about 8.1348
There is a small chance of price reaching 8.7011
If so, profit would be 89.0000 on $1000 investment. (+8.90%)
Close out all long position if price reaches 8.7011
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of DAL at its current price of 7.9900
You would be buying approximately 125.1564 shares.
At 8.1348 profit is 18.1227 on $1000 investment. (+1.81%)
In case of bear raid, expect the next bottom at about 6.8315
Buy $2,000 more at: 6.8315 will break even at: 7.1784
At 7.9900 gain is 339.1813 on $3,000 investment. (+11.31%)
At 8.1348 gain is 399.6961 on $3,000 investment. (+13.32%)
At 8.7011 gain is 636.3684 on $3,000 investment. (+21.21%)
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Sat Nov 12 01:25:18 2011, 美东) 提到:
..................
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: CBI AS OF 20111111 (YYYYMMDD)
CLOSING PRICE ON 20111111 was 38.8200
STOCK RATING: ESSENTIALLY NEUTRAL
Short-Term Price Potential is DOWN: -0.6792 (-1.70%)
Short-Term Price Target: 38.1408
At Price Target, profit is 17.4961 on $1000 investment. (+1.75%)
Close out >= half of your short position at about 38.1408
There is a small chance of price reaching 33.7346
If so, your profit would be 131.0000 on $1000 investment. (+13.10%)
Close out all short position if price reaches 33.7346
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of CBI at its current price of 38.8200
you would be selling short approximately 25.7599 shares.
At Target of 38.1408 profit is 17.4961 on $1000 investment. (+1.75%)
In case of short squeeze, expect the next peak at about 41.5374
Sell short $2,000 more at: 41.5374 will break even at: 40.5903
At 38.8200 profit is 130.8411 on $3,000 investment. (+4.36%)
At 38.1408 profit is 181.0403 on $3,000 investment. (+6.03%)
At 33.7346 profit is 506.7009 on $3,000 investment. (+16.89%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: EOG AS OF 20111111 (YYYYMMDD)
CLOSING PRICE ON 20111111 was 104.0100
STOCK RATING: ESSENTIALLY NEUTRAL
Short-Term Price Potential is DOWN: -1.1064 (-1.10%)
Short-Term Price Target: 102.9036
At Price Target, profit is 10.6374 on $1000 investment. (+1.06%)
Close out >= half of your short position at about 102.9036
There is a small chance of price reaching 87.7844
If so, your profit would be 156.0000 on $1000 investment. (+15.60%)
Close out all short position if price reaches 87.7844
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of EOG at its current price of 104.0100
you would be selling short approximately 9.6145 shares.
At Target of 102.9036 profit is 10.6374 on $1000 investment. (+1.06%)
In case of short squeeze, expect the next peak at about 111.3947
Sell short $2,000 more at: 111.3947 will break even at: 108.8193
At 104.0100 profit is 132.5864 on $3,000 investment. (+4.42%)
At 102.9036 profit is 163.0883 on $3,000 investment. (+5.44%)
At 87.7844 profit is 579.9029 on $3,000 investment. (+19.33%)
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Sat Nov 12 01:27:02 2011, 美东) 提到:
...............
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: ALSK AS OF 20111111 (YYYYMMDD)
CLOSING PRICE ON 20111111 was 5.3000
STOCK RATING: BULLISH
Short-Term Price Potential is UP: 1.0527 (19.90%)
Short-Term Price Target: 6.3527
At Price Target, profit is 198.6226 on $1000 investment. (+19.86%)
Close out >= half of your long position at about 6.3527
There is a small chance of price reaching 6.6886
If so, profit would be 262.0000 on $1000 investment. (+26.20%)
Close out all long position if price reaches 6.6886
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of ALSK at its current price of 5.3000
You would be buying approximately 188.6792 shares.
