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TABLE OF CONTENTS
SECTION I: STOCKS
SECTION II: COMMODITIES
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SECTION I: STOCKS
Remember last week I said I was selling SIMG because it was reaching it's high because the stochastics were high and it has a history reach cyclicle highs and drops in price. Today SIMG fell 4.57% and I believe it will continue to fall for another 3-7 days.
2) STOCK Apis Bull Stock and Commodity Trading Education *****
a) I have an order to buy CRYP 25.36 STOP GTC
reason I picked this stock is for, but not limited to:
it made a new 52 week high on high volume;
It' trading above the 50 DMA line;
it's trading above 200 DMA line;
past 4 quarterly profits are growing;
past 4 quarters sales are growing.
3) WHAT I HAVE UP FOR SALE *****
HEW SELL 26.45 STOP GTC PROTECTIVE STOP
CVNS 9.89 STOP GTC
4) MY CURRENT POSITIONS *****
DATE BOT PRICE BOT CURRENT PRICE % GAIN / LOSS 09 DEC 04 27.73 28.03 1.081
5)*****
MY TRADING HISTORY
TICKER DATE BOT PRICE BOT DATE SOLD PRICE SOLD % GAIN / LOSS
SIMG 04 OCT 04 14.589 02 DEC 04 17.87 22.489 BMHC 10 NOV 04 30.63 30 NOV 04 36.26 18.380 VIVI 29 NOV 04 0.17 30 NOV 04 0.23 35.294 KEYW 24 NOV 04 19.10 30 NOV 04 17.63 (7.696) KEYW 11 NOV 04 16.05 12 NOV 04 17.631 9.850 SBSE 24 MAY 04 19.38 02 JUN 04 17.21 (11.197) HANS 12 MAY 04 20.39 07 JUN 04 23.36 14.565 LSCP 22 APR 04 30.90 2 MAY 04 31.15 0.809 RATE 13 FEB 04 15.55 02 APR 04 17.901 15.118 TACT 24 MAR 04 34.032 02 APR 04 36.60 7.545 EENC 22 OCT 03 9.90 31 MAR 04 15.60 57.575 IDXC 02 FEB 04 30.09 16 MAR 04 34.20 13.659 ESMC 23 FEB O4 10.70 05 MAR 04 16.68 55.887 HEW 07 NOV 04 29.12 04 MAR 04 30.93 6.215 MTMD 09 FEB 04 5.68 25 FEB 04 5.1033 (10.15) SEAC 02 FEB 04 21.55 23 FEB 04 17.26 (19.907) AH 27 JAN 04 28.25 01 FEB 04 28.73 1.699 CVNS 05 JAN 04 11.39 05 FEB 04 9.86 (13.432) PRST 16 JAN 04 9.55 04 FEB 04 8.7475 (8.403) SPIL 16 JAN 04 6.15 03 FEB 04 5.65 (8.130) WRLD 24 NOV 04 19.68 28 JAN 04 22.45 14.075 SORC 16 JAN 04 12.95 22 JAN 04 13.25 2.316 SYNA 26 JAN 04 20.00 26 JAN 04 22.00 10.000 RFMI 08 JAN 04 11.67 21 JAN 04 12.60 7.969 NGPS 14 JAN 04 12.80 20 JAN 04 14.33 11.953 IMOS 02 JAN 04 9.48 08 JAN 04 13.08 37.974 NANX 05 JAN 04 9.876 12 JAN 04 13.29 34.568 RCKY 07 JAN 04 26.10 12 JAN 04 27.75 6.321 CRAY 19 DEC 03 9.16 02 JAN 04 10.00 9.17 IPSU 20 AUG 03 9.20 17 DEC 03 14.11 53.369 BEL 15 DEC 03 20.50 17 DEC 03 19.20 (6.341) RDWR 25 NOV 03 24.62 12 DEC 03 27.561 11.94 RCKY 5 DEC 03 18.65 12 DEC 03 24.00 28.686 MED 24 NOV 03 15.90 8 DEC 03 14.68 (7.672) LSCP 25 NOV 03 15.34 4 DEC 03 16.10 4.954 CC 11 NOV 03 11.77 4 DEC 03 11.25 (4.418) KFX 18 NOV 03 7.65 24 NOV 03 6.41 (16.209) TICKER DATE BOT PRICE BOT DATE SOLD PRICE SOLD % GAIN / LOSS XLA 11 NOV 03 2.43 12 NOV 03 3.47 42.798 CNXS 17 OCT 03 12.78 20 OCT 03 11.60 (9.233) WINS 08 OCT 03 13.24 20 OCT 03 13.97 5.513 CGFW 02 OCT 03 10.80 20 OCT 03 11.15 3.240 CAPA 01 OCT 03 5.69 17 OCT 03 6.90 21.265 PPBI 15 OCT 03 8.18 16 OCT 03 9.00 10.024 WFII 14 OCT 03 15.80 15 OCT 03 16.21 2.594 RHAT 24 SEP 03 10.15 14 OCT 03 13.21 30.147 DCTM 06 OCT 03 23.34 14 OCT 03 28.40 21.679 NICE 08 OCT 03 21.07 09 OCT 03 19.50 (7.888) FLSH 03 OCT 03 18.37 06 OCT 03 20.40 11.050 RWAV 02 OCT 03 4.61 03 OCT 03 4.8099 4.336 ABTL 20 AUG 03 7.189 02 SEP 03 8.60 19.627
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SECTION II: COMMODITIES
1) NEWS *****
No news
2) COMMODITY Apis Bull Stock and Commodity Trading Education *****
a) I have no orders
3) WHAT I HAVE UP FOR SALE *****
MAY04 CORN 230 PUT @10.25 STOP
4) MY CURRENT POSITIONS *****
COMMODITY ENTRY DATE CONTRACT OPTION ENTRY PRICE END OF DAY TIC MARGIN OR COST
** NET P/L *** % NET P/L *** CORN 11 NOV 03 MAY 04 230 PUT 7 3^7 350 (156.25) (44.642)
* Tic Change is the differeance between todays close and the entry price.
** Margin or cost is the required dollar amount by my broker in order to obatain a position in the market
*** Net P/L is the acutual dollar amount of profit or loss from the margin requirement or cost for the option at the assumption of 1 contract or option. It is possible or likely I may have more than 1 contract or option. The reason I don't put percentage change for commodity prices is because commodity prices are entry points only and brokerages have differant margin requirements.
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I don't list all the reasons I place orders to buy or sell. If I did I would be writing a long time. If you'll notice I tend to repeat myself for the reasons I'm buying, this should tell you these criterias are very important to me, although I don't use them solely.
This email news letter is free. Tell your friends to send me an email if they want to sign up. This news letter is sent out 1-5 times a week depending on my trading activities and news.
I never tell people what to do. I only tell people what I am doing. If you do what I do because I am doing it then you place yourself at risk. I am not responsible for your gains, losses, other monetary results or actions. I am not a licensed broker or money manager.
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