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The endless stampede continues


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Posted

Europe's banks brace for UK debt crisis

UniCredit has alerted investors in a client note that Britain is at serious risk of a bond market and sterling debacle and faces even more intractable budget woes than Greece.

Yields on 10-year gilts have already crept up to 4.14pc, compared to 3.94pc for Italian bonds, 3.48pc for French bonds, and 3.19pc for German Bunds, though part of this reflects worries about higher inflation in Britain.

http://www.telegraph.co.uk/finance/economics/7423138/Europes-banks-brace-for-UK-debt-crisis.html

Posted

SPY up 10 for 10

 

IWM up 9 for 9

 

Qubes up 10 for 10

 

 

Anybody think we're getting overbought enough that another day or so up could trigger a terminal blow-off

Yes

 

BWTFDIK :blink:

 

Sure feels like we go higher,But I am 75% sure we do a full reverse in the days before OP/EX.Everyone and their mother loaded with calls.

Posted

Everyone and their mother loaded with calls.

 

And I've been happy to sell these douches near dated/close to the money calls

 

If they want my stock at higher prices they can have it

 

BWAHAHAHAHAHAHAHA

Posted

The Big C

 

Trader Joe's been in since $3.26...."how about you?"

 

This thing is great to trade

 

Buy some naked :ph34r:

 

Write puts

 

Do Buy/Writes

 

Buy Calls

 

BWHAHAHAHAHAHAHA

 

Hell, just buy it and put it in a drawer if you are a fat lazy f**k or just a friggin' 'tard....5-10 years from now, acres of diamonds

 

big.chart?symb=c&compidx=aaaaa%3A0&ma=0&maval=9&uf=0&lf=1&lf2=0&lf3=0&type=2&size=2&state=8&sid=117685&style=320&time=5&freq=1&nosettings=1&rand=6518&mocktick=1&rand=5748

Posted

Huge_boobs_1_by_LPARK435.jpg

 

 

now that i have your attention

 

hasnt docs cycle work been pretty bullish since beginning of last month, yet it seems the only bull here is TJ--just sayin---

 

whats going on? :ninja:

Posted

Economy recovering, so stocks will go up for the forseeable future.

 

And yet- there's no inflation, in spite of this economic recovery, so bonds/T-Bills/etc. will go up for the forseeable future (even with them ALREADY pumped up to record highs).

 

And mortgage rates will also stay low for the forseeable future, since that clearly wasn't what caused the real estate bubble.

 

No more manufacturing real goods, but that's not a problem, since there is an "insatiable appetite" for T-Bills. (Never mind that our own government seems to be the main purchaser at this point. That can go on for the forseeable future, too.)

 

These are the conditions that will have to hold for this bull market to be sustainable for the forseeable future. Are we half way through? A THIRD of the way through? I don't know, but this is such garbage, such nonsense, so much more ridiculous than even the previous two ridiculous bull markets, that you keep playing the long side at your own risk. It all goes up for no good reason...until it doesn't.

Posted

Huge_boobs_1_by_LPARK435.jpg

 

 

now that i have your attention

 

hasnt docs cycle work been pretty bullish since beginning of last month, yet it seems the only bull here is TJ--just sayin---

 

whats going on? :ninja:

 

 

Yes, his been bullish lately (cant tell since) however sometimes when I read his report I thnik we gonna crash :D :D :D Its because of his style, aka drama queen :D :D :D Thats why I prefer numbers in his report, I dont read the rest :D :D :D however, Im very dissapointed by the performance this week - its should drop, or go sideways based on treasury auction and SFP account at UST. And here comes the summary - fundamentals doents matter, and your/mine "fixed market vision" could kill you. Thats why I preffer following crossing of key mov.avg on specific time interval, trend lines and fibos. Eventhou I think (based on my attitude) that we will fall,I closed short position and switched to longs (based on technicals), but in CEE we go sideways lately. Because of that I feels like robot or monkey, who trade based on charts, not based on funnymetals :blink:

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