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STOCK VIDEO FOR MAY 18, 2008
GET ON THE WINNING SIDE, by joining our mailing list you will be e-mailed each time there are new "SH Alerts", updates on this site, special events and news about Stock Hunters' members. Site UpdatesSun. 5/18/08 Updated stock pick video Wed. 4/9/08: Uploaded stock pick videio. [Sun. 12/7/07] Added new stock pick video. [Sun. 12/2/07] Updated stock charts.Added new chart regarding Ultra QQQQ (QLD) in Sector Hunt page, Added new charts shorting stocks in Bear page; China (FXP), Financials (SKF), Emerging Markets (EUM & EEV), Japan (EWV), and Foreign Large Blend (EFZ & EFU). Added new charts in Global page: Chile (ECH), Europe (IFEU), and Asia (IFAS). [Sun. 11/4/07] Updated stock charts. [Mon. 10/29/07] Updated stock charts. Added new chart regarding shorting the real estate sector (SRS) in Bear Hunt page. [Sun. 10/14/07] Updated stock charts. Added new chart in Sector Hunt tracking the industrials (XLI). [Tue. 10/9/07] Updated stock charts. [Sun. 9/30/07] Updated stock charts. [Sun. 9/16/07] Updated stock charts. [Mon. 9/3/07} Updated stock charts. [Sun. 8/26/07] Updated charts and stock video. I have switched Market Signal charts over from daily view to weekly view. This will help us to better see the "big picture". [Mon. 8/6/07] Updated Main page and Sector Hunt page. [Mon. 7/22/07] Updated charts. [Sun. 7/8/07] Updated charts . Added new stock video. Added a new link in Sector Hunt called "Major U.S. Market PerfChart" [Sun. 7/1/07] Updated charts. **NEW** Added new page called Dow Charts. [Sun. 6/17/07] Updated Charts. [Mon. 6/11/07] Updated Stock Picks and VS Portfolio. [Sun. 6/10/07] Added new video in Video Corner. [Sat. 6/9/07] Updated charts in Sector Hunt, Bear Page, and Global Hunt. [Mon. 6/4/07] Updated Stock-Hunter's Picks page. [Sun. 6/3/07] Updated all charts. Added NEW charts... U.S. IPO's (FPX) in Sector Hunt page, Turkey (TKF), Emerging Markets (EEM), and Global Alternative Energy (GEX) in Global Hunt page. [Mon. 5/28/07] Update all charts. Updated Radar Zone page!! [Mon. 5/21/07] Updated Video Corner. [Sun. 5/20/07] Updated charts. [Sun. 5/11/07] Updated all charts. [Mon. 5/7/07] Added new stock pick video. [Sun. 5/6/07] Updated all charts. [Sun. 4/22/07] Updated all stock charts.
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**Market Signals**(As of May 18, 2008) Map of the Market Click here - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - Market Commentary: All markets at this point is a hold. - - - DOW - - -
- - - S&P 500 - - -
- - - NASDAQ - - -
- - - WORLD MARKET - - -
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V.S. Blog Sun 5/18/08: Most stocks are showing signs of being over-bought now. Good time to tighten up sell-stops and or lock in profits at this point. Wed. 4/9/08: The last two weeks the Markets been nice to me. Most of all my new investments are on the "green" zone. Fri. 4/4/08: Went in and bought several stocks that are showing strong weekly signals. Fri. 3/28/08: Getting back in the groove and adjusting my "entry signals" in this new Bear Market. A competent trader always evaluates and adjust his methods to work with the new market cycles. Sun. 12/7/07: All major markets are now showing positive entry points now. All last week I have been buying more stocks that were showing "buy signals". As of today, I am fully invested - trusting fully on my investmenting system. Sun. 12/2/07: It has been dull for investin in Nov. I managed to unload most of my stock by mid. Nov. while only suffering a manageable 5% loss. Just last week I invested more in the markets from 25% to 50% exposure now. If I sense further positive signals by mid next week concerning the Dec. 11 Fed meeting, I expect to add another 25% . Mon. 10/29/07: Last week's rapid price drops caused many of my stocks to sell - some gains and some small losses. Now with about 55% cash to reinvest to ride the next wave higher. International stocks will be my first choice. Sun. 10/14/07: Haven't been buying too much. Noticing that energy sector may be headed higher. Bought several energy stocks. Meanwhile keeping close eye the rest of my stocks for some pull-backs. Tue. 10/9/07: Things are looking a bit overbought. Will wait for the next pull back before adding most of my cash back in. Meanwhile, I am buying slowly if any. Sun. 9/30/07: Bought many new positions the last two weeks & locking in some gains. Moved all my sell-stops within 9% of the stocks' recent highs. I do think we will break past mid-July's levels. Sun. 9/16/07: Still have two more weeks of potential down days. Keeping my "shopping list" handy to invest on down days. Mon. 9/3/07: Locked in many small gains (3%-4%) while moving my sell-stops to break even. Considering to buy more after we pull back. Keep in mind that historically the last weeks of Sept. are down days due to fund managers selling their lossers. Sun. 7/26/07: It did a lot of buying the few days. In most part, the correction could be behind us now. I am glad I did not panic two weeks ago -- I was close thou. I suspect we will rally for a short while, then get a pull-back before the "real Bull rally". Sun 7/8/07: The last two weeks I have been adding new positions, mainly international. May consider to lock in profits if we can get another positive week. Sun 6/3/07: Trimmed down 10% of my portfolio and looking forward to trim more. The Bullish Percentage Index displayed one warning signal and now it's showing a high reading which is cause for caution.
^GSPC = S&P 500 ^IXIC = Nasdaq IOO = Global 100 XLE = Energy XLV = Healthcare VOX = Communications HHH = Internet FXI = China EWJ = Japan EWW = Mexico
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