The system’s model portfolio is full with no positions being sold this morning.
However, there are still some valid dips, just in case someone feels a need to increase exposure on the long side.
Cadbury plc (ADR) [[CBY]] , Crown Castle International Corp. [[CCI]] , ev3 Inc. [[EVVV]] , Jarden Corporation [[JAH]] , Micromet Inc. [[MITI]] , National Bank of Greece (ADR) [[NBG]] , [[SMH]] , Teva Pharmaceutical Industries Ltd (ADR) [[TEVA]] , Texas Instruments Incorporated [[TXN]] , [[USD]]
I will soon be back to posting some more studies, so stay tuned!
wood/bhh,
just wondering if it makes any difference in your backtesting if you delet entries which are made due to weakness resulting from earning.
from yesterdays post i can only see ivc weakness is not related to earning.
would appreciate more info on that. also removing weakness due to news.
thanks
bill
Personally, I have tried to use earnings and other fundamental data to tune my selection and it never benefited me with this system. You can try it for a while and just compare your results to those of the system for a while and see if you outperform it.
The Power Dip is killing it!
Nice.
Hey, i’m game for monday in case you needed a head count. I figure with all the winnings, cab fare shouldn’t be an issue.
D, check your hotmail.