At 6.3527 profit is 198.6226 on $1000 investment. (+19.86%)
In case of bear raid, expect the next bottom at about 5.1251
Buy $2,000 more at: 5.1251 will break even at: 5.1821
At 5.3000 gain is 68.2523 on $3,000 investment. (+2.28%)
At 6.3527 gain is 677.6767 on $3,000 investment. (+22.59%)
At 6.6886 gain is 872.1344 on $3,000 investment. (+29.07%)
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Sat Nov 12 01:28:47 2011, 美东) 提到:
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*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: NFLX AS OF 20111111 (YYYYMMDD)
CLOSING PRICE ON 20111111 was 87.8500
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 0.8453 ( 1.00%)
Short-Term Price Target: 88.6953
At Price Target, profit is 9.6221 on $1000 investment. (+0.96%)
Close out >= half of your long position at about 88.6953
There is a small chance of price reaching 96.5471
If so, profit would be 99.0000 on $1000 investment. (+9.90%)
Close out all long position if price reaches 96.5471
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of NFLX at its current price of 87.8500
You would be buying approximately 11.3830 shares.
At 88.6953 profit is 9.6221 on $1000 investment. (+0.96%)
In case of bear raid, expect the next bottom at about 77.5716
Buy $2,000 more at: 77.5716 will break even at: 80.7196
At 87.8500 gain is 265.0057 on $3,000 investment. (+8.83%)
At 88.6953 gain is 296.4218 on $3,000 investment. (+9.88%)
At 96.5471 gain is 588.2412 on $3,000 investment. (+19.61%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: CBS AS OF 20111111 (YYYYMMDD)
CLOSING PRICE ON 20111111 was 26.2500
STOCK RATING: ESSENTIALLY NEUTRAL
Short-Term Price Potential is DOWN: -0.2530 (-1.00%)
Short-Term Price Target: 25.9970
At Price Target, profit is 9.6381 on $1000 investment. (+0.96%)
Close out >= half of your short position at about 25.9970
There is a small chance of price reaching 22.7850
If so, your profit would be 132.0000 on $1000 investment. (+13.20%)
Close out all short position if price reaches 22.7850
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of CBS at its current price of 26.2500
you would be selling short approximately 38.0952 shares.
At Target of 25.9970 profit is 9.6381 on $1000 investment. (+0.96%)
In case of short squeeze, expect the next peak at about 27.6675
Sell short $2,000 more at: 27.6675 will break even at: 27.1783
At 26.2500 profit is 102.4668 on $3,000 investment. (+3.42%)
At 25.9970 profit is 130.3935 on $3,000 investment. (+4.35%)
At 22.7850 profit is 484.9412 on $3,000 investment. (+16.16%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: DIS AS OF 20111111 (YYYYMMDD)
CLOSING PRICE ON 20111111 was 36.7500
STOCK RATING: MODESTLY BEARISH
Short-Term Price Potential is DOWN: -0.7613 (-2.10%)
Short-Term Price Target: 35.9887
At Price Target, profit is 20.7156 on $1000 investment. (+2.07%)
Close out >= half of your short position at about 35.9887
There is a small chance of price reaching 33.6262
If so, your profit would be 85.0000 on $1000 investment. (+8.50%)
Close out all short position if price reaches 33.6262
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of DIS at its current price of 36.7500
you would be selling short approximately 27.2109 shares.
At Target of 35.9887 profit is 20.7156 on $1000 investment. (+2.07%)
In case of short squeeze, expect the next peak at about 37.4483
Sell short $2,000 more at: 37.4483 will break even at: 37.2126
At 36.7500 profit is 37.2915 on $3,000 investment. (+1.24%)
At 35.9887 profit is 98.6659 on $3,000 investment. (+3.29%)
At 33.6262 profit is 289.1217 on $3,000 investment. (+9.64%)
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Sat Nov 12 01:30:28 2011, 美东) 提到:
.........................
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: EOG AS OF 20111111 (YYYYMMDD)
CLOSING PRICE ON 20111111 was 104.0100
STOCK RATING: ESSENTIALLY NEUTRAL
Short-Term Price Potential is DOWN: -1.1064 (-1.10%)
Short-Term Price Target: 102.9036
At Price Target, profit is 10.6374 on $1000 investment. (+1.06%)
Close out >= half of your short position at about 102.9036
There is a small chance of price reaching 87.7844
If so, your profit would be 156.0000 on $1000 investment. (+15.60%)
Close out all short position if price reaches 87.7844
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of EOG at its current price of 104.0100
you would be selling short approximately 9.6145 shares.
At Target of 102.9036 profit is 10.6374 on $1000 investment. (+1.06%)
In case of short squeeze, expect the next peak at about 111.3947
Sell short $2,000 more at: 111.3947 will break even at: 108.8193
At 104.0100 profit is 132.5864 on $3,000 investment. (+4.42%)
At 102.9036 profit is 163.0883 on $3,000 investment. (+5.44%)
At 87.7844 profit is 579.9029 on $3,000 investment. (+19.33%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: PCLN AS OF 20111111 (YYYYMMDD)
CLOSING PRICE ON 20111111 was 532.1300
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 13.8058 ( 2.60%)
Short-Term Price Target: 545.9358
At Price Target, profit is 25.9444 on $1000 investment. (+2.59%)
Close out >= half of your long position at about 545.9358
There is a small chance of price reaching 577.3610
If so, profit would be 85.0000 on $1000 investment. (+8.50%)
Close out all long position if price reaches 577.3610
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of PCLN at its current price of 532.1300
You would be buying approximately 1.8792 shares.
At 545.9358 profit is 25.9444 on $1000 investment. (+2.59%)
In case of bear raid, expect the next bottom at about 496.4773
Buy $2,000 more at: 496.4773 will break even at: 507.8186
At 532.1300 gain is 143.6227 on $3,000 investment. (+4.79%)
At 545.9358 gain is 225.1822 on $3,000 investment. (+7.51%)
At 577.3610 gain is 410.8307 on $3,000 investment. (+13.69%)
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: CMG AS OF 20111111 (YYYYMMDD)
CLOSING PRICE ON 20111111 was 332.0200
STOCK RATING: MODESTLY BULLISH
Short-Term Price Potential is UP: 5.7413 ( 1.70%)
Short-Term Price Target: 337.7613
At Price Target, profit is 17.2920 on $1000 investment. (+1.73%)
Close out >= half of your long position at about 337.7613
There is a small chance of price reaching 351.9412
If so, profit would be 60.0000 on $1000 investment. (+6.00%)
Close out all long position if price reaches 351.9412
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you buy $1,000 of CMG at its current price of 332.0200
You would be buying approximately 3.0119 shares.
At 337.7613 profit is 17.2920 on $1000 investment. (+1.73%)
In case of bear raid, expect the next bottom at about 310.4387
Buy $2,000 more at: 310.4387 will break even at: 317.3138
At 332.0200 gain is 139.0374 on $3,000 investment. (+4.63%)
At 337.7613 gain is 193.3178 on $3,000 investment. (+6.44%)
At 351.9412 gain is 327.3797 on $3,000 investment. (+10.91%)
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MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Sat Nov 12 01:38:48 2011, 美东) 提到:
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: KITD AS OF 20111111 (YYYYMMDD)
CLOSING PRICE ON 20111111 was 12.3700
STOCK RATING: BEARISH
Short-Term Price Potential is DOWN: -1.9248 (-15.60%)
Short-Term Price Target: 10.4452
At Price Target, profit is 155.6023 on $1000 investment. (+15.56%)
Close out >= half of your short position at about 10.4452
There is a small chance of price reaching 9.1662
If so, your profit would be 259.0000 on $1000 investment. (+25.90%)
Close out all short position if price reaches 9.1662
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of KITD at its current price of 12.3700
you would be selling short approximately 80.8407 shares.
At Target of 10.4452 profit is 155.6023 on $1000 investment. (+15.56%)
In case of short squeeze, expect the next peak at about 12.4071
Sell short $2,000 more at: 12.4071 will break even at: 12.3947
At 12.3700 profit is 5.9821 on $3,000 investment. (+0.20%)
At 10.4452 profit is 471.8580 on $3,000 investment. (+15.73%)
At 9.1662 profit is 781.4327 on $3,000 investment. (+26.05%)
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Sat Nov 12 01:41:09 2011, 美东) 提到:
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: BKS AS OF 20111111 (YYYYMMDD)
CLOSING PRICE ON 20111111 was 15.5400
STOCK RATING: BEARISH
Short-Term Price Potential is DOWN: -1.9218 (-12.40%)
Short-Term Price Target: 13.6182
At Price Target, profit is 123.6680 on $1000 investment. (+12.37%)
Close out >= half of your short position at about 13.6182
There is a small chance of price reaching 11.9658
If so, your profit would be 230.0000 on $1000 investment. (+23.00%)
Close out all short position if price reaches 11.9658
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of BKS at its current price of 15.5400
you would be selling short approximately 64.3501 shares.
At Target of 13.6182 profit is 123.6680 on $1000 investment. (+12.37%)
In case of short squeeze, expect the next peak at about 15.8353
Sell short $2,000 more at: 15.8353 will break even at: 15.7356
At 15.5400 profit is 37.2915 on $3,000 investment. (+1.24%)
At 13.6182 profit is 403.6836 on $3,000 investment. (+13.46%)
At 11.9658 profit is 718.7144 on $3,000 investment. (+23.96%)
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Sat Nov 12 01:43:04 2011, 美东) 提到:
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: TPCG AS OF 20111111 (YYYYMMDD)
CLOSING PRICE ON 20111111 was 25.4000
STOCK RATING: BEARISH
Short-Term Price Potential is DOWN: -2.6012 (-10.20%)
Short-Term Price Target: 22.7988
At Price Target, profit is 102.4094 on $1000 investment. (+10.24%)
Close out >= half of your short position at about 22.7988
There is a small chance of price reaching 19.2532
If so, your profit would be 242.0000 on $1000 investment. (+24.20%)
Close out all short position if price reaches 19.2532
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of TPCG at its current price of 25.4000
you would be selling short approximately 39.3701 shares.
At Target of 22.7988 profit is 102.4094 on $1000 investment. (+10.24%)
In case of short squeeze, expect the next peak at about 25.8826
Sell short $2,000 more at: 25.8826 will break even at: 25.7197
At 25.4000 profit is 37.2915 on $3,000 investment. (+1.24%)
At 22.7988 profit is 340.7008 on $3,000 investment. (+11.36%)
At 19.2532 profit is 754.2669 on $3,000 investment. (+25.14%)
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Sat Nov 12 01:44:35 2011, 美东) 提到:
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: OSG AS OF 20111111 (YYYYMMDD)
CLOSING PRICE ON 20111111 was 14.2600
STOCK RATING: BEARISH
Short-Term Price Potential is DOWN: -1.2856 (-9.00%)
Short-Term Price Target: 12.9744
At Price Target, profit is 90.1543 on $1000 investment. (+9.02%)
Close out >= half of your short position at about 12.9744
There is a small chance of price reaching 10.9802
If so, your profit would be 230.0000 on $1000 investment. (+23.00%)
Close out all short position if price reaches 10.9802
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of OSG at its current price of 14.2600
you would be selling short approximately 70.1262 shares.
At Target of 12.9744 profit is 90.1543 on $1000 investment. (+9.02%)
In case of short squeeze, expect the next peak at about 15.5862
Sell short $2,000 more at: 15.5862 will break even at: 15.1175
At 14.2600 profit is 170.1738 on $3,000 investment. (+5.67%)
At 12.9744 profit is 425.2948 on $3,000 investment. (+14.18%)
At 10.9802 profit is 821.0339 on $3,000 investment. (+27.37%)
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Sat Nov 12 01:51:22 2011, 美东) 提到:
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: GTIV AS OF 20111111 (YYYYMMDD)
CLOSING PRICE ON 20111111 was 5.4900
STOCK RATING: MODESTLY BEARISH
Short-Term Price Potential is DOWN: -0.5928 (-10.80%)
Short-Term Price Target: 4.8972
At Price Target, profit is 107.9781 on $1000 investment. (+10.80%)
Close out >= half of your short position at about 4.8972
There is a small chance of price reaching 2.9097
If so, your profit would be 470.0000 on $1000 investment. (+47.00%)
Close out all short position if price reaches 2.9097
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of GTIV at its current price of 5.4900
you would be selling short approximately 182.1494 shares.
At Target of 4.8972 profit is 107.9781 on $1000 investment. (+10.80%)
In case of short squeeze, expect the next peak at about 6.0280
Sell short $2,000 more at: 6.0280 will break even at: 5.8373
At 5.4900 profit is 178.5064 on $3,000 investment. (+5.95%)
At 4.8972 profit is 483.1660 on $3,000 investment. (+16.11%)
At 2.9097 profit is 1504.6084 on $3,000 investment. (+50.15%)
☆─────────────────────────────────────☆
meornot (none) 于 (Sat Nov 12 15:29:15 2011, 美东) 提到:
那买的股票是不是可以卖CALL来保护呢?如果卖CALL,多少STIKE比较好?期限是不是
你想持股的期限啊?谢谢
☆─────────────────────────────────────☆
meornot (none) 于 (Sat Nov 12 15:34:12 2011, 美东) 提到:
AAPL, GS and FFIV please
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Sat Nov 12 15:42:44 2011, 美东) 提到:
..........................
1。 是。
2。 由预测会达到的目标价决定。
3。 期限至少应该是达到目标价需要的时间。
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Sat Nov 12 15:53:35 2011, 美东) 提到:
最新 AAPL 和 GS 的预测无法取得。
估计被预订了。
在这情况下,如果你有仓位,考虑买短期 Straddle。
*** NOTE: PRICE TARGETS & CALCULATIONS ARE APPROXIMATE ***
(Minimum Cash Unit is $1000. Simply multiply for large sums.)
FORECAST FOR TICKER SYMBOL: FFIV AS OF 20111111 (YYYYMMDD)
CLOSING PRICE ON 20111111 was 111.1900
STOCK RATING: ESSENTIALLY NEUTRAL
Short-Term Price Potential is DOWN: -0.5851 (-0.50%)
Short-Term Price Target: 110.6049
At Price Target, profit is 5.2622 on $1000 investment. (+0.53%)
Close out >= half of your short position at about 110.6049
There is a small chance of price reaching 101.0717
If so, your profit would be 91.0000 on $1000 investment. (+9.10%)
Close out all short position if price reaches 101.0717
============================================
DETAILED TRADING PLAN: (CASH BASIS, NON-LEVERAGED)
If you sell short $1,000 of FFIV at its current price of 111.1900
you would be selling short approximately 8.9936 shares.
At Target of 110.6049 profit is 5.2622 on $1000 investment. (+0.53%)
In case of short squeeze, expect the next peak at about 118.9733
Sell short $2,000 more at: 118.9733 will break even at: 116.2606
At 111.1900 profit is 130.8411 on $3,000 investment. (+4.36%)
At 110.6049 profit is 145.9391 on $3,000 investment. (+4.86%)
At 101.0717 profit is 391.9346 on $3,000 investment. (+13.06%)
☆─────────────────────────────────────☆
MB80528 (肥猫(Contrarian)[食MM而肥]) 于 (Sat Nov 12 15:57:39 2011, 美东) 提到:
...........................
现在看来高峰可能是星期三,
虽然不排除星期二的可能性。
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